13F-HR 1 l92287ae13f-hr.txt NATIONAL CITY CORPORATION 13F-HR INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(f) OF THE SECURITIES EXCHANGE ACT OF 1934 AND RULES THEREUNDER Securities and Exchange Commission 450 Fifth Street, NW Washington, D.C. 20549 Report for the Calendar Quarter ended: December 31, 2001 (Please read instructions before preparing form) If amended report check here: __________ NAME OF INSTITUTIONAL INVESTMENT MANAGER: NATIONAL CITY CORPORATION BUSINESS ADDRESS: 1900 EAST 9TH STREET CLEVELAND, OHIO 44114 NAME: JOHN P. RUSIN PHONE NUMBER: (216)575-9741 TITLE (OF PERSON DULY AUTHORIZED TO SUBMIT THIS REPORT): ASSISTANT VICE PRESIDENT
ATTENTION: Intentional misstatements or omissions of fact constitute Federal Criminal Violators. See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a). The Institutional Investment Manager submitting this form and the attachments and the person by whom it is signed represent hereby that all information contained herein is true, correct and complete. It is understood that all required items, statements and schedules are considered integral parts of this form and that the submission of any amendment representing that all unamended items, statements and schedules remain true, correct and complete as previously submitted. Pursuant to the requirements of the Securities Exchange Act of 1934, the undersigned Institutional Investment Manager has caused this report to be signed on its behalf in the City of Cleveland and State of Ohio on the 16th day of January, 2002. NATIONAL CITY CORPORATION (Name of Institutional Investment Manager) John P Rusin (Manual Signature of Person Duly Authorized to submit this Report) Name and 13F file number of ALL Institutional Investment Managers with respect to which this schedule is filed (other than the one filing this report). 13F File Number will be assigned to Institutional Investment Managers after they file their first report. Name: 13F File No.: 1. National City, Ohio 28-1479 ------------------------------------------------------------------------ 2. National City Investment Management Company 28-1479 ------------------------------------------------------------------------ 3. National City, Indiana 28-1479 ------------------------------------------------------------------------ 4. National City, Kentucky 28-1479 ------------------------------------------------------------------------ 5. National City, Pennsylvania 28-1479 ------------------------------------------------------------------------ 6. National City, Michigan/Illinois 28-1479 ------------------------------------------------------------------------ 7. National City, Southern Indiana 28-1479 13F Summary Page Report Summary: National City Corporation 12-31-01 Number of Other Included Managers: 7 - Form 13F Information Table Entry Total: 3,367 ------ Form 13F Information Table Value Total: 31,108,504,855 -------------- List of Other Included Managers: Provide a numbered list of the name (s) and form 13F file number (s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. (If there are no entries in this list, state "NONE" and omit the column headings and list entries.) No. Form 13F File Number Name 1. 28-1479 National City, Ohio 2. 28-1479 National City Investment Mgmt. Co. 3. 28-1479 National City, Indiana 4. 28-1479 National City, Kentucky 5. 28-1479 National City, Pennsylvania 6. 28-1479 National City, Michigan/Illinois 7. 28-1479 National City, Southern Indiana
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 1 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ DAIMLERCHRYSLER AG D1668R123 226976 5447 X 5447 0 0 DAIMLERCHRYSLER AG D1668R123 354903 8517 X 8266 251 0 AMDOCS LTD G02602103 1337127 39362 X 37112 100 2150 AMDOCS LTD G02602103 286877 8445 X 3875 170 4400 EVEREST RE GROUP LTD G3223R108 3989248 56425 X 4325 0 52100 GLOBAL CROSSING LTD G3921A100 3095 3684 X 2684 0 1000 GLOBAL CROSSING LTD G3921A100 58094 69160 X 50660 6000 12500 GLOBAL SANTA FE CORP G3930E101 165901 5817 X 5817 0 0 GLOBAL SANTA FE CORP G3930E101 89125 3125 X 199 0 2926 LORAL SPACE & COMMUNICATIONS COM G56462107 8821 2950 X 1950 0 1000 LORAL SPACE & COMMUNICATIONS COM G56462107 46506 15554 X 9092 0 6462 TRANSOCEAN SEDCO FOREX INC G90078109 1879986 55588 X 15210 0 40378 TRANSOCEAN SEDCO FOREX INC G90078109 1331527 39371 X 33647 1708 4016 DREYFUS U S OFFSHORE FD G9287V141 23315 23315 X 23315 0 0 WILLIS GROUP HOLDINGS LTD G96655108 1118625 47500 X 0 0 47500 XL CAP LTD G98255105 39591496 433357 X 255847 0 177510 XL CAP LTD G98255105 1645394 18010 X 15710 2000 300 LEMAR INVESTMENT CO LEMARINV0 342020 80 X 54 26 0 MARDOT L.P. CLASS "B" LIMITED LP0000366 1248300 146 X 146 0 0 CHECK POINT SOFTWARE TECH LT M22465104 8178926 205037 X 195360 840 8837 CHECK POINT SOFTWARE TECH LT M22465104 4786481 119992 X 107651 1103 11238 TARO PHARMACEUTICAL INDS LTD M8737E108 6475895 162100 X 6000 0 156100 ASM INTL N V N07045102 6978942 357711 X 13100 0 344611 ORTHOFIX INTERNATIONAL PV N6748L102 371030 10000 X 10000 0 0 DAWLEN CORPORATION U72150458 317218 569 X 569 0 0 ROYAL CARRIBEAN CRUISES LTD COM V7780T103 4726350 291750 X 20750 0 271000 ROYAL CARRIBEAN CRUISES LTD COM V7780T103 149040 9200 X 0 0 9200 STELMAR SHIPPING LTD V8726M103 4305990 264984 X 18855 0 246129 FLEXTRONICS INTL LTD Y2573F102 876906 36553 X 36553 0 0 FLEXTRONICS INTL LTD Y2573F102 301914 12585 X 11785 300 500 LASALLE INCOME ADVANTAGE FD 0005209B4 13004376 13004376 X 12854721 0 149654 LASALLE INCOME ADVANTAGE FD 000520999 9640479 9640479 X 9382104 0 258375 MORRIS MACHINE COMPANY INCORPORATED 000577999 433198 2018 X 0 0 2018 WELLMAN STABLE VALUE FUND 0007209A2 45825913 45825913 X 45825913 0 0 P B & G SAND & GRAVEL & CONTRACTING 000739995 212000 10000 X 10000 0 0 ABN AMRO INSTITUTIONAL PRIME 00078H554 214664 214664 X 214664 0 0 AIRCOM METAL PRODUCTS INCORPORATED 000821991 238410 1422 X 1422 0 0 ADC TELECOMMUNICATIONS INC COM 000886101 971621 211222 X 157134 400 53688 ADC TELECOMMUNICATIONS INC COM 000886101 167394 36390 X 14945 0 21445 ACM INCOME FUND INC 000912105 239593 32821 X 20763 0 12058 ACM INCOME FUND INC 000912105 75935 10402 X 10402 0 0 AFLAC INC COM 001055102 2677089 109002 X 72284 0 36718 AFLAC INC COM 001055102 1841705 74988 X 50038 8400 16550 AGCO CORP 001084102 9027344 572075 X 41575 0 530500 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 175785749 72052106 69549944 21298 2480863
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 2 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ AES CORP 00130H105 2167372 132561 X 93413 0 39148 AES CORP 00130H105 838461 51282 X 28987 1110 21185 AIM GROWTH SER 00141M747 5378828 189129 X 176860 0 12269 AIM GROWTH SER 00141M812 534977 22431 X 22431 0 0 AIM EQUITY FDS INC 001413103 199873 17441 X 17441 0 0 AIM CONSTELLATION FD INC 001413202 346037 15658 X 15658 0 0 AIM EQUITY FDS INC 001413301 144045 10678 X 10678 0 0 AIM EQUITY FDS INC 001413301 17508 1298 X 1298 0 0 AIM 001413863 46077 2779 X 2779 0 0 AIM 001413863 277859 16759 X 16759 0 0 AIM TAX EXEMPT FDS INC 001419407 983206 88898 X 88898 0 0 AIM INVT SECS FDS INC 00142C763 84817 10750 X 10750 0 0 AIM 00142C805 70583 15278 X 15278 0 0 A M TODD GROUP INC 0017269A8 648410 24645 X 24645 0 0 AMLI RESIDENTAL PPTYS INC TR SH 001735109 380454 15085 X 15085 0 0 AMLI RESIDENTAL PPTYS INC TR SH 001735109 12610 500 X 0 0 500 AMR CORP DEL COM 001765106 282563 12671 X 2114 0 10557 AMR CORP DEL COM 001765106 20204 906 X 406 0 500 ANC RENTAL CORP 001813104 1 18 X 18 0 0 ANC RENTAL CORP 001813104 5335 66689 X 66689 0 0 AOL TIME WARNER INC COM 00184A105 132156438 4117023 X 2664298 4675 1448050 AOL TIME WARNER INC COM 00184A105 28863839 899185 X 796868 43102 59215 ATI TECHNOLOGIES INC 001941103 5509895 433850 X 15400 0 418450 AT&T CORP COM 001957109 16784115 925254 X 665440 700 259114 AT&T CORP COM 001957109 7145691 393919 X 328555 31979 33385 AT&T WIRELESS SVCS INC 00209A106 9440404 656952 X 399660 989 256303 AT&T WIRELESS SVCS INC 00209A106 4173637 290441 X 249572 18510 22359 AVX CORP NEW COM 002444107 3680040 156000 X 0 0 156000 AXP EQUITY SELECT FD 00245H107 439705 39085 X 39085 0 0 AXP EQUITY SELECT FD 00245H107 855567 76050 X 7683 0 68368 AXP HIGH YIELD TAX EXEMPT FUND INC 00245N104 501819 115361 X 115361 0 0 AXP HIGH YIELD TAX EXEMPT FUND INC 00245N104 636359 146290 X 89945 56345 0 AXP HIGH YIELD TAX EXEMPTS FD 00245N203 65900 15149 X 15149 0 0 AXP CASH MANAGEMENT FUND CL A 00245U108 37218 37076 X 37076 0 0 AXP NEW DIMENSIONS FUND INC 00245V106 655619 26771 X 26771 0 0 AXP NEW DIMENSIONS FUND INC 00245V106 350480 14311 X 1914 0 12397 AXP SELECTIVE FUND, INC. CL A 00245Y100 179654 20277 X 20277 0 0 AXP SELECTIVE FUND, INC. CL A 00245Y100 15253 1722 X 1722 0 0 AXP SPL TAX EXEMPT SER TR 00246A705 122359 23262 X 23262 0 0 AXP STOCK FUND, INC. CL A 00246B109 486401 25400 X 25400 0 0 AXP STOCK FUND, INC. CL A 00246B109 201298 10512 X 10512 0 0 AXP TAX EXEMPT BOND FUND, INC. CL A 00246D402 569765 142086 X 135115 0 6971 AXP TAX EXEMPT BOND FUND, INC. CL A 00246D402 108640 27092 X 27092 0 0 ABBOTT LABS 002824100 214858047 3853956 X 3292743 3760 557453 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 440277363 13142480 9599087 161170 3382224
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 3 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ ABBOTT LABS 002824100 212285408 3807810 X 3618261 50957 138592 ABERDEEN ASIA PACIFIC INCOME FUND 003009107 50688 13200 X 13200 0 0 ACAMBIS PLC 004286100 5643020 113200 X 3000 0 110200 ACCESSOR FDS INC 004322889 87332 87332 X 87332 0 0 ACTIVISION INC NEW COM 004930202 4510784 173425 X 6225 0 167200 ACTRADE FINANCIAL TECHNOLOGIES LTD 00507P102 294500 10000 X 10000 0 0 BILLITON PLC ORD (GBP) 0056650S4 3255157 644555 X 8500 0 636055 ARM HOLDINGS PLC ORD (GBP) 0059585S8 1085976 200000 X 2000 0 198000 ADAMS EXPRESS COMPANY 006212104 8319 585 X 585 0 0 ADAMS EXPRESS COMPANY 006212104 177722 12498 X 11868 0 630 ADAPTEC INC COM 00651F108 2324031 160278 X 5728 0 154550 ADAPTEC INC COM 00651F108 23490 1620 X 1500 0 120 ADELPHIA COMMUNICATIONS CORP CL A 006848105 4148655 133055 X 355 0 132700 ADELPHIA COMMUNICATIONS CORP CL A 006848105 112248 3600 X 0 0 3600 ADOBE SYS INC COM 00724F101 619292 19945 X 3518 0 16427 ADOBE SYS INC COM 00724F101 201204 6480 X 6480 0 0 ADVANCED DIGITAL INFORMATION CORP 007525108 583102 36353 X 36353 0 0 ADVANCED LTG TECHNOLOGIES 00753C102 337500 225000 X 225000 0 0 ADVANCED DRAINAGE SYSTEMS INC 0075999A3 27443646 155974 X 0 141234 14740 AEGIS RLTY INC 00760P104 1007100 90000 X 0 0 90000 AEGIS RLTY INC 00760P104 22615 2021 X 2021 0 0 BARCLAYS PLC ORD (GBP) 0078201S2 5441818 164354 X 1650 0 162704 ADVANCED MICRO DEVICES 007903107 1389685 87622 X 6596 0 81026 ADVANCED MICRO DEVICES 007903107 18905 1192 X 692 0 500 AEGON N V ORD AMER REG (NLG) 007924103 13280624 496101 X 496101 0 0 AEGON N V ORD AMER REG (NLG) 007924103 9412225 351596 X 341174 0 10422 ADVENT SOFTWARE INC 007974108 3793703 75950 X 2850 0 73100 AETNA INC NEW 00817Y108 867802 26305 X 2719 0 23586 AETNA INC NEW 00817Y108 83102 2519 X 2192 27 300 AETNA SER FD INC 008172165 215951 14771 X 14771 0 0 AFFILIATED COMPUTER SERVICES 008190100 3385547 31900 X 0 0 31900 AFFILIATED MANAGERS GROUP 008252108 7218914 102425 X 7425 0 95000 AFFYMETRIX INC 00826T108 239562 6346 X 5751 0 595 AFFYMETRIX INC 00826T108 171951 4555 X 3475 0 1080 AGILENT TECHNOLOGIES INC 00846U101 8842861 310167 X 230957 304 78906 AGILENT TECHNOLOGIES INC 00846U101 7798369 273531 X 238427 18311 16793 AIM 008879306 658171 60549 X 60549 0 0 AIM 008879306 27058 2489 X 2489 0 0 AIM FDS GROUP 008879710 144592 144592 X 144592 0 0 AIM 008879728 310161 30113 X 30113 0 0 AIM 008879728 89078 8648 X 8648 0 0 AIM FDS GROUP 008879744 12888297 496850 X 492045 0 4805 AIM FDS GROUP 008879744 0 0 X 0 0 0 AIM INTERNATIONAL MUTUAL FUNDS, INC. 008882102 991770 66562 X 66562 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 341491935 8656068 6201704 210833 2243531
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 4 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ AIM SMALL CAP OPPORTUNITIES FUND 008883100 518339 38339 X 38339 0 0 AIM SPL OPPORTUNITIES FDS 008883308 19863 1524 X 0 0 1524 AIM SPL OPPORTUNITIES FDS 008883308 576021 44207 X 44207 0 0 AIM LARGE CAP OPPORTUNITY FUND 008883886 6609 718 X 0 0 718 AIM LARGE CAP OPPORTUNITY FUND 008883886 306922 33361 X 33361 0 0 AGRICULTURAL LANDS 008990103 196500 131 X 131 0 0 AGRICULTURAL LANDS 008990103 540000 360 X 0 0 360 AIR PRODS & CHEMS INC COM 009158106 2640845 56296 X 34208 2000 20088 AIR PRODS & CHEMS INC COM 009158106 2809909 59900 X 52900 600 6400 AIRGATE PCS INC 009367103 4725813 103750 X 3950 0 99800 AIRTRAN HLDGS INC 00949P108 62700 9500 X 9500 0 0 AIRTRAN HLDGS INC 00949P108 6600 1000 X 1000 0 0 AKZO NOBEL NV ADR 010199305 269100 6000 X 2000 0 4000 RYANAIR HLDGS PLC ORD (IEP) 0115175S4 1378226 225470 X 2800 0 222670 ALBEMARLE CORP COM 012653101 3408000 142000 X 10800 0 131200 ALBEMARLE CORP COM 012653101 96000 4000 X 4000 0 0 ALBERTO CULVER CO CL B CONV 013068101 2572953 57509 X 620 0 56889 ALBERTO CULVER CO CL B CONV 013068101 92343 2064 X 64 2000 0 ALBERTSONS INC COM 013104104 1843299 58536 X 28766 0 29770 ALBERTSONS INC COM 013104104 775221 24618 X 22693 400 1525 ALCAN INC 013716105 945749 26322 X 4387 0 21935 ALCAN INC 013716105 94244 2623 X 2623 0 0 ALCOA INC 013817101 26092456 733965 X 644424 2125 87416 ALCOA INC 013817101 11174538 314333 X 270696 18264 25373 ALERT STAMPING & MFG CO 0144689A2 487559 29 X 29 0 0 ALEXANDER & BALDWIN INC COM 014482103 800626 29986 X 20386 0 9600 ALEXANDER & BALDWIN INC COM 014482103 135583 5078 X 5078 0 0 NORTHERN ROCK PLC ORD (GBP) 0145279S6 3187083 346767 X 3100 0 343667 ALEXANDRIA REAL ESTATE EQ IN 015271109 5133842 124911 X 8911 0 116000 ALFACELL CORP 015404106 54000 100000 X 100000 0 0 ALGER FD 015565609 171848 17482 X 17482 0 0 WETHERSPOON (J.D.) PLC ORD 0163895S3 739055 117140 X 1650 0 115490 CAPITA GROUP PLC ORD (GBP) 0173474S1 4427712 630195 X 7400 0 622795 ALLEGHENY ENERGY INC 017361106 1424279 39323 X 26905 0 12418 ALLEGHENY ENERGY INC 017361106 1194318 32974 X 29674 2500 800 ALLEGHENY VY BANCORP INC COM 017427105 154400 4000 X 4000 0 0 ALLEGHENY VY BANCORP INC COM 017427105 335434 8690 X 0 8690 0 ALLERGAN INC COM 018490102 5243969 69873 X 13834 0 56039 ALLERGAN INC COM 018490102 307705 4100 X 4100 0 0 ALLETE INC 018522102 9687964 384443 X 39943 0 344500 ALLETE INC 018522102 252605 10024 X 9624 0 400 ALLIANCE BOND FUND 018528406 180305 25112 X 25112 0 0 ALLIANCE BOND FUND 018528406 374407 52146 X 50879 1267 0 ALLIANCE BD FD 018528885 364640 29767 X 29767 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 95809584 3978566 1609343 37846 2331377
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 5 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ ALLIANCE CAP MNGMT HLDG L.P. 01855A101 491946 10181 X 9781 0 400 ALLIANCE CAP MNGMT HLDG L.P. 01855A101 999741 20690 X 17690 3000 0 ALLIANCE BERNSTEIN STRATEGIC VALUE 018564757 17367331 1741230 X 1741230 0 0 ALLIANCE FUND 01859K105 103327 21130 X 21130 0 0 ALLIANCE FUND 01859K105 94166 19257 X 8096 0 11161 ALLIANCE GAMING CORP 01859P609 3379850 115000 X 4000 0 111000 ALLIANCE GROWTH & INCOME FD INC COM 018597104 194071 54059 X 54059 0 0 ALLIANCE GROWTH & INCOME FD INC COM 018597104 97861 27259 X 27259 0 0 ALLIANCE MORTAGE SECURITIES 018639104 92034 11022 X 11022 0 0 ALLIANCE MUN INCOME FD II 01864E847 49016 4961 X 4961 0 0 ALLIANCE MUN INCOME FD II 01864E847 95059 9621 X 9621 0 0 ALLIANCE PREMIER GROWTH FD 01877C101 1822006 89666 X 89666 0 0 ALLIANCE PREMIER GROWTH FD 01877C101 61345 3019 X 3019 0 0 ALLIANCE TECHNOLOGY FD 018780304 185433 2972 X 2281 0 691 ALLIANCE TECHNOLOGY FD 018780304 101182 1622 X 1422 0 200 ALLIANT CORP 018802108 292367 9630 X 8430 0 1200 ALLIANT CORP 018802108 262827 8657 X 8657 0 0 ALLIED CAP CORP NEW 01903Q108 239902 9227 X 8227 0 1000 ALLIED CAP CORP NEW 01903Q108 194844 7494 X 7494 0 0 ALLIED WASTE INDS INC 019589308 235027 16716 X 3165 0 13551 ALLIED WASTE INDS INC 019589308 421800 30000 X 30000 0 0 ALLMERICA FINL CORP COM 019754100 268637 6030 X 6030 0 0 ALLMERICA FINL CORP COM 019754100 154945 3478 X 3478 0 0 ALLOY INC 019855105 6465459 300300 X 12100 0 288200 ALLSTATE CORP COM 020002101 3742655 111058 X 60601 0 50457 ALLSTATE CORP COM 020002101 2592305 76923 X 69523 3078 4322 ALLTEL CORP COM 020039103 6857709 111092 X 88638 950 21504 ALLTEL CORP COM 020039103 4736419 76728 X 53744 15662 7322 ALPENA BANKING CORPORATION 0205819A4 100001 11000 X 11000 0 0 ALTERA CORP COM 021441100 47174734 2223126 X 1534625 1720 686781 ALTERA CORP COM 021441100 1894309 89270 X 82790 3005 3475 AMBAC FINL GROUP INC COM 023139108 902327 15595 X 5060 0 10535 AMBAC FINL GROUP INC COM 023139108 98362 1700 X 1700 0 0 AMERADA HESS CORP COM 023551104 652938 10447 X 1424 0 9023 AMERADA HESS CORP COM 023551104 19250 308 X 108 200 0 AMEREN CORP 023608102 1210245 28611 X 19185 0 9426 AMEREN CORP 023608102 681284 16106 X 14331 0 1775 AMERICA MOVIL S A DE C V 02364W105 2857307 146679 X 8733 0 137946 AMERICA MOVIL S A DE C V 02364W105 80355 4125 X 3725 0 400 DIAGEO PLC ORD (GBP) 0237400S3 8981686 786652 X 12700 0 773952 AMERICAN BALANCED FUND 024071102 2868175 180957 X 180957 0 0 AMERICAN BALANCED FUND 024071102 148152 9347 X 9347 0 0 AMERICAN CENTURY 02507M303 351246 12843 X 12843 0 0 AMERICAN CENTURY 02507M303 23443 857 X 857 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 119643078 6436645 4264709 27615 2144321
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 6 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ AMERICAN CENTY QUANTITATIV E 02507M402 14439534 528340 X 528340 0 0 AMERICAN CENTURY SMALL CAP 02507M840 67237 11693 X 11693 0 0 AMERICAN CENTY CAP PORTFOLIO 025076100 1105147 154783 X 154783 0 0 AMERICAN CENTY MUT FDS INC 025083742 170821 11573 X 11573 0 0 AMERICAN CENTURY 025083882 430465 15574 X 15574 0 0 AMERICAN CENTURY 025083882 101660 3678 X 3678 0 0 AMERICAN CENTURY 025086109 17589 2207 X 0 0 2207 AMERICAN CENTURY 025086109 749192 94001 X 94001 0 0 TWENTIETH CENTY WORLD INVS I 025086208 55706 6981 X 6981 0 0 TWENTIETH CENTY WORLD INVS I 025086208 6089461 763090 X 763090 0 0 AMERICAN CENTURY WORLD INV I 025086406 2525120 317226 X 317226 0 0 AMERICAN CENTURY 025086505 35132 3431 X 3431 0 0 AMERICAN CENTURY 025086505 208737 20384 X 20384 0 0 AMERICAN ELECTRIC POWER CO INC 025537101 6551091 150496 X 112928 0 37568 AMERICAN ELECTRIC POWER CO INC 025537101 4250661 97649 X 77370 5594 14685 AMERICAN EXPRESS CO COM 025816109 21422708 600244 X 481403 5850 112991 AMERICAN EXPRESS CO COM 025816109 20118382 563698 X 306175 166491 91032 AMERICAN GREETINGS CORP CL A 026375105 53515099 3883534 X 662 0 3882872 AMERICAN GREETINGS CORP CL A 026375105 166338 12071 X 12071 0 0 AMERICAN HEALTHWAYS INC 02649V104 5445770 170500 X 6000 0 164500 AMERICAN HOME PRODS CORP COM 026609107 95702701 1559692 X 1391695 900 167097 AMERICAN HOME PRODS CORP COM 026609107 70420356 1147659 X 1035765 40114 71780 AMERICAN INTL GROUP INC COM 026874107 285163552 3591481 X 3115684 2291 473506 AMERICAN INTL GROUP INC COM 026874107 183395579 2309768 X 2172013 72143 65612 AMERICAN HERITAGE BANCO, INC CLASS A 026999011 412896 17204 X 17204 0 0 AMERICAN ITALIAN PASTA CO 027070101 4841856 115200 X 4100 0 111100 AMERICAN MUNI III 027654102 630300 57300 X 57300 0 0 AMERICAN MUT FD INC COM 027681105 428004 17796 X 17796 0 0 AMERICAN PWR CONVERSION CORP COM 029066107 846156 58517 X 39094 0 19423 AMERICAN PWR CONVERSION CORP COM 029066107 280524 19400 X 3600 15000 800 AMERICAN TOWER CORP 029912201 9470 1000 X 1000 0 0 AMERICAN TOWER CORP 029912201 121216 12800 X 8600 0 4200 AMERICAN SUPERCONDUCTOR CORP 030111108 306500 25000 X 0 0 25000 AMERICAN WTR WKS CO INC 030411102 1546253 37036 X 36036 0 1000 AMERICAN WTR WKS CO INC 030411102 1538488 36850 X 32750 3100 1000 AMERICAN WOODMARK CORP COM 030506109 5557750 103400 X 3700 0 99700 AMERICAN WOODMARK CORP COM 030506109 419250 7800 X 7800 0 0 AMERUS GROUP CO 03072M108 166907 4657 X 3916 0 741 AMERUS GROUP CO 03072M108 107484 2999 X 326 2673 0 AMERISOURCEBERGEN CORP 03073E105 739023 11629 X 1400 0 10229 AMERISOURCEBERGEN CORP 03073E105 62088 977 X 0 0 977 AMERIGROUP CORP 03073T102 5767190 264550 X 9400 0 255150 AMETEK INC NEW 031100100 2822265 88500 X 88500 0 0 AMGEN INC 031162100 127909069 2266284 X 1917965 4325 343994 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 926660727 19168652 12893007 318481 5957164
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 7 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ AMGEN INC 031162100 40926507 725133 X 617097 45486 62550 AMSOUTH BANCORPORATION COM 032165102 9453742 500198 X 474758 0 25440 AMSOUTH BANCORPORATION COM 032165102 275808 14593 X 14593 0 0 ANADARKO PETE CORP COM 032511107 2440956 42937 X 25541 0 17396 ANADARKO PETE CORP COM 032511107 2931300 51562 X 25122 3000 23440 ANALOG DEVICES INC COM 032654105 58340090 1314262 X 910942 335 402985 ANALOG DEVICES INC COM 032654105 1904109 42895 X 39130 870 2895 ANCHOR GAMING COM 033037102 548340 7800 X 7800 0 0 ANDRX GROUP 034553107 3034671 43100 X 0 0 43100 ANDRX GROUP 034553107 7041 100 X 100 0 0 ANHEUSER BUSCH 035229103 32256702 713486 X 637207 2100 74179 ANHEUSER BUSCH 035229103 22933179 507259 X 456999 21140 29120 ANN TAYLOR STORES CORP COM 036115103 5918500 169100 X 11600 0 157500 ANN TAYLOR STORES CORP COM 036115103 175000 5000 X 4200 0 800 ANTHEM INC 03674B104 618750 12500 X 0 0 12500 AON CORP COM 037389103 2945816 82934 X 64946 0 17988 AON CORP COM 037389103 965220 27174 X 9862 17312 0 APACHE CORP COM 037411105 5855413 117390 X 108776 0 8614 APACHE CORP COM 037411105 370608 7430 X 1480 5000 950 APPLE COMPUTER INC COM 037833100 646838 29536 X 5561 0 23975 APPLE COMPUTER INC COM 037833100 37624 1718 X 1718 0 0 APPLEBEE'S INTL COM 037899101 342000 10000 X 10000 0 0 APPLERA CORP - APPLIED BIOSYSTEMS 038020103 933369 23768 X 2643 0 21125 APPLERA CORP - APPLIED BIOSYSTEMS 038020103 146595 3733 X 3633 0 100 APPLIED FILMS CORP 038197109 4868750 155800 X 6000 0 149800 APPLIED INDL TECHNOLOGIES IN 03820C105 33570 1800 X 1800 0 0 APPLIED INDL TECHNOLOGIES IN 03820C105 211155 11322 X 11322 0 0 APPLIED MICRO CIRCUITS CORP 03822W109 518581 45811 X 13320 0 32491 APPLIED MICRO CIRCUITS CORP 03822W109 284460 25129 X 11899 0 13230 APPLIED MATLS INC 038222105 38163852 951717 X 503341 150 448226 APPLIED MATLS INC 038222105 11009415 274549 X 246197 5240 23112 APPLIED TECHNOLOGY VENTURES INC COM 0382839A7 620750 24830 X 24830 0 0 APTARGROUP INC 038336103 287316 8202 X 8202 0 0 APTARGROUP INC 038336103 1395946 39850 X 39850 0 0 GALLAHER GROUP PLC ORD (GBP) 0383369S4 3400398 495000 X 4900 0 490100 AQUA CLARA BOTTLING & DISTR 03837N102 2720 40000 X 40000 0 0 ARCH COAL INC 039380100 7682066 338417 X 24917 0 313500 ARCH COAL INC 039380100 124737 5495 X 5495 0 0 ARCHER DANIELS MIDLAND CO COM 039483102 1225490 85400 X 37629 0 47771 ARCHER DANIELS MIDLAND CO COM 039483102 1248077 86974 X 86522 0 452 ARDEN RLTY INC COM 039793104 9222742 348028 X 41578 250 306200 ARDEN RLTY INC COM 039793104 588830 22220 X 17120 3350 1750 ARGOSY GAMING COMPANY 040228108 5064177 155725 X 11125 0 144600 ARKANSAS BEST CORP DEL COM 040790107 10247672 355575 X 27575 0 328000 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 290208882 7925452 4597330 104233 3223889
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 8 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ ARNOLD WHOLESALE CORP COM 041992108 3170572 1141 X 1141 0 0 ARNOLD WHOLESALE CORP COM 041992108 6388383 2299 X 1646 653 0 ARMADA CONSERVATIVE ALLOCATION 04208N598 257114 26236 X 26236 0 0 ARMADA AGGRESSIVE ALLOCATION 04208N648 315384 33480 X 33480 0 0 ARMADA AGGRESSIVE ALLOCATION 04208N648 9745 1034 X 1034 0 0 ARMADA MID CAP GROWTH FUND 04208N689 107172746 14681198 X 14445547 7628 228024 ARMADA MID CAP GROWTH FUND 04208N689 7451342 1020732 X 929779 30636 60317 ARMADA LARGE CAP ULTRA FUND 04208N747 112825725 10146198 X 10051857 0 94341 ARMADA LARGE CAP ULTRA FUND 04208N747 11538579 1037642 X 894903 32329 110410 ARMADA MICHIGAN MUNICIPAL BOND FUND 04208N788 101731298 9350303 X 8799739 0 550564 ARMADA MICHIGAN MUNICIPAL BOND FUND 04208N788 33474880 3076735 X 2650301 9402 417032 ARMADA U.S. GOVERNMENT INCOME FUND 04208N846 137065999 14675161 X 14334018 5459 335684 ARMADA U.S. GOVERNMENT INCOME FUND 04208N846 22503473 2409365 X 1912280 22741 474345 ARMADA MONEY MARKET FUND 042086108 23347034 23347034 X 23159515 0 187519 ARMADA MONEY MARKET FUND 042086108 2202 2202 X 2202 0 0 ARMADA FDS 042086272 35502469 3829824 X 3784969 2768 42088 ARMADA FDS 042086272 1397567 150762 X 139852 0 10910 ARMADA GOVERNMENT MONEY MKT 042086306 5076410 5076410 X 5075845 0 564 ARMADA GOVERNMENT MONEY MKT 042086306 268 268 X 268 0 0 ARMADA TAX MANAGED EQUITY FD #233 042086330 138176849 11466958 X 11218725 161732 86502 ARMADA TAX MANAGED EQUITY FD #233 042086330 51788033 4297762 X 3924622 163271 209869 ARMADA NATIONAL TAX EXEMPT BD FD 042086363 110838109 11083811 X 10831054 23342 229415 ARMADA NATIONAL TAX EXEMPT BD FD 042086363 38734918 3873492 X 3511157 107959 254375 ARMADA TREASURY MONEY MKT FD 042086504 770720 770720 X 770720 0 0 ARMADA TREASURY MONEY MKT FD 042086504 86000 86000 X 86000 0 0 ARMADA SMALL CAP GROWTH FUND #519 042086579 224582181 20435139 X 20127002 29341 278796 ARMADA SMALL CAP GROWTH FUND #519 042086579 31511402 2867280 X 2612855 121174 133251 ARMADA CORE EQUITY FUND #681 042086595 109822614 9831926 X 9815970 922 15034 ARMADA CORE EQUITY FUND #681 042086595 1650618 147772 X 118720 3453 25600 ARMADA INTERNATIONAL EQUITY FD 042086629 428456616 44864567 X 44290370 58114 516083 ARMADA INTERNATIONAL EQUITY FD 042086629 54332376 5689254 X 5118920 236204 334130 ARMADA EQUITY INDEX FUND #42 042086645 76153493 7707843 X 7653796 11530 42517 ARMADA EQUITY INDEX FUND #42 042086645 7155972 724289 X 683530 19506 21253 ARMADA GNMA INSTL CL #666 042086660 114727242 11181992 X 11075478 19602 86912 ARMADA GNMA INSTL CL #666 042086660 17531376 1708711 X 1415986 193077 99648 ARMADA BOND FD INSTL CL #630 042086686 562009424 57582933 X 57083921 49385 449627 ARMADA BOND FD INSTL CL #630 042086686 59995764 6147107 X 5317151 431746 398209 ARMADA TAX EXEMPT MONEY MKT FD #508 042086702 988000 988000 X 988000 0 0 ARMADA TAX EXEMPT MONEY MKT FD #508 042086702 632000 632000 X 580000 0 52000 ARMADA PA MUN BD FD 042086710 34508908 3337419 X 3274934 20599 41886 ARMADA PA MUN BD FD 042086710 8677352 839202 X 557869 226599 54734 ARMADA PA TAX EXEMPT MONEY 042086736 805231 805231 X 805231 0 0 ARMADA OHIO TAX EXEMPT BOND FD 042086751 79278228 7200566 X 7117091 35486 47989 ARMADA OHIO TAX EXEMPT BOND FD 042086751 60840207 5525904 X 5276653 203783 45469 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 2823284823 308663902 300500367 2228441 5935097
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 9 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ ARMADA TOTAL RETURN ADVANTAGE FUND 042086777 238612215 23416312 X 23319879 14656 81777 ARMADA TOTAL RETURN ADVANTAGE FUND 042086777 23161655 2272979 X 2136690 71881 64408 ARMADA INTERMEDIATE BD FUND 042086785 130802 12650 X 0 0 12650 ARMADA INTERMEDIATE BD FUND 042086793 222420494 21531510 X 21168507 119571 243432 ARMADA INTERMEDIATE BD FUND 042086793 30888377 2990162 X 2676640 65124 248398 ARMADA LIMITED MATURITY BOND FD 042086827 144390680 14453522 X 14271243 9813 172465 ARMADA LIMITED MATURITY BOND FD 042086827 15650281 1566595 X 1316481 37743 212371 ARMADA SMALL CAP VALUE FUND #616 042086843 345655682 18230785 X 17851224 41410 338150 ARMADA SMALL CAP VALUE FUND #616 042086843 59078537 3115957 X 2745082 197705 173169 ARMADA LARGE CAP VALUE FUND #614 042086868 336311830 21366698 X 21144712 26506 195481 ARMADA LARGE CAP VALUE FUND #614 042086868 58610901 3723691 X 3239028 166636 318027 ARMADA EQUITY GROWTH FUND 042086884 432042066 19391475 X 19218082 38192 135202 ARMADA EQUITY GROWTH FUND 042086884 67887750 3047027 X 2561896 298597 186534 ARMSTRONG HLDGS INC 042384107 11338 3325 X 3325 0 0 ARMSTRONG HLDGS INC 042384107 179230 52560 X 0 2000 50560 ARROW ELECTRS INC COM 042735100 245180 8200 X 3100 0 5100 ARROW ELECTRS INC COM 042735100 77740 2600 X 1000 0 1600 ARROW FINL CORP 042744102 616055 21105 X 21105 0 0 ARTESYN TECHNOLOGIES INC 043127109 5264870 565507 X 36572 0 528935 ARTISAN FDS INC 04314H204 456801 24880 X 5096 0 19785 ARTISAN FDS INC 04314H204 158431 8629 X 8629 0 0 ARVINMERITOR INC 043353101 745144 37940 X 37940 0 0 ARVINMERITOR INC 043353101 224898 11451 X 9545 0 1906 ASHLAND INC COM 044204105 705393 15308 X 8714 0 6594 ASHLAND INC COM 044204105 72899 1582 X 1582 0 0 ASHMAN ENTERPRISES INC 0448199B8 1478515 17406 X 9906 0 7500 ASHTABULA RUBBER CO CAP 0448829A8 2599695 4050 X 4050 0 0 AT HOME CORP COM 045919107 24 3960 X 3960 0 0 AT HOME CORP COM 045919107 63 10417 X 10417 0 0 ASTEC INDUSTRIES INC COM 046224101 2844860 196740 X 13240 0 183500 ASTORIA FINANCIAL CORP 046265104 6092944 230270 X 18170 0 212100 ASTORIA FINANCIAL CORP 046265104 158760 6000 X 6000 0 0 ESCROW ASTRA AB CLASS A 046298972 0 35000 X 35000 0 0 ASTRAZENECA PLC 046353108 5280992 113326 X 1871 0 111455 ASTRAZENECA PLC 046353108 167154 3587 X 3587 0 0 ATLANTIC COAST AIRLINES HLDGS INC 048396105 3885937 166850 X 6050 0 160800 ATLANTIC COAST AIRLINES HLDGS INC 048396105 76857 3300 X 3300 0 0 ATLAS AIR WORLDWIDE HLDGS INC 049164106 3176750 216843 X 16243 0 200600 ATLAS AIR WORLDWIDE HLDGS INC 049164106 66804 4560 X 0 0 4560 ATMEL CORP COM 049513104 477576 64800 X 63500 0 1300 HILTON GROUP PLC ORD (GBP) 0500254S1 5443642 1760147 X 17900 0 1742247 ESC AUDRE RECOGNITION SYSTEMS INC 050904994 0 32250 X 32250 0 0 AUSTRALIA & NEW ZEALAND BKG GROUP 052528304 342675 7500 X 7500 0 0 AUTOMATIC DATA PROCESSING INC COM 053015103 137652481 2337054 X 2234271 5890 96893 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 2153344978 141086510 134273287 1095724 5717499
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 10 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ AUTOMATIC DATA PROCESSING INC COM 053015103 165473896 2809404 X 2490671 170875 147858 AUTONATION INC 05329W102 1850 150 X 150 0 0 AUTONATION INC 05329W102 3763424 305225 X 305225 0 0 AUTOZONE INC COM 053332102 848891 11823 X 4131 0 7692 AUTOZONE INC COM 053332102 9190 128 X 128 0 0 AVALONBAY CMNTYS INC 053484101 2068346 43719 X 42567 0 1152 AVALONBAY CMNTYS INC 053484101 3777845 79853 X 73277 5032 1544 AVAYA INC 053499109 510081 41982 X 13166 0 28816 AVAYA INC 053499109 658858 54227 X 49889 640 3698 AVENTIS -SPON ADR 053561106 128368 1808 X 1728 0 80 AVENTIS -SPON ADR 053561106 316802 4462 X 4012 0 450 AVERY DENNISON CORP COM 053611109 44129070 780631 X 559745 390 220496 AVERY DENNISON CORP COM 053611109 1800650 31853 X 29003 1100 1750 AVNET INC COM 053807103 224136 8800 X 2200 0 6600 AVNET INC COM 053807103 106974 4200 X 600 0 3600 AVON PRODS INC COM 054303102 10905878 234535 X 141537 0 92998 AVON PRODS INC COM 054303102 412223 8865 X 2120 3000 3745 AXA 054536107 47256 2248 X 2248 0 0 AXA 054536107 199522 9492 X 9492 0 0 AXCELIS TECHNOLOGIES INC 054540109 631932 49025 X 49025 0 0 AXCELIS TECHNOLOGIES INC 054540109 746859 57941 X 51704 0 6237 BB&T CORP 054937107 1938746 53690 X 23585 0 30105 BB&T CORP 054937107 39793 1102 X 1102 0 0 BP PLC ADR 055622104 149525697 3214915 X 3040100 6296 168519 BP PLC ADR 055622104 154526312 3322432 X 2719946 201062 401424 BMC SOFTWARE INC COM 055921100 3429499 209499 X 7264 0 202235 BMC SOFTWARE INC COM 055921100 45721 2793 X 1623 150 1020 DEUTSCHE INTERNATIONAL EQUITY FUND 055922868 427731 22667 X 22667 0 0 BABSON DAVID L GROWTH FUND INC COM 056161102 472358 42670 X 0 0 42670 BABSON VALUE FD INC COM 056177108 266334 6387 X 6387 0 0 BAKER HUGHES INC COM 057224107 1092678 29961 X 6905 0 23056 BAKER HUGHES INC COM 057224107 96864 2656 X 1956 0 700 BANCFIRST OHIO CORP COM 059450106 89210 3694 X 3694 0 0 BANCFIRST OHIO CORP COM 059450106 278933 11550 X 11550 0 0 BANCO SANTANDER CENT HISPANO 05964H105 1660 200 X 200 0 0 BANCO SANTANDER CENT HISPANO 05964H105 348832 42028 X 39580 2448 0 BANK OF AMER CORP 060505104 31471097 499938 X 315131 180 184627 BANK OF AMER CORP 060505104 6597601 104807 X 89960 2291 12556 BANK NEW YORK INC COM 064057102 52919191 1297039 X 831236 445 465358 BANK NEW YORK INC COM 064057102 2691290 65963 X 62443 3150 370 BANK ONE CORP COM 06423A103 33221788 850750 X 760558 1000 89192 BANK ONE CORP COM 06423A103 18842953 482534 X 401447 20723 60364 BANK PLUS CORP COM 064446107 1525326 210100 X 210100 0 0 BANK PLUS CORP COM 064446107 14520 2000 X 0 0 2000 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 696626185 15019746 12390052 418782 2210912
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 11 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ BANKNORTH GROUP INC NEW 06646R107 65984 2930 X 2930 0 0 BANKNORTH GROUP INC NEW 06646R107 135120 6000 X 6000 0 0 BANKUNITED FINL CORP CL A 06652B103 742500 50000 X 50000 0 0 BARBER GROCERY CO INC COM 067132100 797667 1170 X 1170 0 0 BARCLAYS PLC-SPONS ADR 06738E204 296010 2200 X 2200 0 0 BARD C R INC 067383109 408995 6341 X 2860 0 3481 BARD C R INC 067383109 1254654 19452 X 16277 0 3175 BARNES & NOBLE INC COM 067774109 1545860 52225 X 225 0 52000 BARNES & NOBLE INC COM 067774109 34040 1150 X 1150 0 0 BARRICK GOLD CORP 067901108 724499 45423 X 8635 0 36788 BARRICK GOLD CORP 067901108 118078 7403 X 7085 318 0 BARON ASSET FD#585 068278100 1689747 38006 X 33612 0 4394 BARON ASSET FD#585 068278100 931264 20946 X 19834 0 1113 BARRA INC 068313105 3001988 63750 X 2600 0 61150 BARRY COUNTY SERVICE COMPANY 068810894 210000 3000 X 3000 0 0 PILKINGTON PLC ORD (GBP) 0688462S2 16228 10000 X 10000 0 0 SCOTTISH POWER PLC ORD (GBP) 0690070S2 3452129 615949 X 8300 0 607649 BAUSCH & LOMB INC COM 071707103 172671 4585 X 902 0 3683 BAUSCH & LOMB INC COM 071707103 92870 2466 X 2466 0 0 BAXTER INTL INC COM 071813109 16921230 315518 X 169162 0 146356 BAXTER INTL INC COM 071813109 3715862 69287 X 54639 8700 5948 VODAFONE GROUP PLC ORD (GBP) 0719210S0 12550833 4804257 X 14000 0 4790257 BAY VIEW CAP CORP DEL COM 07262L101 3713869 506667 X 35317 0 471350 BAY VIEW CAP CORP DEL COM 07262L101 36650 5000 X 5000 0 0 BEARGRASS CORP COM 073000606 10000 20000 X 20000 0 0 BAYOU STL CORP LA PLACE CL A 073051104 4000 10000 X 10000 0 0 BAYOU STL CORP LA PLACE CL A 073051104 400 1000 X 1000 0 0 BEA SYS INC 073325102 44013 2858 X 1458 0 1400 BEA SYS INC 073325102 137060 8900 X 4000 0 4900 BRITISH ENERGY PLC ORD (GBP) 0738293S0 2776035 828405 X 8188 0 820217 BEAR STEARNS COS INC COM 073902108 473928 8082 X 1615 0 6467 BEAR STEARNS COS INC COM 073902108 7037 120 X 120 0 0 ROYAL BK OF SCOTLAND GROUP ORD (GBP) 0754783S4 5958056 244842 X 2550 0 242292 BECTON DICKINSON & CO COM 075887109 1176129 35479 X 17785 0 17694 BECTON DICKINSON & CO COM 075887109 665851 20086 X 17686 2400 0 BED BATH & BEYOND INC COM 075896100 4788917 141266 X 121439 0 19827 BED BATH & BEYOND INC COM 075896100 345780 10200 X 10200 0 0 BELLSOUTH CORP COM 079860102 54883506 1438624 X 1023012 850 414762 BELLSOUTH CORP COM 079860102 39250704 1028852 X 928220 51142 49490 BELO A H CORP SER A 080555105 9440231 503479 X 54979 0 448500 BEMIS INC COM 081437105 719602 14632 X 9505 0 5127 BEMIS INC COM 081437105 145573 2960 X 2960 0 0 BENICORP COM 0820469A3 0 21000 X 0 0 21000 SOMERFIELD PLC ORD (GBP) 0821869S8 2771197 2301009 X 26057 0 2274952 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 176226767 13295519 2718138 63410 10513972
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 12 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ BERGER SMALL CAP VALUE FUND 083902106 482524 17190 X 17000 0 190 BERGER SMALL CAP VALUE FUND 083902106 185809 6619 X 6619 0 0 BERGER SMALL CAP VALUE FUND 083902205 23468311 833688 X 828518 0 5170 BERGER SMALL CAP VALUE FUND 083902205 5236785 186031 X 155761 21178 9093 BERGER SMALL COMPANY GROWTH FUND 084045103 2972448 937681 X 919475 0 18205 BERGER SMALL COMPANY GROWTH FUND 084045103 123586 38986 X 12720 20919 5348 BERGER SMALL COMPANY GR INSTL SHS 084045871 310412 97308 X 97308 0 0 BERKLEY W R CORP COM 084423102 4347015 80950 X 2850 0 78100 BERKSHIRE HATHAWAY INC DEL 084670108 14853900 201 X 195 4 2 BERKSHIRE HATHAWAY INC DEL 084670108 12710800 172 X 81 31 60 BERKSHIRE HATHAWAY INC DEL 084670207 16136644 6391 X 6325 66 0 BERKSHIRE HATHAWAY INC DEL 084670207 53464981 21174 X 17821 2116 1237 BERNSTEIN SANFORD C, FD INC 085568707 12207353 767758 X 722325 0 45433 BERNSTEIN SANFORD C, FD INC 085568707 1606845 101059 X 100106 0 954 BEST BUY INC COM 086516101 1821110 24451 X 10069 0 14382 BEST BUY INC COM 086516101 22344 300 X 300 0 0 BETHLEHEM STL CORP 087509105 245 545 X 545 0 0 BETHLEHEM STL CORP 087509105 5353 11896 X 70 0 11826 BEVERLY ENTERPRISES INC 087851309 6692245 778168 X 55410 0 722758 BICO INC 088766100 1800 60000 X 60000 0 0 BIG LOTS INC 089302103 157352 15130 X 3850 0 11280 BIG LOTS INC 089302103 4160 400 X 400 0 0 BILOXI MARSH LANDS CORP CAP 090203100 87237 10770 X 10770 0 0 BIOGEN INC COM 090597105 1646404 28708 X 13908 0 14800 BIOGEN INC COM 090597105 477726 8330 X 6030 0 2300 BIOMEC INC 0906099A8 125000 12500 X 12500 0 0 BIOMET INC COM 090613100 3549390 114867 X 93504 0 21363 BIOMET INC COM 090613100 1579917 51130 X 46000 0 5130 BIOVAIL CORP 09067J109 202500 3600 X 3600 0 0 BIORELIANCE CORP 090951104 3604766 126350 X 4450 0 121900 BLACK & DECKER CORP 091797100 244566 6482 X 899 0 5583 BLACK & DECKER CORP 091797100 305575 8099 X 6099 2000 0 BLACKROCK FDS 091927103 608413 608413 X 608413 0 0 BLACKROCK FDS 091927566 182017 14034 X 1877 0 12157 BLACKROCK FDS 091927624 200678 19389 X 4857 0 14532 BLACKROCK FDS 091927673 234299 10602 X 321 0 10281 BLACKROCK INTERNATIONAL EQUITY PTF 091927780 156187 17994 X 17994 0 0 BLACKROCK FDS 091927806 255643 20650 X 20650 0 0 BLACKROCK FDS 091928101 6754153 510518 X 499240 0 11278 BLACKROCK FDS 091928598 149726 14006 X 14006 0 0 BLACKROCK FDS 091928747 117729 12162 X 12162 0 0 BLACKROCK FDS 091928861 109313 12380 X 8339 0 4040 BLACKROCK FDS 091929877 1162760 119749 X 88175 0 31574 BLACK HILLS CORP COM 092113109 1188630 35125 X 675 0 34450 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 179754651 5751956 4492217 46314 1213426
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 13 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ BLACK HILLS CORP COM 092113109 101520 3000 X 3000 0 0 BLACKROCK INCOME TR INC COM 09247F100 169142 22950 X 22950 0 0 BLACKROCK INCOME TR INC COM 09247F100 14740 2000 X 2000 0 0 BLOCK H & R INC 093671105 1093094 24454 X 11900 0 12554 BLOCK H & R INC 093671105 1042136 23314 X 19114 0 4200 BOB EVANS FARMS INC COM 096761101 1965305 79988 X 79988 0 0 BOB EVANS FARMS INC COM 096761101 967100 39361 X 33011 2772 3578 BOEING CO 097023105 5492334 141628 X 79580 200 61848 BOEING CO 097023105 2550056 65757 X 49737 10080 5940 BORDERS GROUP INC COM 099709107 119834 6040 X 6040 0 0 BORDERS GROUP INC COM 099709107 115568 5825 X 2925 0 2900 BORG WARNER INC 099724106 5782351 110667 X 11967 0 98700 BORG WARNER INC 099724106 26125 500 X 200 0 300 BOSTON SCIENTIFIC CORP COM 101137107 864750 35852 X 8278 0 27574 BOSTON SCIENTIFIC CORP COM 101137107 174556 7237 X 3163 0 4074 BOYD & SHRIVER INC 103299905 316709 150 X 150 0 0 BOYKIN LODGING CO COM 103430104 66948 8400 X 8400 0 0 BOYKIN LODGING CO COM 103430104 68901 8645 X 8645 0 0 BRACKNELL CORP 10382K102 38886 1037788 X 1037788 0 0 BOYLE BANCORP INC 103990107 754000 13000 X 13000 0 0 BRADY CORP CL A 104674106 54900 1500 X 1500 0 0 BRADY CORP CL A 104674106 164700 4500 X 4500 0 0 BRANDYWINE FD INC COM 10532D107 3747144 160477 X 160477 0 0 BRANDYWINE FD INC COM 10532D107 138679 5939 X 5939 0 0 BRIGHTPOINT INC COM 109473108 32185 10250 X 0 0 10250 BRISTOL MYERS SQUIBB CO COM 110122108 156869184 3075866 X 2909698 2245 163923 BRISTOL MYERS SQUIBB CO COM 110122108 218685419 4287949 X 4090687 81104 116158 BROADWAY INVESTMENT COMPANY INC 110990108 161874 22 X 22 0 0 BROADWAY INVESTMENT COMPANY INC 110990108 749136 100 X 100 0 0 BROADCOM CORP 111320107 1295089 31688 X 5487 0 26201 BROADCOM CORP 111320107 143658 3515 X 1565 0 1950 BROADWING INC 111620100 219393 23094 X 20994 0 2100 BROADWING INC 111620100 160018 16844 X 13644 0 3200 BROCADE COMMUNICATIONS SYSTEMS INC 111621108 2301840 69500 X 16800 0 52700 BROCADE COMMUNICATIONS SYSTEMS INC 111621108 823860 24875 X 20655 0 4220 BROOKS AUTOMATION INC 11434A100 11249322 276600 X 16050 0 260550 BROOKS AUTOMATION INC 11434A100 81340 2000 X 2000 0 0 BROTHERHOOD BANCSHARES INC 114816101 515900 6700 X 0 6700 0 BROWN FORMAN CORP CL A 115637100 143939939 2250820 X 60107 0 2190713 BROWN FORMAN CORP CL A 115637100 758146499 11855301 X 311013 0 11544288 BROWN FORMAN CORP CL B 115637209 7206262 115116 X 109199 0 5917 BROWN FORMAN CORP CL B 115637209 562658127 8988149 X 1717503 0 7270646 BRUNSWICK CO COM 117043109 806012 37041 X 24525 0 12516 BRUNSWICK CO COM 117043109 132845 6105 X 6105 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1892007380 32890507 10900406 103101 21887000
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 14 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ BUCA INC 117769109 4791676 295600 X 10400 0 285200 BURLINGTON NORTHERN SANTA FE CORP 12189T104 2032791 71251 X 44342 0 26909 BURLINGTON NORTHERN SANTA FE CORP 12189T104 1137634 39875 X 29667 6000 4208 BURLINGTON RES INC COM 122014103 15454467 411680 X 366609 1350 43721 BURLINGTON RES INC COM 122014103 7752873 206523 X 179619 18070 8834 W S BUTTERFIELD THEATRES 124160995 0 107804 X 107804 0 0 PUT NEW S&P 500 INDEX DEC'02 12486P9XW 1015000 5800 X 5800 0 0 C-COR NET CORP COM 125010108 4177219 286700 X 10300 0 276400 CDC NVEST FDS TR I 12506R542 88055 11275 X 11275 0 0 CDW COMPUTER CTRS INC COM 125129106 2698928 50250 X 0 0 50250 CEC ENTMT INC 125137109 4122050 95000 X 0 0 95000 CEC ENTMT INC 125137109 138848 3200 X 3200 0 0 CGM REALTY FUND 125325407 128501 9540 X 6705 2011 825 CGM REALTY FUND 125325407 11257 836 X 836 0 0 C H ROBINSON WORLDWIDE INC 12541W100 4257734 147250 X 9050 0 138200 CIGNA CORP COM 125509109 4655848 50252 X 34866 0 15386 CIGNA CORP COM 125509109 5490346 59259 X 58568 253 438 CLECO CORP NEW 12561W105 127338 5796 X 5796 0 0 CLECO CORP NEW 12561W105 135731 6178 X 6178 0 0 CMA MONEY FD 125670109 130924 130924 X 130924 0 0 CMS ENERGY CORP COM 125896100 428022 17812 X 8746 0 9066 CMS ENERGY CORP COM 125896100 189909 7903 X 3403 4500 0 CNET NETWORKS INC 12613R104 50232 5600 X 5200 0 400 CNET NETWORKS INC 12613R104 100625 11218 X 818 0 10400 CNB CORP COM 12613T100 1043280 17388 X 17388 0 0 CSX CORP COM 126408103 3377348 96358 X 69200 0 27158 CSX CORP COM 126408103 1751799 49980 X 40397 1500 8083 CUNO INC 126583103 627050 20559 X 20559 0 0 CUNO INC 126583103 654073 21445 X 21445 0 0 CVS CORPORATION (DEL) 126650100 7640352 258120 X 224944 550 32626 CVS CORPORATION (DEL) 126650100 2587839 87427 X 79411 2936 5080 CABLE DESIGN CORP COM 126924109 248976 18200 X 12700 700 4800 CAL DIVE INTL INC 127914109 318372 12900 X 6200 0 6700 CALGON CARBON CORP COM 129603106 133600 16000 X 16000 0 0 CALIFORNIA CTR BK L A CA 13007A103 808000 80000 X 80000 0 0 CALPINE CORP 131347106 13656717 813384 X 221744 0 591640 CALPINE CORP 131347106 405479 24150 X 22150 0 2000 CAMBREX CORP COM 132011107 3921558 89944 X 6344 0 83600 CAMCO FINL CORP 132618109 723265 56950 X 56950 0 0 CAMPBELL SOUP CO COM 134429109 1383130 46305 X 18258 0 28047 CAMPBELL SOUP CO COM 134429109 1415719 47396 X 39596 2600 5200 CAMPELL STRATEGIC ALLOCATION 134441104 300000 186 X 186 0 0 CANADIAN NATL RY CO 136375102 663753 13748 X 13748 0 0 CANADIAN OIL SANDS TR NEW 13642L100 361346 14950 X 3550 0 11400 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 101137664 3822916 2010876 40470 1771571
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 15 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ CANON INC ADR REPSTG 5 SHS 138006309 17530 500 X 500 0 0 CANON INC ADR REPSTG 5 SHS 138006309 275922 7870 X 5870 0 2000 AMERICAN FUNDS 140193103 423384 9713 X 9713 0 0 AMERICAN FUNDS 140193103 99953 2293 X 2293 0 0 CAPITAL ONE FINL CORP COM 14040H105 46278202 857798 X 500206 385 357207 CAPITAL ONE FINL CORP COM 14040H105 894005 16571 X 16021 550 0 CAPITAL PRESERVATION FD UNIT PARTN 140411109 304869 30487 X 30487 0 0 CAPITAL WORLD GROWTH & INCOME FD INC 140543109 301922 12323 X 12323 0 0 CARDINAL ALUMINUM CO 140991100 1001000 1300 X 1300 0 0 CARDIAC SCIENCE INC 141410209 3317083 745412 X 41162 0 704250 CARDINAL HEALTH INC COM 14149Y108 15998888 247431 X 216806 0 30625 CARDINAL HEALTH INC COM 14149Y108 7277224 112546 X 46881 6461 59204 CARDIODYNAMICS INTL CORP 141597104 4469464 676167 X 24667 0 651500 CAREER EDUCATION CORP 141665109 6214964 181300 X 3300 0 178000 CAREER EDUCATION CORP 141665109 178256 5200 X 5200 0 0 CAREMARK RX INC 141705103 1837436 112657 X 6657 0 106000 CAREMARK RX INC 141705103 35539 2179 X 379 0 1800 CARNIVAL CORP COM 143658102 2567411 91432 X 51267 0 40165 CARNIVAL CORP COM 143658102 891933 31764 X 30864 0 900 CARPENTER TECHNOLOGY CORP 144285103 5324 200 X 200 0 0 CARPENTER TECHNOLOGY CORP 144285103 226270 8500 X 2500 6000 0 CASELLA WASTE SYS INC 147448104 6926415 467685 X 34085 0 433600 CASELLA WASTE SYS INC 147448104 5924 400 X 400 0 0 CATALINA LTG INC 148865108 6120 18000 X 18000 0 0 CATERPILLAR INC COM 149123101 9879273 189077 X 120298 0 68779 CATERPILLAR INC COM 149123101 7833007 149914 X 129591 6410 13913 CATHARON PRODUCTIONS INC 149145906 10000 20000 X 0 0 20000 CEDAR FAIR LP DEPOSITARY UNITS 150185106 1319073 53210 X 51410 600 1200 CEDAR FAIR LP DEPOSITARY UNITS 150185106 3662251 147731 X 119331 5900 22500 CENDANT CORP 151313103 1825122 93071 X 27069 0 66002 CENDANT CORP 151313103 1551935 79140 X 51340 16000 11800 CENTEX CONSTRUCTION PRODS INC 15231R109 3833212 119601 X 8801 0 110800 CENTEX CORP COM 152312104 270093 4731 X 657 0 4074 CENTEX CORP COM 152312104 3882 68 X 68 0 0 CENTRAL PARK MEDIA CORPORATION CL B 1547849B0 2 33750 X 0 0 33750 CENTURI INC 156410102 1 10000 X 10000 0 0 CENTURY BUSINESS SVCS INC 156490104 4038917 1756051 X 1756051 0 0 CENTURY INSTRUMENT CORPORATION CLASS 156573107 256500 9500 X 9500 0 0 CENTURYTEL INC 156700106 559765 17066 X 7381 0 9685 CENTURYTEL INC 156700106 129265 3941 X 3787 0 154 CERES GROUP INC 156772105 3510149 951260 X 64855 0 886405 CERTEGY INC 156880106 13688 400 X 400 0 0 CERTEGY INC 156880106 186499 5450 X 3050 0 2400 CHAMPION INDUSTRIES INC/WV COM 158520106 45820 15800 X 15800 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 138483492 7299489 3440470 42306 3816713
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 16 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ CHARITABLE TEMPORARY INVESTMENT FD 1596409A1 19321 19321 X 19321 0 0 CHARTER ONE FINL INC COM 160903100 1252538 46134 X 24518 0 21616 CHARTER ONE FINL INC COM 160903100 967409 35632 X 35475 0 157 CHARMING SHOPPES INC 161133103 6119281 1152407 X 82607 0 1069800 CHEMFIRST INC 16361A106 4579900 191068 X 13368 0 177700 CHEMICAL FINL CORP 163731102 176104 5839 X 5839 0 0 CHEMICAL FINL CORP 163731102 74736 2478 X 2478 0 0 CHESAPEAKE ENERGY CORP COM 165167107 2980185 450860 X 33960 0 416900 CHESAPEAKE ENERGY CORP COM 165167107 77337 11700 X 11700 0 0 CHESTNUT STREET EXCHANGE 166668103 4378777 12864 X 12864 0 0 CHEVRONTEXACO CORP 166764100 174848555 1951217 X 1475578 1584 474055 CHEVRONTEXACO CORP 166764100 68652372 766124 X 566314 94294 105516 CHIPPAC INC 169657103 1775532 239290 X 17490 0 221800 CHIRON CORP 170040109 959263 21881 X 2973 0 18908 CHIRON CORP 170040109 43840 1000 X 1000 0 0 CHRYSALIS VENTURES II LTD PTNRSHP 1711909A1 40000 40000 X 40000 0 0 CHUBB CORP COM 171232101 15026406 217774 X 160836 400 56538 CHUBB CORP COM 171232101 22500003 326087 X 321577 1381 3129 CHURCH & DWIGHT INC COM 171340102 2355850 88466 X 88466 0 0 CHURCH & DWIGHT INC COM 171340102 1796194 67450 X 65750 1000 700 CHURCHILL DOWNS INC COM 171484108 1505197 40714 X 40714 0 0 CHURCHILL DOWNS INC COM 171484108 368221 9960 X 9960 0 0 AQUILA CHURCHILL 171562101 1232971 119590 X 119590 0 0 AQUILA CHURCHILL 171562101 463250 44932 X 44932 0 0 CHURCHILL TAX FREE FD KY 171562408 2584711 250456 X 250456 0 0 CIENA CORP 171779101 579297 40482 X 7895 0 32587 CIENA CORP 171779101 609821 42615 X 35685 0 6930 CINCINNATI FINL CORP COM 172062101 6226538 163212 X 148422 0 14790 CINCINNATI FINL CORP COM 172062101 8704914 228176 X 222814 2445 2917 CINDERELLA INCORPORATED CLASS B 172398950 371280 4800 X 4800 0 0 CINERGY CORP COM 172474108 1145646 34270 X 15298 0 18972 CINERGY CORP COM 172474108 293983 8794 X 6578 0 2216 CIRCUIT CITY STORES-CIRCUIT CITY 172737108 482333 18587 X 4298 0 14289 CIRCUIT CITY STORES-CIRCUIT CITY 172737108 5969 230 X 230 0 0 CISCO SYS INC COM 17275R102 121033150 6683222 X 5932140 21153 729929 CISCO SYS INC COM 17275R102 67671039 3736667 X 3300018 178057 258592 CINTAS CORP COM 172908105 37221840 775455 X 724407 825 50223 CINTAS CORP COM 172908105 17537328 365361 X 320257 17044 28060 CITIGROUP INC COM 172967101 194835955 3859666 X 2601618 4202 1253846 CITIGROUP INC COM 172967101 59019096 1169158 X 1035818 63730 69610 CITIZENS BKG CORP MICH 174420109 3520560 107073 X 107073 0 0 CITIZENS BKG CORP MICH 174420109 697056 21200 X 21200 0 0 CITIZENS COMMUNICATIONS CO 17453B101 422989 39680 X 11265 0 28415 CITIZENS COMMUNICATIONS CO 17453B101 142354 13354 X 11806 0 1548 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 835299101 23425246 17959388 386115 5079743
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 17 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ CITRIX SYS INC COM 177376100 37548096 1657021 X 987972 470 668579 CITRIX SYS INC COM 177376100 722401 31880 X 30825 970 85 CITY HLDG CO 177835105 505680 42000 X 42000 0 0 CITY HLDG CO 177835105 60200 5000 X 5000 0 0 CLARCOR INC COM 179895107 183263 6750 X 6750 0 0 CLARCOR INC COM 179895107 143895 5300 X 5300 0 0 CLASSIC BANCSHARES INC COM 18272M104 1147631 72750 X 0 0 72750 CLEAR CHANNEL COMMUNICATIONS INC COM 184502102 18018831 353935 X 126062 275 227598 CLEAR CHANNEL COMMUNICATIONS INC COM 184502102 2329743 45762 X 43788 650 1324 CLEVELAND IGNITION CO COM 1861809A5 1 10045 X 10045 0 0 CLEVETRUST REALTY INVESTORS 186780102 13000 1300000 X 0 0 1300000 CLIFFORD JACOBS FORGING COMPANY 187995105 421500 281 X 281 0 0 CLOROX CO COM 189054109 4143733 104772 X 87826 200 16746 CLOROX CO COM 189054109 2834667 71673 X 64298 2325 5050 COCA-COLA CO COM 191216100 86655102 1837860 X 1618686 975 218199 COCA-COLA CO COM 191216100 89322791 1894439 X 1771388 23985 99066 COCA COLA ENTERPRISE INC COM 191219104 669889 35369 X 4785 0 30584 COCA COLA ENTERPRISE INC COM 191219104 12993 686 X 686 0 0 COHEN FURNITURE COMPANY 191995109 673320 186 X 93 0 93 COHEN FURNITURE COMPANY 191995109 14480 4 X 0 0 4 COHESANT TECHNOLOGIES INC COM 192480101 565656 131548 X 0 0 131548 COLGATE-PALMOLIVE CO COM 194162103 12174797 210819 X 170677 240 39902 COLGATE-PALMOLIVE CO COM 194162103 7877331 136404 X 118910 13172 4322 COMCAST CORP CL A 200300101 133020 3695 X 3695 0 0 COMCAST CORP CL A 200300101 75600 2100 X 600 0 1500 COMCAST CORP CL A SPL 200300200 76660452 2129457 X 1684899 2705 441853 COMCAST CORP CL A SPL 200300200 16329528 453598 X 406727 24337 22534 COMERICA INC COM 200340107 27715953 483699 X 175540 0 308159 COMERICA INC COM 200340107 347181 6059 X 6059 0 0 COMMERCE BANCORP INC NJ 200519106 1652280 42000 X 42000 0 0 COMMERCE BANCSHARES INC COM 200525103 438754 11253 X 11253 0 0 COMMERCE BANCSHARES INC COM 200525103 2098169 53813 X 44121 9692 0 COMMERICIAL FED CORP COM 201647104 2044500 87000 X 87000 0 0 COMMONWEALTH FINANCIAL CORP 202999A16 225000 0 X 0 0 0 COMMSCOPE INC 203372107 99969 4700 X 4700 0 0 COMMSCOPE INC 203372107 186113 8750 X 8750 0 0 COMMUNITY BK NATL ASSN CARMICHAELS 203564109 394856 35896 X 35896 0 0 COMMUNITY FINL CORP ILL COM 20364V109 495000 33000 X 33000 0 0 COMMUNITY WEST BANCSHARES 204157101 444000 74000 X 74000 0 0 COMPANHIA PARANAENSE ENERG C 20441B407 747595 95235 X 1350 0 93885 COMPASS BANCSHARES INC COM 20449H109 4105509 145071 X 131991 1200 11880 COMPASS BANCSHARES INC COM 20449H109 602649 21295 X 18835 2050 410 COMPAQ COMPUTER CORP COM 204493100 1962433 201069 X 83326 800 116943 COMPAQ COMPUTER CORP COM 204493100 772192 79118 X 58598 1800 18720 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 403569753 11925292 8007712 85846 3831734
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 18 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ COMPUTER ASSOC INTL INC COM 204912109 1982485 57480 X 17895 0 39585 COMPUTER ASSOC INTL INC COM 204912109 125647 3643 X 2968 675 0 COMPUTER SCIENCES CORP COM 205363104 3218182 65704 X 54002 0 11702 COMPUTER SCIENCES CORP COM 205363104 251218 5129 X 5129 0 0 COMPUWARE CORP COM 205638109 403418 34217 X 8952 0 25265 COMPUWARE CORP COM 205638109 23674 2008 X 408 0 1600 COMVERSE TECHNOLOGY INC COM PAR 0.10 205862402 432569 19337 X 2258 0 17079 COMVERSE TECHNOLOGY INC COM PAR 0.10 205862402 118561 5300 X 50 0 5250 CONAGRA FOODS INC 205887102 14645767 616145 X 210053 0 406092 CONAGRA FOODS INC 205887102 3730440 156939 X 155939 1000 0 CONCORD EFS INC COM 206197105 63519019 1937737 X 1402049 1300 534388 CONCORD EFS INC COM 206197105 2561429 78140 X 76490 850 800 CONEXANT SYSTEMS INC 207142100 2555147 177935 X 153329 0 24606 CONEXANT SYSTEMS INC 207142100 622650 43360 X 32308 500 10552 CONNEAUT TEL CO COM 207525106 367198 487 X 487 0 0 CONOCO INC 208251504 19634936 693814 X 319089 364 374361 CONOCO INC 208251504 3615948 127772 X 89312 15809 22651 CONSECO INC COM 208464107 278911 62536 X 39332 0 23204 CONSECO INC COM 208464107 183096 41053 X 6141 0 34912 CONSOLIDATED EDISON INC 209115104 3288371 81476 X 60707 0 20769 CONSOLIDATED EDISON INC 209115104 1190216 29490 X 24510 2530 2450 CONSTELLATION BRANDS INC CL A 21036P108 2198205 51300 X 0 0 51300 CONSTELLATION BRANDS INC CL A 21036P108 222820 5200 X 5200 0 0 CONSTELLATION ENERGY CORP 210371100 704265 26526 X 13178 0 13348 CONSTELLATION ENERGY CORP 210371100 355611 13394 X 11844 1550 0 CONTINENTAL LAND & FUR CO INC COM 2115569A5 200080 3280 X 3280 0 0 CONTINERE CORPORATION NON-VOTING 2121709A4 37387 25707 X 25707 0 0 CONTROLLED HYDRAULICS INC 212396105 0 35326 X 35326 0 0 CONVERGYS CORP 212485106 2802902 74764 X 57747 0 17017 CONVERGYS CORP 212485106 594179 15849 X 15784 0 65 COOPER COMPANIES INC 216648402 5687874 113803 X 8136 0 105667 COOPER COMPANIES INC 216648402 4148 83 X 0 0 83 COOPER INDS INC COM 216669101 652899 18697 X 12267 0 6430 COOPER INDS INC COM 216669101 637604 18259 X 18059 0 200 COOPER TIRE & RUBBER CO 216831107 212444 13311 X 5828 0 7483 COOPER TIRE & RUBBER CO 216831107 185407 11617 X 4477 0 7140 COPPER MOUNTAIN NETWORKS INC 217510106 8570 5071 X 4811 0 260 COPPER MOUNTAIN NETWORKS INC 217510106 41785 24725 X 24725 0 0 CORINTHIAN COLLEGES INC 218868107 4714617 115300 X 4500 0 110800 CORN PRODS INTL INC 219023108 71981 2042 X 2042 0 0 CORN PRODS INTL INC 219023108 166521 4724 X 4096 622 6 CORNING INC COM 219350105 2272655 254782 X 184740 0 70042 CORNING INC COM 219350105 1189732 133378 X 125028 3550 4800 CORPORATE EXECUTIVE BOARD CO 21988R102 416545 11350 X 4000 0 7350 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 146127113 5218190 3232183 28750 1957257
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 19 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ CORTLAND BANCORP 220587109 205254 9774 X 0 9774 0 COST PLUS INC CALIFORNIA 221485105 5937325 224050 X 7950 0 216100 COST PLUS INC CALIFORNIA 221485105 119250 4500 X 4500 0 0 COSTCO WHSL CORP NEW 22160K105 7712001 173772 X 129894 0 43878 COSTCO WHSL CORP NEW 22160K105 1879271 42345 X 38500 2440 1405 COUNTRYWIDE CR INDS INC COM 222372104 387412 9456 X 1321 0 8135 COUNTRYWIDE CR INDS INC COM 222372104 72886 1779 X 129 500 1150 COX COMMUNICATION INC NEW 224044107 12405 296 X 296 0 0 COX COMMUNICATION INC NEW 224044107 375095 8950 X 6950 2000 0 COX TECHNOLOGIES INC 224056101 3800 10000 X 10000 0 0 CRANE CO COM 224399105 121841 4752 X 652 0 4100 CRANE CO COM 224399105 239580 9344 X 9344 0 0 CREDIT SUISSE INCOME FD 224916106 55298 11104 X 9202 0 1902 CRAY INC 225223106 20757 11100 X 0 0 11100 CREDIT SUISSE WARBURG PINCUS 22543Y103 214735 22392 X 22392 0 0 CREE INC 225447101 407432 13830 X 6140 0 7690 CROMPTON CORP 227116100 3928230 436470 X 30370 0 406100 CROMPTON CORP 227116100 109998 12222 X 11600 622 0 THE CROWN GROUP INC. 228360103 1993600 89000 X 0 0 89000 CULLEN FROST BANKERS INC COM 229899109 2252542 72945 X 72945 0 0 CYTATION CORP 23281Y107 600 23060 X 0 0 23060 CYTEC INDUSTRIES INC 232820100 4006449 148387 X 10787 0 137600 CYTEC INDUSTRIES INC 232820100 64638 2394 X 2394 0 0 CYTYC CORP COM 232946103 11345670 434700 X 10200 0 424500 DCB FINL CORP 233075100 129528 10080 X 10080 0 0 DCB FINL CORP 233075100 12850 1000 X 1000 0 0 DFA US 6-10 SMALL COMPANY 233203843 359951 25729 X 25729 0 0 DELAWARE GROUP TAX FREE PA CL A 233216100 649751 83408 X 83408 0 0 DELAWARE GROUP TAX FREE PA CL A 233216100 297211 38153 X 17939 12682 7532 DQE INC COM 23329J104 466038 24619 X 24619 0 0 DQE INC COM 23329J104 302350 15972 X 9297 1000 5675 DPL INC COM 233293109 15411284 640004 X 591819 2500 45685 DPL INC COM 233293109 6555900 272255 X 239566 17794 14895 D R HORTON INC 23331A109 253188 7800 X 7800 0 0 DST SYS INC DEL COM 233326107 11156629 223804 X 66904 0 156900 DST SYS INC DEL COM 233326107 136041 2729 X 304 0 2425 DTE ENERGY INC COM 233331107 1297917 30947 X 19625 0 11322 DTE ENERGY INC COM 233331107 1006896 24008 X 22172 0 1836 DANA CORP COM 235811106 473572 34119 X 11758 0 22361 DANA CORP COM 235811106 351816 25347 X 23547 300 1500 DANAHER CORPORATION COM 235851102 39565591 656037 X 382977 0 273060 DANAHER CORPORATION COM 235851102 1144684 18980 X 18650 330 0 DARDEN RESTAURANTS INC COM 237194105 599322 16930 X 8820 0 8110 DARDEN RESTAURANTS INC COM 237194105 1176908 33246 X 28546 0 4700 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 122813496 3961789 1980126 49942 1931721
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 20 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ DAVIS 239080104 561371 22075 X 22075 0 0 DAVIS 239080104 187126 7358 X 7358 0 0 DEANS FOODS CO 242370104 1140986 16730 X 16730 0 0 DEAN WITTER SELECT EQUITY TR 24241X262 20183 21245 X 21245 0 0 DEEP VEIN COAL CO INC 2437899A4 2751197 63275 X 39600 23675 0 DEERE & CO COM 244199105 12245277 280469 X 35192 0 245277 DEERE & CO COM 244199105 483273 11069 X 8769 2300 0 DELAWARE GROUP DELCHESTER FUND 245908405 97319 32548 X 32548 0 0 DELAWARE GROUP TAX FREE FD INC 245909106 99764 9111 X 9111 0 0 DELAWARE GROUP TAX FREE FD INC 245909106 152233 13903 X 0 13903 0 DELL COMPUTER CORP COM 247025109 19046820 700766 X 501020 6095 193651 DELL COMPUTER CORP COM 247025109 7902585 290750 X 249638 6345 34767 DELPHI AUTOMOTIVE SYS CORP 247126105 1572042 115084 X 73547 0 41537 DELPHI AUTOMOTIVE SYS CORP 247126105 795900 58265 X 42895 12758 2612 DELTA AIR LINES INC DEL COM 247361108 430561 14715 X 5264 0 9451 DELTA AIR LINES INC DEL COM 247361108 16386 560 X 560 0 0 DELUXE CORP COM 248019101 247276 5947 X 1093 0 4854 DELUXE CORP COM 248019101 78461 1887 X 1887 0 0 DEVELOPERS DIVERSIFIED REALTY CORP 251591103 8569291 448654 X 58754 0 389900 DEVELOPERS DIVERSIFIED REALTY CORP 251591103 601879 31512 X 30012 1500 0 DEVELOPMENTAL VENTURE CAPITAL CORP 251612107 10000 10000 X 10000 0 0 DEVON ENERGY CORPORATION NEW 25179M103 654847 16943 X 4055 0 12888 DEVON ENERGY CORPORATION NEW 25179M103 1045405 27048 X 25305 1440 303 DIAGEO P L C 25243Q205 47103 1018 X 1018 0 0 DIAGEO P L C 25243Q205 177723 3841 X 3841 0 0 DIAMOND OFFSHORE DRILLING INC COM 25271C102 1852880 60950 X 60950 0 0 DIANON SYS INC 252826102 6265440 103050 X 3750 0 99300 DIANON SYS INC 252826102 135341 2226 X 2226 0 0 DIASENSE INC 252834106 1 25000 X 25000 0 0 DIEBOLD INC COM 253651103 865618 21405 X 16312 0 5093 DIEBOLD INC COM 253651103 1309205 32374 X 32174 0 200 DIESEL INJECTION OF LOUISVILLE INC 253706907 436000 109 X 109 0 0 DIGITAL CREATIVE DEV CORP 25384B108 8250 75000 X 75000 0 0 DIME CMNTY BANCSHARES 253922108 1262700 45000 X 45000 0 0 DILGARD FROZEN FOODS INC 253990105 507100 200 X 200 0 0 DILLARD'S INC 254067101 9086768 567923 X 42183 0 525740 DILLARD'S INC 254067101 177152 11072 X 10872 200 0 DIME BANCORP INC NEW COM 25429Q102 541200 15000 X 15000 0 0 DIME BANCORP INC NEW 25429Q110 2250 15000 X 15000 0 0 DISNEY WALT CO 254687106 16428018 792858 X 631003 1450 160405 DISNEY WALT CO 254687106 18005931 869012 X 776661 40694 51657 DIRECT FOCUS INC 254931108 5868720 188100 X 6600 0 181500 DIRECT FOCUS INC 254931108 243360 7800 X 7800 0 0 DISPATCH PRINTING CO CAP VTC 254991102 17208000 956 X 956 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 139138942 5037808 2968313 110360 1959135
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 21 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ DISPATCH PRINTING CO CAP VTC 254991102 24219000 1346 X 0 300 1046 DODGE & COX STOCK FD COM 256219106 29099564 289519 X 287535 0 1984 DODGE & COX STOCK FD COM 256219106 182873 1819 X 1819 0 0 DOLLAR GEN CORP COM 256669102 771597 51785 X 29075 0 22710 DOLLAR GEN CORP COM 256669102 24630 1653 X 1653 0 0 DOMINION RES INC VA NEW 25746U109 27374228 455478 X 104181 2558 348739 DOMINION RES INC VA NEW 25746U109 10184884 169466 X 119223 37012 13231 DONNELLEY R R & SONS CO COM 257867101 962401 32415 X 24352 0 8063 DONNELLEY R R & SONS CO COM 257867101 4039562 136058 X 135958 100 0 DOVER CORP COM 260003108 1252188 33779 X 19817 0 13962 DOVER CORP COM 260003108 392497 10588 X 10588 0 0 DOW CHEM CO COM 260543103 89269690 2642679 X 2553772 900 88007 DOW CHEM CO COM 260543103 22985331 680442 X 617836 14296 48310 DOW JONES & CO INC COM 260561105 482390 8814 X 2022 0 6792 DOW JONES & CO INC COM 260561105 380155 6946 X 4646 2100 200 DREYFUS CASH MGMT 26188J206 156049 156049 X 156049 0 0 DREYFUS / LAUREL FDS INC 261978209 92810 92810 X 92810 0 0 DREYFUS/LAUREL FDS INC 261978381 301570 18696 X 18696 0 0 DREYFUS/LAUREL FDS INC 261978456 180088 13864 X 13864 0 0 DREYFUS FUND #728 261978837 235691 7372 X 7372 0 0 DREYFUS 26200C502 2313220 66529 X 66529 0 0 DREYFUS INTERNATIONAL VALUE FUND 26200C601 171226 12453 X 12453 0 0 DREYFUS INTERNATIONAL VALUE FUND 26200C601 163794 11912 X 11912 0 0 DREYFUS INTL FDS INC 26201H104 111141 9801 X 9801 0 0 DREYFUS INTL FDS INC 26201H104 52006 4586 X 4586 0 0 DREYFUS MUN BD FD INC COM 26201Q104 427663 36772 X 36772 0 0 DREYFUS MUN BD FD INC COM 26201Q104 2475405 212847 X 151392 61455 0 DREYFUS INTER MUNI BD FD INC 262010101 110307 8269 X 8269 0 0 DREYFUS INTER MUNI BD FD INC 262010101 86080 6453 X 6453 0 0 DREYFUS LIQUID ASSET INC 262015100 586298 586298 X 0 0 586298 DREYFUS PREMIER ST MUN BD FD 26202D672 60249 4867 X 4867 0 0 DREYFUS PREMIER ST MUN BD FD 26202D672 466235 37660 X 37660 0 0 DREYFUS PREMIER 26202D813 210685 14159 X 14159 0 0 DU PONT E I DE NEMOURS & CO COM 263534109 26361216 620118 X 545311 667 74140 DU PONT E I DE NEMOURS & CO COM 263534109 28462188 669541 X 558790 63744 47007 DUFF & PHELPS UTILS INCOME INC COM 264324104 586412 53021 X 53021 0 0 DUFF & PHELPS UTILS INCOME INC COM 264324104 244116 22072 X 22072 0 0 DUKE ENERGY CORP COM 264399106 12490412 318146 X 258813 1500 57833 DUKE ENERGY CORP COM 264399106 9203319 234420 X 156230 20465 57725 DUKE REALTY CORP 264411505 2394218 98406 X 97106 0 1300 DUKE REALTY CORP 264411505 1517559 62374 X 54444 3900 4030 DUN & BRADSTREET CORP DEL NE 26483E100 423106 11986 X 11986 0 0 DUN & BRADSTREET CORP DEL NE 26483E100 731487 20722 X 20372 350 0 DUPONT PHOTOMASKS INC 26613X101 2876390 66200 X 2350 0 63850 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 305111930 8001190 6346616 209347 1445227
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 22 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ DUPREE MUT FDS 266155100 917785 123524 X 123524 0 0 DUPREE MUT FDS 266155100 347813 46812 X 46812 0 0 DYCOM INDS INC COM 267475101 167100 10000 X 10000 0 0 DYCOM INDS INC COM 267475101 68511 4100 X 4100 0 0 DYNEGY INC CL A 26816Q101 1037213 40675 X 8211 0 32464 DYNEGY INC CL A 26816Q101 221850 8700 X 2700 0 6000 E M C CORP MASS COM 268648102 21902536 1629653 X 1432704 3950 192999 E M C CORP MASS COM 268648102 14247825 1060106 X 958236 30520 71350 EOG RES INC 26875P101 548518 14025 X 2478 0 11547 EOG RES INC 26875P101 63788 1631 X 1631 0 0 EPIQ SYS INC 26882D109 4525965 233900 X 9600 0 224300 EV CLASS C SR FLOATING-RATE 269261103 156577 17150 X 17150 0 0 EAST WEST BANCORP INC 27579R104 772500 30000 X 30000 0 0 EAST WEST BANCORP INC 27579R104 108150 4200 X 4200 0 0 EASTMAN CHEMICAL CO COM 277432100 467577 11983 X 2893 0 9090 EASTMAN CHEMICAL CO COM 277432100 50804 1302 X 1202 100 0 EASTMAN KODAK CO COM 277461109 1608085 54641 X 34717 0 19924 EASTMAN KODAK CO COM 277461109 601284 20431 X 15197 4284 950 EATON VANCE 277911848 361360 17827 X 17827 0 0 EATON VANCE PRIME RATE 277913109 102202 11157 X 9849 0 1308 EATON CORP COM 278058102 4353506 58507 X 53674 100 4733 EATON CORP COM 278058102 4158998 55893 X 52893 0 3000 EATON VANCE NATIONAL MUNICIPAL FUND 27826L108 147474 15410 X 15410 0 0 EATON VANCE NATIONAL MUNICIPAL FUND 27826L108 104116 10879 X 10879 0 0 EATON VANCE PA MUNS FD CL B 27826L504 130168 12850 X 12850 0 0 EATON VANCE MUNS TR OHIO TAX FREE FD 27826L801 32487 3213 X 3213 0 0 EATON VANCE MUNS TR OHIO TAX FREE FD 27826L801 123286 12194 X 12194 0 0 EATON VANCE INSTITUTIONAL SENIOR 27827J102 106430 11581 X 11581 0 0 EBAY INC COM 278642103 196820 2942 X 2842 0 100 EBAY INC COM 278642103 145441 2174 X 2110 0 64 ECOLAB INC COM 278865100 8664577 215269 X 193830 50 21389 ECOLAB INC COM 278865100 4156940 103278 X 91255 8312 3711 EDISON INTL COM 281020107 576020 38147 X 15767 0 22380 EDISON INTL COM 281020107 101789 6741 X 5569 0 1172 EDWARDS INDS INC COM 2817679A3 239830 414 X 414 0 0 EL PASO CORPORATION 28336L109 77106244 1728452 X 1326381 2368 399703 EL PASO CORPORATION 28336L109 11015815 246936 X 215004 20220 11712 EL PASO ELEC CO COM NEW 283677854 7863394 542303 X 38903 0 503400 EL PASO ENERGY PARTNERS L P 28368B102 39246 1055 X 1055 0 0 EL PASO ENERGY PARTNERS L P 28368B102 182280 4900 X 4900 0 0 ELAN PLC ADR 284131208 7999051 177520 X 36560 0 140960 ELAN PLC ADR 284131208 466731 10358 X 7710 0 2648 ELCOR CORP COM 284443108 6337510 228050 X 8250 0 219800 ELECTRONIC ARTS INC COM 285512109 1828475 30500 X 250 0 30250 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 184354071 6861383 4856525 69904 1934954
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 23 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ ELECTRONIC ARTS INC COM 285512109 179850 3000 X 3000 0 0 ELECTRONIC DATA SYS CORP NEW COM 285661104 12004065 175114 X 141717 0 33397 ELECTRONIC DATA SYS CORP NEW COM 285661104 13109571 191241 X 185043 504 5694 ELECTRONICS FOR IMAGING INC COM 286082102 3069633 137590 X 7140 0 130450 ELECTRONICS FOR IMAGING INC COM 286082102 17848 800 X 800 0 0 GENERAL ELECTRIC 286275102 12892 12892 X 12892 0 0 ELFUN TRS UNIT CTF 286281100 913744 15181 X 14071 0 1110 ELFUN TRS UNIT CTF 286281100 539515 8964 X 8964 0 0 EMAGIN CORP 29076N107 4494 10700 X 10700 0 0 EMBRAER-EMPRESA BRASILEIRA D 29081M102 6093274 275340 X 1960 0 273380 EMERSON ELEC CO COM 291011104 30030032 525920 X 481347 5220 39353 EMERSON ELEC CO COM 291011104 43844635 767857 X 620238 102729 44890 EMMIS COMMUNICATIONS CORP COM 291525103 5161298 218329 X 15429 0 202900 ENERGY EAST CORP 29266M109 65459 3447 X 3447 0 0 ENERGY EAST CORP 29266M109 253782 13364 X 13364 0 0 ENERGIZER HLDGS INC 29266R108 87154 4575 X 4575 0 0 ENERGIZER HLDGS INC 29266R108 1018565 53468 X 9400 400 43668 ENGELHARD CORP COM 292845104 726351 26241 X 17259 0 8982 ENGELHARD CORP COM 292845104 143078 5169 X 4869 0 300 ENRON CORP COM 293561106 35101 58502 X 57202 1000 300 ENRON CORP COM 293561106 32749 54582 X 33201 4325 17056 ENTEGRIS INC 29362U104 6045372 551585 X 40985 0 510600 ENTERCOM COMMUNICATIONS CORP 293639100 4340000 86800 X 3450 0 83350 ENTERCOM COMMUNICATIONS CORP 293639100 50000 1000 X 0 0 1000 ENTERGY CORP NEW COM 29364G103 909425 23253 X 8092 0 15161 ENTERGY CORP NEW COM 29364G103 73292 1874 X 1874 0 0 ENZON INC 293904108 2169594 38550 X 600 0 37950 ENZON INC 293904108 28140 500 X 0 0 500 EQUIFAX INC COM 294429105 295403 12232 X 2397 0 9835 EQUIFAX INC COM 294429105 102976 4264 X 4264 0 0 EQUITABLE BK MD 29444Q105 894250 35000 X 35000 0 0 EQUITABLE RESOURCES INC COM 294549100 9712914 285087 X 33687 0 251400 EQUITABLE RESOURCES INC COM 294549100 1053513 30922 X 22624 6274 2024 EQUITY INCOME FD UNIT 294700703 253936 2163 X 2163 0 0 EQUITY INCOME FD UNIT 294700703 354548 3020 X 1200 0 1820 EQUITY INV FD 29471Q317 4828 14201 X 14201 0 0 EQUITY INV FD 29471T717 5367 11419 X 11419 0 0 EQUITY OFFICE PROPERTIES TR 294741103 1539916 51194 X 10843 0 40351 EQUITY OFFICE PROPERTIES TR 294741103 765957 25464 X 24241 723 500 EQUITY RESIDENTIAL PROPERTIES TRUST 29476L107 936692 32626 X 3757 0 28869 EQUITY RESIDENTIAL PROPERTIES TRUST 29476L107 535556 18654 X 17700 954 0 ERICO HOLDINGS 2948209B3 678600 936 X 936 0 0 ERICSSON L M TEL CO 294821301 113750 10000 X 10000 0 0 ERICSSON L M TEL CO 294821400 1824933 349604 X 346404 0 3200 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 150032052 4152624 2242455 122129 1788040
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 24 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ ERICSSON L M TEL CO 294821400 3197130 612477 X 505717 88560 18200 EQUITY FOCUS TR 294933403 25016 35584 X 35584 0 0 ERIE INDTY CO 29530P102 115084292 2989979 X 2963979 0 26000 ERIE INDTY CO 29530P102 68692333 1784680 X 0 0 1784680 ESAR CORP OHIO COM 296990252 215908 7711 X 7711 0 0 AMERICAN EUROPACIFIC GROWTH FUND 298706102 1284757 47814 X 47716 0 98 AMERICAN EUROPACIFIC GROWTH FUND 298706102 1430831 53250 X 52674 0 576 EUROPA CRUISES CORP 298738105 28500 30000 X 30000 0 0 EVERGREEN SELECT FIXED INCOM 299908202 121437 20410 X 0 0 20410 EVERGREEN HIGH YIELD BOND FUND 299923102 74717 23132 X 23132 0 0 EVERGREEN FDS 300237658 272968 29320 X 29320 0 0 EVERGREEN/ KEYSTONE FDS 300250404 13224458 13224458 X 13224458 0 0 EVERGREEN MUNICIPAL BOND FUND 300258746 162227 22978 X 22978 0 0 EVERGREEN MUNICIPAL BOND FUND 300258746 78676 11144 X 5849 0 5295 EXCALIBUR HOLDINGS INC 3006499A0 1 100000 X 100000 0 0 EXELON CORP 30161N101 15761186 329181 X 51255 0 277926 EXELON CORP 30161N101 1153142 24084 X 22484 600 1000 EXELIXIS INC 30161Q104 978419 58870 X 53543 725 4602 EXELIXIS INC 30161Q104 934709 56240 X 52104 106 4030 EXODUS COMMUNICATIONS INC 302088109 141 3618 X 3618 0 0 EXODUS COMMUNICATIONS INC 302088109 282 7234 X 3522 0 3712 EXTR@CT INC 302258108 155 15480 X 15480 0 0 EXXON MOBIL CORP 30231G102 479483623 12200601 X 10128809 54102 2017690 EXXON MOBIL CORP 30231G102 482489206 12277079 X 8882513 1782544 1612022 FMC CORP COM NEW 302491303 264240 4441 X 404 0 4037 FMC CORP COM NEW 302491303 2142 36 X 36 0 0 F N B CORP COM 302520101 1174867 44587 X 44587 0 0 F N B CORP COM 302520101 621175 23574 X 649 22925 0 FPA CAP FD INC COM 302539101 34873 1234 X 1234 0 0 FPA CAP FD INC COM 302539101 198066 7009 X 7009 0 0 FPIC INS GROUP INC 302563101 8673216 582095 X 42995 0 539100 FPL GROUP INC COM 302571104 8961509 158892 X 146312 0 12580 FPL GROUP INC COM 302571104 5412031 95958 X 88277 2428 5253 F S BANCORP 30262T106 89984 2368 X 2368 0 0 F S BANCORP 30262T106 130112 3424 X 3424 0 0 FAIR ISAAC & CO INC 303250104 2193096 34800 X 1300 0 33500 FAIRCHILD SEMICONDUCTOR INTL 303726103 9009167 319474 X 23174 0 296300 FRIENDS PROVIDENT PLC (GBP) 3055977S9 4054750 1400000 X 15000 0 1385000 FAMILY DOLLAR STORES INC 307000109 619926 20678 X 3603 0 17075 BANK OF IRELAND (EURO) 3070732S4 4958484 534454 X 6000 0 528454 FARMERS CAPITAL BANCORP COM 309562106 693063 18900 X 13400 0 5500 FARMERS CAPITAL BANCORP COM 309562106 19252 525 X 525 0 0 FARMERS NATL BANC CORP COM 309627107 2119680 188416 X 188416 0 0 FARMERS NATL BANC CORP COM 309627107 454365 40388 X 23283 17105 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1234378112 47446577 36874442 1969095 8603040
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 25 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ RYANAIR HOLDINGS PLC (IRE) 3113864S2 1453975 230000 X 2800 0 227200 FASTLANE FOOTWEAR INC 31187C103 90 10000 X 10000 0 0 FREDDIE MAC 313400301 69828757 1067718 X 801814 565 265339 FREDDIE MAC 313400301 5495562 84030 X 81320 1725 985 FANNIE MAE COM 313586109 94409987 1187547 X 1090862 1395 95290 FANNIE MAE COM 313586109 41075106 516668 X 414349 72270 30049 FEDERATED 313900102 443917 13079 X 13079 0 0 FEDERATED 313900102 406716 11983 X 11983 0 0 FEDERATED SHORT TERM MUNI 313907107 2542993 247614 X 243053 0 4561 FEDERATED SHORT TERM MUNI 313907107 1268096 123476 X 104635 18840 0 FEDERATED STK & BD FD INC NE 313911109 91609 5129 X 5129 0 0 FEDERATED STK & BD FD INC NE 313911109 97293 5448 X 5448 0 0 FEDERATED GOVT INCOME SECS INC CL F 313912107 185773 21304 X 21304 0 0 FEDERATED GOVT INCOME SECS INC CL F 313912107 159407 18281 X 1030 17251 0 FEDERATED MUN SECS FD INC CL A 313913105 160549 15679 X 15679 0 0 FEDERATED MUN SECS FD INC CL A 313913105 45395 4433 X 2191 2243 0 FEDERATED MUN SECS FD INC 313913204 146882 14344 X 14344 0 0 FEDERATED EQUITY INCOME FUND 313915100 11963194 721979 X 713012 3768 5199 FEDERATED EQUITY INCOME FUND 313915100 1658418 100086 X 54926 36061 9098 FEDERATED MUNICIPAL INCOME TR 313923609 22050 1978 X 1978 0 0 FEDERATED MUNICIPAL INCOME TR 313923609 113144 10147 X 10147 0 0 FEDERATED MUN SECS INCOME TR 313923807 238309 21202 X 21202 0 0 FEDERATED DEPT STORES INC DEL NEW 31410H101 1062664 25982 X 2204 0 23778 FEDERATED DEPT STORES INC DEL NEW 31410H101 23967 586 X 586 0 0 FEDERATED FIXED INCOME SECS 31417P106 235821 24876 X 24876 0 0 FEDERATED KAUFMANN FD 314172644 199634 45475 X 35425 0 10049 FEDERATED FD U S GOVT SECS INC CL A 314182106 158618 20284 X 20284 0 0 FEDERATED FD U S GOVT SECS INC CL A 314182106 65981 8437 X 8437 0 0 FEDERATED 314184102 1377427 122112 X 122112 0 0 FEDERATED 314184102 487605 43227 X 40230 0 2997 FEDERATED INCOME TRUST 314199100 10010102 964364 X 951347 9007 4011 FEDERATED INCOME TRUST 314199100 8590813 827631 X 521778 236661 69192 FEDERATED 31420C209 279799 31977 X 31977 0 0 FEDERATED INCOME SECS TR 31420C407 376264 37854 X 37854 0 0 FEDERATED INCOME SECS TR 31420C407 193507 19467 X 19467 0 0 FEDERATED INVT SER FDS INC 31420F202 96405 11132 X 11132 0 0 FEDERATED BD FD CL F 31420F400 33187 3828 X 3828 0 0 FEDERATED BD FD CL F 31420F400 440468 50804 X 50804 0 0 FEDERATED INVS INC PA 314211103 1611534 50550 X 750 0 49800 FEDERATED U S GOVT SECURITIES FUND 31428M100 27292058 2553046 X 2543449 7063 2534 FEDERATED U S GOVT SECURITIES FUND 31428M100 4775800 446754 X 293673 119794 33287 FEDERATED U S GOVT SECURITIES FUND 31428P103 183636 16559 X 16559 0 0 FEDERATED U S GOVT SECURITIES FUND 31428P103 19733 1779 X 1779 0 0 FEDEX CORP 31428X106 2172216 41870 X 11294 0 30576 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 291494461 9780719 8390130 526643 863945
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 26 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ FEDEX CORP 31428X106 599940 11564 X 7502 3000 1062 FERRO CORP COM 315405100 7740 300 X 300 0 0 FERRO CORP COM 315405100 250905 9725 X 9725 0 0 FIDELITY ADVISOR FDS 315805101 6690406 133089 X 128724 559 3806 FIDELITY ADVISOR FDS 315805101 2681543 53343 X 25630 25436 2277 FIDELITY ADVISOR SER I 315805200 1439716 29569 X 29569 0 0 FIDELITY ADVISOR SER II 315807206 2086375 72544 X 72544 0 0 FIDELITY ADVISOR SER II 315807206 29953 1041 X 1041 0 0 FIDELITY ADVISOR SER II 315807305 542226 64782 X 64782 0 0 FIDELITY DIVERSIFIED INTERNATIONAL 315910802 179862 9427 X 9427 0 0 FIDELITY DIVERSIFIED INTERNATIONAL 315910802 461859 24206 X 24206 0 0 FIDELITY SPARTAN US EQUITY INDX #650 315911206 291977 7184 X 7184 0 0 FIDELITY SPARTAN US EQUITY INDX #650 315911206 6502 160 X 0 160 0 FIDELITY SPARTAN 500 INDEX FD 315912204 2012273 25507 X 25507 0 0 FIDELITY FEDERAL BANCORP COM 315921106 251742 103173 X 103173 0 0 FIDELITY CAPITAL & INCOME FD 316062108 75899 11194 X 11194 0 0 FIDELITY STOCK SELECTOR 316066307 1526279 72233 X 72233 0 0 FIDELITY CASH RESERVES FD #55 316067107 74485 74485 X 74485 0 0 FIDELITY ASSET MANAGER FUND 316069103 109622 7072 X 7072 0 0 FIDELITY ASSET MANAGER FUND 316069103 158613 10233 X 5253 0 4980 FIDELITY CONGRESS STR FD INC 316070101 1552834 4123 X 4123 0 0 FIDELITY CONTRAFUND 316071109 1923632 44976 X 44976 0 0 FIDELITY CONTRAFUND 316071109 25401 594 X 594 0 0 FIDELITY SPARTAN MUNICIPAL INCOME 316089507 745209 58770 X 58770 0 0 FIDELITY SPARTAN MUNICIPAL INCOME 316089507 333691 26316 X 26316 0 0 FIDELITY MID CAP STOCK FUND 316128404 486922 21574 X 21574 0 0 FIDELITY MID CAP STOCK FUND 316128404 46839 2075 X 2075 0 0 FIDELITY EQUITY INCOME FUND 316138106 15200828 311684 X 301135 444 10105 FIDELITY EQUITY INCOME FUND 316138106 3066368 62874 X 48581 9268 5025 FIDELITY EXCHANGE FUND 316141100 12585710 52901 X 52901 0 0 FIDELITY EQUITY INCOME II 316145101 665203 31631 X 31631 0 0 FIDELITY EQUITY INCOME II 316145101 15882 755 X 754 0 1 FIDELITY INDEPENDENCE 316145309 11417 724 X 724 0 0 FIDELITY INDEPENDENCE 316145309 325496 20640 X 20640 0 0 FIDELITY FUND 316153105 70273 2433 X 2433 0 0 FIDELITY FUND 316153105 281752 9756 X 9756 0 0 FIDELITY HEREFORD STR TR 31617H201 123225 123225 X 123225 0 0 FIDELITY SPARTAN U S TREAS 31617H300 344000 344000 X 344000 0 0 FIDELITY FDS 316176106 391641 391641 X 391641 0 0 FIDELITY MAGELLAN 316184100 24541811 235481 X 235481 0 0 FIDELITY MAGELLAN 316184100 1739769 16693 X 16693 0 0 FIDELITY GROWTH COMPANY 316200104 117724 2212 X 2212 0 0 FIDELITY GROWTH COMPANY 316200104 125380 2356 X 2356 0 0 FIDELITY NEW YORK MUN TR 316337104 483451 483451 X 105665 377786 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 84682375 2971716 2527807 416653 27256
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 27 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ FIDELITY PURITAN FUND 316345107 170620 9656 X 9656 0 0 FIDELITY PURITAN FUND 316345107 87130 4931 X 4931 0 0 FIDELITY LOW PRICE STOCK 316345305 70612 2575 X 1763 0 813 FIDELITY LOW PRICE STOCK 316345305 232359 8474 X 8474 0 0 FIDELITY SCH STR TR 31638R204 75705 7694 X 7694 0 0 FIDELITY SCH STR TR 31638R204 185602 18862 X 7891 0 10971 FIDELITY GROWTH & INCOME 316389204 2378348 63626 X 63626 0 0 FIDELITY GROWTH & INCOME 316389204 27265 729 X 729 0 0 FIDELITY DIVIDEND GROWTH 316389402 162607 5740 X 5740 0 0 FIDELITY DIVIDEND GROWTH 316389402 238031 8402 X 8402 0 0 FIDELITY SELECT TECHNOLOGY PORTFOLIO 316390202 588491 9711 X 9235 0 476 FIDELITY SELECT TECHNOLOGY PORTFOLIO 316390202 16866 278 X 278 0 0 FIDELITY SELECT BIOTECHNOLOGY 316390772 1815264 27876 X 27876 0 0 FIDELITY SELECT BIOTECHNOLOGY 316390772 605940 9305 X 9305 0 0 FIDELITY SELECT ELECTRONICS 316390863 33890 688 X 688 0 0 FIDELITY SELECT ELECTRONICS 316390863 349429 7092 X 7092 0 0 FIDELITY SPARTAN OHIO MUNI INCOME FD 316412105 478349 41451 X 41451 0 0 FIDELITY SPARTAN OHIO MUNI INCOME FD 316412105 413188 35805 X 35805 0 0 FIFTH THIRD BANCORP 316773100 96108424 1567070 X 1047793 450 518827 FIFTH THIRD BANCORP 316773100 71920908 1172687 X 1157954 720 14013 FILENET CORP COM 316869106 6158015 303500 X 22500 0 281000 UNITED ASSOCIATION S&P 500 INDEX 317609808 93578709 11220469 X 11220469 0 0 FIRST BLANCHESTER BANCSHARES INC COM 319320982 205920 1584 X 1584 0 0 FIRST BUSEY CORPORATION CLASS A 319383105 347976 16200 X 16200 0 0 FIRST CITIZEN BANCSHARES CL-A 31946M103 782000 8000 X 8000 0 0 FIRST COMWLTH FINL CORP PA 319829107 646710 56138 X 38470 0 17668 FIRST COMWLTH FINL CORP PA 319829107 73498 6380 X 0 6380 0 FIRST CMNTY BANCORP CALIF 31983B101 819316 41120 X 41120 0 0 FIRST CONSULTING GROUP INC 31986R103 4242715 271100 X 9550 0 261550 FIRST FEDERAL CAPITAL CORP 319960100 3386145 215678 X 16278 0 199400 FIRST DATA CORP COM 319963104 71887501 916348 X 573774 315 342259 FIRST DATA CORP COM 319963104 2541035 32391 X 31671 420 300 FIRST EASTERN EQUITIES INC 32007L307 1 11000 X 0 0 11000 FIRST FINL BANCORP COM 320209109 92009 5213 X 5213 0 0 FIRST FINL BANCORP COM 320209109 325590 18447 X 18447 0 0 FIRST FINL CORP IND COM 320218100 28249880 644239 X 20655 623584 0 FIRST FRANKLIN CORP COM 320272107 379250 37000 X 37000 0 0 FIRST INDUSTRIAL REALTY TR 32054K103 5608450 180336 X 15636 0 164700 FIRST INVESTORS INSURED TAX EXEMPT 32060M101 266656 26272 X 26272 0 0 FIRST MIDWEST BANCORP INC/IL 320867104 12392199 424536 X 214161 0 210375 FIRST HEALTH GROUP CORP 320960107 4492784 181600 X 0 0 181600 FIRST HEALTH GROUP CORP 320960107 984652 39800 X 29400 0 10400 FISERV INC COM 337738108 1344168 31762 X 13190 0 18572 FISERV INC COM 337738108 30386 718 X 718 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 414794593 17692483 14816691 631869 2243924
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 28 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ FIRSTMERIT CORP COM 337915102 3538974 130638 X 130638 0 0 FIRSTMERIT CORP COM 337915102 4712901 173972 X 173972 0 0 FIRSTENERGY CORP 337932107 1630885 46623 X 26183 0 20440 FIRSTENERGY CORP 337932107 775612 22173 X 20142 0 2031 FIRSTMERIT GOVT MONEY MARKET 337944201 28345 28345 X 28345 0 0 DEUTSCHE ASSET MANAGEMENT FUNDS 338331101 562899 30296 X 30296 0 0 FLEETBOSTON FINL CORP 339030108 39930672 1093991 X 534165 100 559726 FLEETBOSTON FINL CORP 339030108 8791281 240857 X 228895 0 11962 FLEETWOOD ENTERPRISES INC COM 339099103 3298730 291150 X 19750 0 271400 FLEET FDS 339099905 216812 216812 X 216812 0 0 FLUOR CORP 343412102 340826 9113 X 1220 0 7893 FLUOR CORP 343412102 71995 1925 X 1205 0 720 FLOWSERVE CORP 34354P105 2926062 109961 X 82281 0 27680 FLOWSERVE CORP 34354P105 61203 2300 X 0 0 2300 FOMENTO ECONOMICO MEXICANO S 344419106 5493726 159008 X 1000 0 158008 FOOT LOCKER INC 344849104 4450844 284399 X 23099 0 261300 FOOT LOCKER INC 344849104 54775 3500 X 100 0 3400 FORD MONEY MARKET ACCOUNT 3453329A0 106848 106848 X 106848 0 0 FORD MTR CO DEL 345370860 7444242 473552 X 288067 958 184527 FORD MTR CO DEL 345370860 2839205 180611 X 149554 23063 7994 FOREIGN SECURITIES MANAGED BY 3454579A5 1000000 1 X 1 0 0 FOREST CITY ENTERPRISES CL A 345550107 3691206 95380 X 22160 0 73220 FOREST CITY ENTERPRISES CL A 345550107 52245 1350 X 1350 0 0 FOREST LABS INC CL A COM 345838106 1618676 19752 X 2209 0 17543 FOREST LABS INC CL A COM 345838106 10162 124 X 74 0 50 FORTUNE BRANDS INC 349631101 4427429 111832 X 89633 0 22199 FORTUNE BRANDS INC 349631101 4173895 105428 X 86577 9566 9285 FOUNDRY NETWORKS INC 35063R100 444990 54600 X 54600 0 0 FOURTHSTAGE TECH INC 35112T107 4400 20000 X 20000 0 0 GCM VENTURES 2000, LLC 3515619A5 56000 56000 X 56000 0 0 FRANKLIN CUSTODIAN FDS INC 353496300 181036 83044 X 83044 0 0 FRANKLIN CUSTODIAN FDS INC 353496607 513064 75119 X 74119 1000 0 FRANKLIN CUSTODIAN FDS INC 353496607 91115 13340 X 2167 0 11173 FRANKLIN CUSTODIAN FDS INC 353496847 154033 70983 X 70983 0 0 FRANKLIN CUSTODIAN FDS INC 353496888 205853 6649 X 6649 0 0 FRANKLIN ELEC INC 353514102 549810 6705 X 6705 0 0 FRANKLIN ELEC INC 353514102 187452 2286 X 2286 0 0 FRANKLIN FED TAX FREE INCOME FD 353519101 671467 57098 X 57098 0 0 FRANKLIN FED TAX FREE INCOME FD 353519101 554140 47121 X 47121 0 0 FRANKLIN 353538101 63083 32856 X 32856 0 0 FRANKLIN 353538101 26996 14061 X 0 0 14061 FRANKLIN HIGH INCOME TR 353538200 46866 24283 X 24283 0 0 FRANKLIN RES INC COM 354613101 1599953 45363 X 25018 0 20345 FRANKLIN RES INC COM 354613101 579698 16436 X 15936 500 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 108180406 4565885 2843441 35187 1687257
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 29 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ FRANKLIN SMALL-MID CAP GROWTH A 354713109 4336720 139131 X 138150 0 982 FRANKLIN SMALL-MID CAP GROWTH A 354713109 11260 361 X 361 0 0 FRANKLIN SMALL CAP GROWTH ADV 354713869 24948649 796827 X 780200 1360 15266 FRANKLIN SMALL CAP GROWTH ADV 354713869 3510631 112125 X 98327 12233 1566 FRANKLIN TEMPLETON FD ALLOCA 35472P604 235786 21652 X 21652 0 0 FRANKLIN MICHIGAN INSURED 354723306 390816 32514 X 32514 0 0 FRANKLIN MICHIGAN INSURED 354723306 1126336 93705 X 83458 0 10247 FRANKLIN TAX FREE TR 354723504 641354 52743 X 52743 0 0 FRANKLIN TAX FREE TR 354723504 637569 52432 X 48627 3804 0 FRANKLIN MICHIGAN INSURED TAX-FREE 354723645 285885 23607 X 23607 0 0 FRANKLIN TAX FREE TR 354723702 47364 4515 X 4508 7 0 FRANKLIN TAX FREE TR 354723702 284882 27157 X 27157 0 0 FRANKLIN PENNSYLVANIA TAX-FREE 354723801 71707 7107 X 7107 0 0 FRANKLIN PENNSYLVANIA TAX-FREE 354723801 494932 49052 X 49052 0 0 FRANKLIN TAX FREE TR 354723850 27739 2410 X 2410 0 0 FRANKLIN TAX FREE TR 354723850 202201 17567 X 17567 0 0 FRANKLIN BALANCE SHEET INVESTMENT FD 355148107 344226 8601 X 8601 0 0 FREEMARKETS INC 356602102 897796 37455 X 37455 0 0 FREEMARKETS INC 356602102 959279 40020 X 40020 0 0 FREEPORT-MCMORAN COPPER & GOLD 35671D857 182050 13596 X 3710 0 9886 FREEPORT-MCMORAN COPPER & GOLD 35671D857 55595 4152 X 4152 0 0 FULTON FINL CORP PA 360271100 15411849 705994 X 475244 0 230750 FUNDAMENTAL INVESTORS INC CAP 360802102 354352 12909 X 12909 0 0 FUNDAMENTAL INVESTORS INC CAP 360802102 213802 7789 X 7789 0 0 FURNITURE BRANDS INTL INC COM 360921100 6840753 213640 X 14940 0 198700 FUSION INCORPORATED 3611209A8 1289861 902 X 902 0 0 GATX CORP COM 361448103 78048 2400 X 2400 0 0 GATX CORP COM 361448103 248713 7648 X 0 4200 3448 GBC BANCORP CALIF 361475106 590000 20000 X 20000 0 0 GCM DOLL LLC 3615619A3 32200 32200 X 32200 0 0 GCM - COMPASS, LCC 3615619B1 64186 63000 X 63000 0 0 GCM INNOVATION, LCC 3615629A1 38500 38500 X 38500 0 0 GCM - INNOVATION A.S., LLC 3615679A0 30300 30000 X 30000 0 0 GE FDS 36158B539 87464 10437 X 10437 0 0 GEIGER & PETERS INC COMMON 3615909A2 220086 380 X 380 0 0 GABELLI 362395105 899853 27293 X 20359 0 6934 GABELLI 362395105 19975 606 X 606 0 0 GABELLI 362398109 4381718 152780 X 152780 0 0 GABELLI 362398109 27625 963 X 963 0 0 GABELLI VALUE FUND INC COM 36240H106 4991914 303829 X 303829 0 0 GABELLI VALUE FUND INC COM 36240H106 820848 49960 X 42166 0 7795 GABLES RESIDENTIAL TRUST 362418105 7598231 256697 X 19497 0 237200 GALLAGHER ARTHUR J & CO COM 363576109 482860 14000 X 14000 0 0 GALLAHER GROUP PLC 363595109 1114032 41337 X 40337 1000 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 85529947 3529993 2784616 22604 722774
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 30 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ GALLAHER GROUP PLC 363595109 1339253 49694 X 41428 3766 4500 GANNETT CO INC COM 364730101 20923388 311221 X 106649 0 204572 GANNETT CO INC COM 364730101 9371862 139400 X 122018 15192 2190 GAP INC COM 364760108 1223653 87780 X 28742 0 59038 GAP INC COM 364760108 286857 20578 X 9773 0 10805 GATEWAY INC 367626108 211790 26342 X 4155 0 22187 GATEWAY INC 367626108 8040 1000 X 1000 0 0 GATEWAY TR INDEX PLUS FD 367829207 22862 1040 X 1040 0 0 GATEWAY TR INDEX PLUS FD 367829207 918630 41794 X 41794 0 0 GEMSTAR-TV GUIDE INTL INC 36866W106 3779720 136452 X 67485 0 68967 GEMSTAR-TV GUIDE INTL INC 36866W106 66535 2402 X 1002 0 1400 GENENTECH INC 368710406 4919933 90690 X 46990 0 43700 GENENTECH INC 368710406 211575 3900 X 2700 1200 0 GENERAL DYNAMICS CORP COM 369550108 3026639 38004 X 19401 0 18603 GENERAL DYNAMICS CORP COM 369550108 627085 7874 X 6299 0 1575 GENERAL ELEC CO COM 369604103 586565147 14634859 X 13536783 55350 1042726 GENERAL ELEC CO COM 369604103 476493719 11888566 X 9778022 1187548 922996 GENERAL GROWTH PPTYS INC COM 370021107 7104862 183115 X 15415 0 167700 GENERAL MILLS INC COM 370334104 17259098 331842 X 297166 0 34676 GENERAL MILLS INC COM 370334104 30790128 592004 X 577450 4350 10204 GENERAL MTRS CORP COM 370442105 8285522 170484 X 128269 0 42215 GENERAL MTRS CORP COM 370442105 4193014 86276 X 76826 6137 3313 GENERAL MTRS CORP 370442832 221584 14342 X 13594 0 748 GENERAL MTRS CORP 370442832 471040 30488 X 19711 78 10699 GENESEE & WYOMING INC-CLA 371559105 2891288 88554 X 6554 0 82000 GENTEX CORP COM 371901109 926729 34670 X 32770 300 1600 GENTEX CORP COM 371901109 213840 8000 X 5700 2000 300 GENESIS MICROCHIP INC 371933102 10632096 160800 X 5650 0 155150 GENTA INC (NEW) 37245M207 5794456 407200 X 15000 0 392200 GENUINE PARTS CO COM 372460105 2335148 63628 X 43313 0 20315 GENUINE PARTS CO COM 372460105 893397 24343 X 24343 0 0 GENZYME CORP COM-GEN DIV 372917104 1489018 24875 X 4209 0 20666 GENZYME CORP COM-GEN DIV 372917104 89790 1500 X 1500 0 0 GEORGIA PACIFIC CORP COM 373298108 1676148 60708 X 43313 0 17395 GEORGIA PACIFIC CORP COM 373298108 1581777 57290 X 49190 4750 3350 GILLETTE CO COM 375766102 10409444 311660 X 238625 0 73035 GILLETTE CO COM 375766102 10494647 314211 X 288361 8358 17492 GLAXO WELLCOME PLC 37733W105 7453520 149609 X 149245 0 364 GLAXO WELLCOME PLC 37733W105 13239466 265746 X 243640 7085 15021 GLOBAL HIGH INCOME DLR FD IN 37933G108 152240 11000 X 11000 0 0 GOLDMAN SACHS 2000 EXCHANGE PLACE 3809809A2 971662 9717 X 9717 0 0 GOLDEN ST BANCORP INC 381197102 6468856 247375 X 247375 0 0 GOLDEN WEST FINL CORP 381317106 3405296 57864 X 46965 0 10899 GOLDEN WEST FINL CORP 381317106 436020 7409 X 7209 200 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1259876774 31196306 26417391 1296314 3482601
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 31 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ GOLDMAN SACHS GROUP INC 38141G104 290400 3131 X 1031 0 2100 GOLDMAN SACHS GROUP INC 38141G104 81156 875 X 875 0 0 GOLDMAN FINANCIAL SQUARE TREASURY 38141W323 3061798 3061798 X 3061798 0 0 GOLDMAN SACHS TR 38141W364 20338304 20338304 X 0 0 20338304 GOLDMAN SACHS RESEARCH SEL-B 38143M208 115435 16754 X 0 0 16754 GOODRICH CORP COM 382388106 294683 11070 X 1940 0 9130 GOODRICH CORP COM 382388106 271843 10212 X 9212 1000 0 GOODYEAR TIRE & RUBBER CO COM 382550101 694704 29177 X 8072 0 21105 GOODYEAR TIRE & RUBBER CO COM 382550101 346269 14543 X 13817 726 0 GORMAN RUPP CO COM 383082104 7431663 276270 X 276270 0 0 GOVERNMENT SECS INCOME FD 383743499 210 10000 X 10000 0 0 GOVERNMENT SECS INCOME FD 383743523 822 34250 X 34250 0 0 GOVERNMENT SECS INCOME FD 383743523 3437 143205 X 19607 0 123598 GOVERNMENT SECS INCOME FD 383743580 955 39787 X 39787 0 0 GOVERNMENT SECS INCOME FD UNIT GNMA 383744240 1084 20071 X 20071 0 0 GOVERNMENT SECS INCOME FD 383744604 15231 15385 X 15385 0 0 GRAINGER W W INC COM 384802104 445536 9282 X 2759 0 6523 GRAINGER W W INC COM 384802104 393936 8207 X 8207 0 0 GREAT LAKES CHEM CORP COM 390568103 103530 4264 X 811 0 3453 GREAT LAKES CHEM CORP COM 390568103 127883 5267 X 5067 0 200 GREAT LAKES REIT INC 390752103 298336 18646 X 13146 0 5500 GREAT PLAINS ENERGY INC 391164100 54180 2150 X 2150 0 0 GREAT PLAINS ENERGY INC 391164100 279216 11080 X 7050 0 4030 GREATER BAY BANCORP 391648102 4535475 158694 X 11194 0 147500 GREATER BAY BANCORP 391648102 127753 4470 X 4470 0 0 GREENPOINT FINL CORP 395384100 96525 2700 X 2700 0 0 GREENPOINT FINL CORP 395384100 103675 2900 X 2900 0 0 GREIF BROS CORP CL A 397624107 593100 18000 X 18000 0 0 GREIF BROS CORP CL A 397624107 65900 2000 X 2000 0 0 AMERICAN GROWTH FUND OF AMERICA 399874106 29783339 1256151 X 1256151 0 0 AMERICAN GROWTH FUND OF AMERICA 399874106 272245 11482 X 11482 0 0 NV UNION MINIERE SA (EURO) 4005001S3 3264404 83658 X 970 0 82688 GUIDANT CORP COM 401698105 13539823 271884 X 165637 0 106247 GUIDANT CORP COM 401698105 2917583 58586 X 48778 2900 6908 VIVENDI ENVIRONEMENT ORD (FRF) 4031879S8 2972990 90000 X 940 0 89060 H & Q LIFE SCIENCES INVS 404053100 224675 10450 X 0 1000 9450 HCA INC 404119109 5950884 154408 X 100768 0 53640 HCA INC 404119109 386286 10023 X 7603 0 2420 HSBC HLDGS PLC 404280406 14928 250 X 250 0 0 HSBC HLDGS PLC 404280406 289594 4850 X 4850 0 0 HT INSIGHT FDS INC 404299737 260251 25390 X 25390 0 0 HT INSIGHT FDS INC 404299778 305977 26770 X 26770 0 0 HT INSIGHT FDS INC 404299778 57753 5053 X 2568 2135 350 HALLIBURTON CO COM 406216101 1122447 85683 X 56211 0 29472 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 101536218 26367130 5300937 7761 21058432
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 32 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ HALLIBURTON CO COM 406216101 421964 32211 X 20874 9637 1700 INTESABCI SPA ORD (ITL) 4076836S5 4241168 1711577 X 22300 0 1689277 JOHN HANCOCK 409735107 84682 10252 X 10252 0 0 JOHN HANCOCK 409735107 6674 808 X 808 0 0 JOHN HANCOCK FUNDS 409902707 214866 8075 X 8075 0 0 HANCOCK JOHN INVT TR II 409905205 229346 5980 X 5980 0 0 HANCOCK JOHN INVT TR II 409905205 27591 719 X 0 719 0 HANCOCK HLDG CO 410120109 494960 11500 X 11500 0 0 JOHN HANCOCK HIGH YIELD BOND FUND 41014P813 71088 15321 X 15321 0 0 HANCOCK JOHN FINL SVCS INC 41014S106 1602357 38798 X 8093 0 30705 HANCOCK JOHN FINL SVCS INC 41014S106 721841 17478 X 17163 315 0 HANSEN-DAYTON INC COM 411340904 9816505 722 X 0 722 0 HARBOR BOND FUND 411511108 4176674 365733 X 365733 0 0 HARBOR BOND FUND 411511108 226246 19811 X 19811 0 0 HARBOR 411511306 10968069 370168 X 364990 1755 3422 HARBOR 411511306 841576 28403 X 28403 0 0 HARBOR FD CAPITAL APPRECIATION 411511504 37355250 1277976 X 1267349 1184 9443 HARBOR FD CAPITAL APPRECIATION 411511504 2336883 79948 X 54130 21836 3982 HARBOR FD 411511603 517218 35943 X 35943 0 0 HARBOR FUNDS 411511801 207041 23447 X 23447 0 0 HARLEY DAVIDSON INC COM 412822108 64851625 1194101 X 1120819 2380 70902 HARLEY DAVIDSON INC COM 412822108 30553503 562576 X 527212 14034 21330 HARLEYSVILLE GROUP INC COM 412824104 457517 19151 X 12351 0 6800 BANQUE NATIONALE DE PARIS ORD (FRF) 4133667S8 4519802 51000 X 470 0 50530 HARRAH'S ENTERTAINMENT INC 413619107 350115 9460 X 1409 0 8051 HARRAH'S ENTERTAINMENT INC 413619107 5440 147 X 147 0 0 HARRIS CORP COM 413875105 243958 7996 X 7996 0 0 HARRIS CORP COM 413875105 186111 6100 X 6100 0 0 HARRIS INSIGHT FDS TR 414548305 377360 18204 X 18204 0 0 HARRIS INSIGHT FDS TR 414548701 389005 16276 X 16276 0 0 HARRIS INSIGHT FDS TR 414548867 593728 54421 X 54421 0 0 HARSCO CORP COM 415864107 957004 27901 X 27901 0 0 HARTFORD FINL SVCS GROUP INC COM 416515104 2019608 32144 X 15663 0 16481 HARTFORD FINL SVCS GROUP INC COM 416515104 1392753 22167 X 17727 3040 1400 HASBRO INC COM 418056107 242087 14916 X 3070 0 11846 HASBRO INC COM 418056107 3603 222 X 222 0 0 HAVERTY FURNITURE INC 419596101 5202989 314380 X 23880 0 290500 HAWAIIAN ELEC INDS INC 419870100 8470078 210280 X 15380 0 194900 HAWAIIAN ELEC INDS INC 419870100 455164 11300 X 1300 0 10000 HEALTHSOUTH CORP COM 421924101 3343644 225617 X 37451 0 188166 HEALTHSOUTH CORP COM 421924101 20363 1374 X 1374 0 0 HEALTH MGMT ASSOC INC NEW CL A 421933102 3170430 172306 X 146368 0 25938 HEALTH MGMT ASSOC INC NEW CL A 421933102 211821 11512 X 10200 0 1312 HEALTH CARE REIT INC 42217K106 90095 3700 X 3700 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 202669802 7042121 4349813 55622 2636685
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 33 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ HEALTH CARE REIT INC 42217K106 935089 38402 X 38402 0 0 HEALTHCARE RECOVERIES INC 42220K101 2980616 647960 X 647960 0 0 HEALTH NET INC 42222G108 7303771 335343 X 24243 0 311100 HEALTH NET INC 42222G108 378972 17400 X 17000 0 400 HEARTLAND VALUE FD INC 422359109 16853126 452433 X 450285 993 1155 HEARTLAND VALUE FD INC 422359109 1911716 51321 X 26214 20741 4366 HEIGHTS BUILDING CO COM 4228199A2 216900 9 X 9 0 0 HEINZ H J CO COM 423074103 19689572 478832 X 448587 1400 28845 HEINZ H J CO COM 423074103 34594873 841315 X 625793 137681 77841 HELMERICH & PAYNE INC COM 423452101 409906 12280 X 7680 0 4600 HELMERICH & PAYNE INC COM 423452101 270512 8104 X 7600 0 504 HERCULES INC COM 427056106 120510 12051 X 4632 0 7419 HERCULES INC COM 427056106 1210 121 X 121 0 0 HERSHEY FOODS CORP 427866108 3497247 51658 X 41872 0 9786 HERSHEY FOODS CORP 427866108 818087 12084 X 6384 5500 200 HEWLETT PACKARD CO COM 428236103 15396928 749607 X 572479 625 176503 HEWLETT PACKARD CO COM 428236103 19785140 963249 X 814490 89646 59113 HI / FN INC 428358105 2312306 159800 X 5850 0 153950 HI-VISION AMERICA INC 4284059A4 4852220 6666 X 6666 0 0 HIBERNIA CORP COM 428656102 737146 41436 X 41436 0 0 HIGHWOODS PROPERTIES INC COM 431284108 7760867 299070 X 25670 0 273400 HILLENBRAND INDS INC COM 431573104 28625881 517928 X 517928 0 0 HILLENBRAND INDS INC COM 431573104 373957 6766 X 1366 5200 200 HILLERICH & BRADSBY CO COM 431999101 1781250 18750 X 18750 0 0 BAYERISCHE VEREINSBANK AG ORD (EUR) 4325419S1 4456927 148000 X 1500 0 146500 HILTON HOTELS CORP COM 432848109 348566 31920 X 6184 0 25736 HILTON HOTELS CORP COM 432848109 59186 5420 X 5420 0 0 HOME FED BANCORP 436926109 655081 35125 X 35125 0 0 HOME DEPOT INC COM 437076102 188579583 3696914 X 3433592 8457 254865 HOME DEPOT INC COM 437076102 147445367 2890519 X 2679285 97339 113895 HON INDUSTRIES INC COM 438092108 723988 26184 X 26184 0 0 HON INDUSTRIES INC COM 438092108 129955 4700 X 4000 400 300 HONDA MOTOR ADR NEW 438128308 237602 2915 X 2915 0 0 HONEYWELL INTL INC 438516106 7383007 218303 X 132083 0 86220 HONEYWELL INTL INC 438516106 3614276 106868 X 84156 11662 11050 HONG KONG & CHINA GAS LTD ADR 438550303 17763 14500 X 14500 0 0 HONG KONG & CHINA GAS LTD ADR 438550303 60073 49039 X 0 0 49039 HOOPER HOLMES INC 439104100 103820 11600 X 5000 0 6600 HOUSEHOLD INTL CORP COM 441815107 5287489 91258 X 59398 0 31860 HOUSEHOLD INTL CORP COM 441815107 4253202 73407 X 71832 0 1575 HUBBELL INC CL B 443510201 4649326 158248 X 147948 0 10300 HUBBELL INC CL B 443510201 8056525 274218 X 268488 5230 500 HUDSON UNITED BANCORP 444165104 2224250 77500 X 77500 0 0 HUGHS SUPPLY INC 444482103 6734291 218150 X 7750 0 210400 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 556628079 13857373 11414277 384874 2058222
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 34 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ HUGHS SUPPLY INC 444482103 61740 2000 X 2000 0 0 HULMAN & COMPANY 444839906 18372052 45454 X 30087 15367 0 HUMANA INC COM 444859102 1718145 145729 X 131008 0 14721 HUMANA INC COM 444859102 86657 7350 X 7350 0 0 HUMAN GENOME SCIENCES INC 444903108 737625 21875 X 20078 300 1497 HUMAN GENOME SCIENCES INC 444903108 943991 27995 X 20643 22 7330 HUMPHREY PRODUCTS 445485998 834949 4353 X 4353 0 0 HUNTINGTON BANCSHARES INC COM 446150104 8769444 510148 X 492905 0 17243 HUNTINGTON BANCSHARES INC COM 446150104 4590400 267039 X 253816 11788 1435 HUTTON TEL TR 447900101 402280 113000 X 113000 0 0 HUTTON TEL TR 447900101 44856 12600 X 12600 0 0 HUTTON E F INVESTMENT TRUST GNMA 448903799 3311 23650 X 23650 0 0 HYGEN CORP 449099902 316586 150 X 150 0 0 HYPERION SOLUTIONS CORP 44914M104 10362908 521798 X 37698 0 484100 ICNB FINANCIAL CORPORATION 449286103 707683 29334 X 29334 0 0 ICON FDS 44929K887 106990 10520 X 10520 0 0 ICOS CORP COM 449295104 179500 3125 X 3125 0 0 ICOS CORP COM 449295104 57440 1000 X 1000 0 0 IDEC PHARMACEUTICALS CORP 449370105 4404627 63900 X 750 0 63150 VINTAGE GOVT ASSET ACCOUNT 44968F724 255431 255431 X 255431 0 0 I / NET INC 449775105 1000 10000 X 10000 0 0 IMS HEALTH INC 449934108 2968876 152172 X 60933 0 91239 IMS HEALTH INC 449934108 3666202 187914 X 180036 400 7478 ITT INDUSTRIES INC COM 450911102 486517 9634 X 3495 0 6139 ITT INDUSTRIES INC COM 450911102 318908 6315 X 5013 1170 132 IDACORP INC 451107106 8120 200 X 200 0 0 IDACORP INC 451107106 251070 6184 X 6184 0 0 IKON OFFICE SOLUTIONS INC 451713101 196521 16811 X 9515 0 7296 IDENTIX INC 451906101 5574839 382100 X 13800 0 368300 ILLINOIS TOOL WORKS INC COM 452308109 59064368 872185 X 812431 470 59284 ILLINOIS TOOL WORKS INC COM 452308109 15340612 226530 X 162049 35684 28797 IMAGISTICS INTERNATIONAL INC 45247T104 625555 50652 X 38220 0 12432 IMAGISTICS INTERNATIONAL INC 45247T104 1131964 91657 X 89098 596 1963 IMMUNEX CORP NEW 452528102 2392869 86354 X 33179 0 53175 IMMUNEX CORP NEW 452528102 100449 3625 X 3425 0 200 IMPERIAL OIL LTD COMMON NEW 453038408 111520 4000 X 4000 0 0 IMPERIAL OIL LTD COMMON NEW 453038408 719304 25800 X 25800 0 0 INCO LTD COM 453258402 245664 14502 X 2009 0 12493 INCO LTD COM 453258402 3710 219 X 219 0 0 AMERICAN INCOME FUND OF AMERICA 453320103 910318 57542 X 57542 0 0 AMERICAN INCOME FUND OF AMERICA 453320103 303473 19183 X 12656 6526 0 INDEPENDENT BK CORP MICH COM 453838104 2749642 98908 X 97329 0 1579 INDEPENDENT BK CORP MICH COM 453838104 154457 5556 X 5556 0 0 INDYMAC BANCORP INC 456607100 4533592 193909 X 15409 0 178500 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 154816165 4588403 3097596 72323 1418483
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 35 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ INDYMAC BANCORP INC 456607100 144956 6200 X 5500 700 0 ING GROEP N V 456837103 25094 986 X 986 0 0 ING GROEP N V 456837103 224215 8810 X 8810 0 0 INGERSOLL RAND CO COM 456866102 1428313 34162 X 22596 0 11566 INGERSOLL RAND CO COM 456866102 509455 12185 X 12035 0 150 INFORMATION RESOURCES INC COM 456905108 92877 11190 X 11190 0 0 INFORMATION RESOURCES INC COM 456905108 317890 38300 X 38300 0 0 INSIGHT ENTERPRISES INC 45765U103 5808060 236100 X 8700 0 227400 INSIGHT ENTERPRISES INC 45765U103 24895 1012 X 1012 0 0 T.ROWE PRICE INSTITUTIONAL 457759108 3515551 267750 X 267750 0 0 T.ROWE PRICE INSTITUTIONAL 457759108 296738 22600 X 19059 0 3541 INTEGRA LIFESCIENCES CORP 457985208 6055566 229900 X 8300 0 221600 INSURCOM FINL CORP 458075108 132 12000 X 12000 0 0 INSYNQ INC 45809X105 44 2000 X 2000 0 0 INSYNQ INC 45809X105 638 29000 X 29000 0 0 INTERGRATED SILICON SOLUTION COM 45812P107 2166480 177000 X 6200 0 170800 INTEGRA BK CORP 45814P105 291464 13919 X 13919 0 0 INTEL CORP COM 458140100 211055289 6710820 X 6027116 13675 670029 INTEL CORP COM 458140100 107734156 3425569 X 2887077 260708 277784 AMERICAN 458809100 57339 4232 X 4232 0 0 AMERICAN 458809100 581045 42882 X 28588 0 14294 REST WTS INTER ALLIANCE SVCS 458875952 1 111111 X 111111 0 0 DANSKE BANK A/S ORD (DKK) 4588825S2 3069937 193180 X 1850 0 191330 INTERNATIONAL BUSINESS MACHS CORP 459200101 274938693 2272972 X 1970328 2690 299954 INTERNATIONAL BUSINESS MACHS CORP 459200101 132299395 1093745 X 880455 67177 146113 INTERNATIONAL FLAVORS & 459506101 326602 10993 X 4412 0 6581 INTERNATIONAL FLAVORS & 459506101 191570 6448 X 5048 1200 200 INTERNATIONAL GAME TECHNOLOGY COM 459902102 3221848 47172 X 2408 0 44764 INTERNATIONAL GAME TECHNOLOGY COM 459902102 8538 125 X 125 0 0 INTERNATIONAL PAPER CO COM 460146103 12552360 311087 X 60008 0 251079 INTERNATIONAL PAPER CO COM 460146103 1197386 29675 X 19033 4074 6568 INTERNATIONAL RECTIFIER CORP COM 460254105 289853 8310 X 800 0 7510 INTERNATIONAL RESEARCH AND 460263106 10550 42200 X 42200 0 0 INTERSIL CORP 46069S109 1726988 53550 X 0 0 53550 INTERPUBLIC GROUP COS INC COM 460690100 11500720 389327 X 353452 0 35875 INTERPUBLIC GROUP COS INC COM 460690100 21386369 723980 X 699337 1000 23643 SCUDDER GROWTH & INCOME FUND 460965882 200494 9520 X 9520 0 0 SCUDDER GROWTH & INCOME FUND 460965882 65624 3116 X 2527 0 589 INTERVOICE-BRITE INC COM 461142101 2405120 187900 X 6800 0 181100 INTIMATE BRANDS INC COM 461156101 2474963 166552 X 166552 0 0 INTIMATE BRANDS INC COM 461156101 375215 25250 X 25250 0 0 INTUIT INC COM 461202103 1073778 25100 X 4124 0 20976 INTUIT INC COM 461202103 154008 3600 X 0 3600 0 INVACARE CORP COM 461203101 218913 6494 X 6494 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 810019122 17008024 13786204 354824 2866996
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 36 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ INVACARE CORP COM 461203101 321492 9537 X 9537 0 0 INVESCO CORE G/C FIXED FUND 4612629D1 505227 50229 X 50229 0 0 INVESCO INVESTOR CL FD#10 46127G105 122721 47200 X 47200 0 0 INVESCO DYNAMICS FUND 46127G204 5614783 352466 X 350628 0 1838 INVESCO DYNAMICS FUND 46127G204 61016 3830 X 3830 0 0 INVESCO COMBINATION STK & BD 46128W109 139593 11575 X 11575 0 0 INVESCO COMBINATION STK & BD 46128W109 74165 6150 X 6150 0 0 INVESCO BALANCED FUND 46128W208 8255266 564270 X 564270 0 0 INVESTMENT CO OF AMERICA COM 461308108 3867831 135571 X 135571 0 0 INVESTMENT CO OF AMERICA COM 461308108 593425 20800 X 20800 0 0 IONA TECHNOLOGIES PLC 46206P109 2723245 134150 X 4500 0 129650 IOSPAN WIRELESS INC 4622289A7 1 200000 X 200000 0 0 IRWIN FINL CORP COM 464119106 3397280 199840 X 61340 0 138500 ISHARES TR 464287408 945288 17100 X 17100 0 0 ISHARES TR 464287630 21760 170 X 170 0 0 ISHARES TR 464287630 601600 4700 X 4700 0 0 ISHARES TR 464287655 505838 5250 X 5250 0 0 ISIS PHARMACEUTICALS COM 464330109 4246057 191350 X 8400 0 182950 NORSK HYDRO AS ORD (NOK) 4645805S4 6532567 156962 X 2335 0 154627 ISOLYSER INC COM 464888106 3825 1500 X 1500 0 0 ISOLYSER INC COM 464888106 23078 9050 X 9050 0 0 JDS UNIPHASE CORP 46612J101 1826072 210377 X 75628 0 134749 JDS UNIPHASE CORP 46612J101 756167 87116 X 49861 15000 22255 JHL PROPERTY MANAGEMENT CO 4661619A6 1404461 550 X 0 0 550 J J CARTER & SON MOVING & STORAGE 46618C902 306000 120 X 0 0 120 JLG INDUSTRIES INC 466210101 906315 85100 X 12625 0 72475 JLG INDUSTRIES INC 466210101 25081 2355 X 0 2355 0 JPE INCORPORATED 466230109 1060 105958 X 105958 0 0 J P MORGAN CHASE & CO 46625H100 75475933 2076367 X 1339345 3585 733437 J P MORGAN CHASE & CO 46625H100 24075932 662337 X 593186 37403 31748 JABIL CIRCUIT INC 466313103 646679 28463 X 5676 0 22787 JABIL CIRCUIT INC 466313103 13632 600 X 0 0 600 JANUS ADVISOR SER 47102R876 567575 19358 X 19358 0 0 JANUS FUND INCORPORATED 471023101 21031415 854936 X 835682 0 19253 JANUS FUND INCORPORATED 471023101 1439644 58522 X 38606 0 19916 JANUS INVT FD 471023200 280753 9368 X 9368 0 0 JANUS INVT FD 471023200 69404 2316 X 2316 0 0 JANUS WORLDWIDE FUND 471023309 24186265 551694 X 546556 117 5021 JANUS WORLDWIDE FUND 471023309 1169307 26672 X 25649 378 644 JANUS 471023408 3000831 78025 X 76266 0 1758 JANUS 471023408 134970 3509 X 3509 0 0 JANUS INVT FD 471023846 234856 11569 X 11569 0 0 JANUS INVT FD 471023846 409791 20187 X 2899 15294 1993 JANUS MERCURY FUND 471023853 1410060 67824 X 67824 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 197928261 7085023 5336016 74132 1674871
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 37 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ JANUS MERCURY FUND 471023853 90986 4376 X 3380 0 996 JEFFERSON-PILOT CORP COM 475070108 666103 14396 X 3947 0 10449 JEFFERSON-PILOT CORP COM 475070108 615206 13296 X 13296 0 0 INTERBREW ORD (BEL) 4755317S2 5721510 211000 X 3100 0 207900 COMPAGNIE DE SAINT-GOBAIN ORD (FRF) 4768371S8 5720052 38269 X 420 0 37849 SAIPEM ORD (ITL) 4768768S9 1296874 267394 X 2500 0 264894 JOHN HANCOCK SER TR 478032105 5740 584 X 584 0 0 JOHN HANCOCK SER TR 478032105 280653 28551 X 28551 0 0 JOHNSON & JOHNSON 478160104 163076994 2759340 X 2426878 40670 291792 JOHNSON & JOHNSON 478160104 120455236 2038160 X 1248574 536434 253152 JOHNSON CTLS INC COM 478366107 19237073 238230 X 74318 0 163912 JOHNSON CTLS INC COM 478366107 1340612 16602 X 14297 2150 155 JONES APPAREL GROUP INC COM 480074103 451145 13601 X 1538 0 12063 JONES APPAREL GROUP INC COM 480074103 19902 600 X 600 0 0 JUNIPER NETWORKS INC COM 48203R104 29050 1533 X 763 0 770 JUNIPER NETWORKS INC COM 48203R104 323003 17045 X 13845 0 3200 KLA-TENCOR CORP COM 482480100 872851 17612 X 4878 0 12734 KLA-TENCOR CORP COM 482480100 19923 402 X 402 0 0 K MART CORP COM 482584109 287436 52644 X 18490 0 34154 K MART CORP COM 482584109 63685 11664 X 10664 0 1000 KADANT INC 48282T104 2280966 157308 X 10708 0 146600 KADANT INC 48282T104 64003 4414 X 873 0 3541 VIVENDI UNIVERSAL SA ORD (FRF) 4834777S8 5059117 93286 X 1050 0 92236 KB HOME 48666K109 202906 5060 X 650 0 4410 KEHL FARMS INC 4875279B1 256396 135 X 135 0 0 KELLOGG CO COM 487836108 2477742 82317 X 54437 0 27880 KELLOGG CO COM 487836108 1990272 66122 X 63122 0 3000 KELMOORE STRATEGIC TR 488160201 825153 153374 X 153374 0 0 KENNAMETAL INC COM 489170100 6011103 149270 X 11370 0 137900 KENT REALTY CORPORATION COMMON 4907159A9 200000 400 X 400 0 0 ALTRAN TECHNOLOGIES SA ORD (FRF) 4907732S6 2386885 53335 X 670 0 52665 KENTUCKY ELEC STL INC 49127B100 2583 6300 X 6300 0 0 KENTUCKY ELEC STL INC 49127B100 6765 16500 X 16500 0 0 KENTUCKY RIVER COAL CORP COM 491404109 2204825 602 X 602 0 0 KERR MCGEE CORP COM 492386107 478459 8731 X 1868 0 6863 KERR MCGEE CORP COM 492386107 855921 15619 X 14904 715 0 KEY MAGIC FUND 4931179A5 16556152 1080264 X 1080264 0 0 KEY3MEDIA GROUP INC 49326R104 53300 10000 X 0 0 10000 KEYCORP NEW COM 493267108 15196509 624343 X 595182 0 29161 KEYCORP NEW COM 493267108 15600139 640926 X 595174 22700 23052 KEYSPAN CORPORATION 49337W100 639396 18453 X 3878 0 14575 KEYSPAN CORPORATION 49337W100 44317 1279 X 1279 0 0 KEYSTONE PPTY TR CORP 493596100 26180 2000 X 0 0 2000 KEYSTONE PPTY TR CORP 493596100 261800 20000 X 20000 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 394254923 8955337 6503765 602669 1848903
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 38 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ E.ON AG ORD (DEM) 4942904S5 2516068 50000 X 480 0 49520 KIMBERLY-CLARK CORP COM 494368103 28607363 478384 X 389936 500 87948 KIMBERLY-CLARK CORP COM 494368103 16520109 276256 X 203353 40997 31906 KIMCO RLTY CORP COM 49446R109 150603 4607 X 4607 0 0 KIMCO RLTY CORP COM 49446R109 243704 7455 X 5430 1275 750 KINDER MORGAN INC KANS 49455P101 750033 13468 X 2067 0 11401 KING PHARMACEUTICALS INC 495582108 8237215 195519 X 3152 0 192367 KING PHARMACEUTICALS INC 495582108 13650 324 X 0 224 100 KNIGHT INDS INC DEL 499027100 100 20000 X 0 0 20000 KNIGHT RIDDER INC COM 499040103 10760784 165729 X 22300 0 143429 KNIGHT RIDDER INC COM 499040103 751824 11579 X 11579 0 0 KOHLS CORP COM 500255104 5566591 79026 X 54844 200 23982 KOHLS CORP COM 500255104 1378299 19567 X 19567 0 0 KONINKLIJKE PHILIPS ELECTRS 500472303 6379689 219158 X 14805 0 204353 KONINKLIJKE PHILIPS ELECTRS 500472303 757035 26006 X 26006 0 0 KOREA TELECOM CORP 50063P103 5042125 248014 X 2500 0 245514 KOS PHARMACEUTICALS INC 500648100 4613910 133350 X 5650 0 127700 KRAFT/ROYSE GENERATIONS FUNERAL 5007549A6 264000 44 X 44 0 0 KRISPY KREME DOUGHNUTS INC 501014104 4420 100 X 100 0 0 KRISPY KREME DOUGHNUTS INC 501014104 459680 10400 X 10400 0 0 KROGER CO COM 501044101 13243434 634568 X 174359 0 460209 KROGER CO COM 501044101 684953 32820 X 18670 0 14150 KRUPP INSD PLUS LTD PARTNERSHIP 501124101 70500 12500 X 12500 0 0 KRUPP INSD PLUS LTD PARTNERSHIP 501124101 2820 500 X 500 0 0 KRUPP INSURED PLUS II 501125108 42210 15075 X 15075 0 0 KUCLICKE & SOFFA INDS 501242101 7904006 460875 X 33975 0 426900 LSI LOGIC CORP COM 502161102 505781 32052 X 7230 0 24822 LSI LOGIC CORP COM 502161102 263763 16715 X 7967 1000 7748 L-3 COMMUNICATIONS HLDGS INC 502424104 5152320 57248 X 51343 465 5440 L-3 COMMUNICATIONS HLDGS INC 502424104 2237940 24866 X 21131 3300 435 LABRADOR IRON ORE ROYALITY F 504904103 2559618 296950 X 296950 0 0 LA-Z-BOY INC COM 505336107 1113911 51050 X 51050 0 0 LABORATORY CORP AMER HLDGS 50540R409 3690803 45650 X 0 0 45650 LAFARGE NORTH AMERICA INC 505862102 7833345 208500 X 14800 0 193700 LAFARGE NORTH AMERICA INC 505862102 127738 3400 X 3400 0 0 HENKEL KGAA-VORZUG ORD (DEM) 5076705S2 5182621 93288 X 1010 0 92278 LAKELAND FINL CORP 511656100 333423 18923 X 18923 0 0 LAKELAND FINL CORP 511656100 35240 2000 X 2000 0 0 LAKESIDE DAIRY FARMS INC 511991101 1247000 12233 X 12233 0 0 LANCASTER COLONY CORP COM 513847103 3687500 103844 X 103844 0 0 LANCASTER COLONY CORP COM 513847103 938458 26428 X 26428 0 0 LANLY CO CORP 515908903 1633368 538 X 0 0 538 LANTRONIX INC 516548104 2699272 427100 X 16000 0 411100 LATELO INTL INC 517939104 37500 1250000 X 1250000 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 154244726 5786109 2916208 47961 2821940
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 39 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ NUTRECO HLDG NV ORD (NLG) 5183359S5 2858869 90306 X 780 0 89526 LEAR CORP COM 521865105 5064115 132777 X 9377 0 123400 LEE ENTERPRISES INC CL B 523768208 811447 21931 X 21931 0 0 LEGG MASON INVT TR INC 52465G103 461440 47086 X 47086 0 0 LEGG MASON VALUE TR FD 524659109 432437 8638 X 8443 0 195 LEGG MASON VALUE TR FD 524659109 341704 6826 X 4268 1483 1075 LEGGETT & PLATT INC 524660107 670703 29161 X 9617 0 19544 LEGG MASON INC COM 524901105 321471 6432 X 6432 0 0 LEGG MASON INC COM 524901105 269892 5400 X 5400 0 0 LEHMAN BROTHERS HLDGS INC COM 524908100 15471949 231616 X 31584 0 200032 LEHMAN BROTHERS HLDGS INC COM 524908100 887972 13293 X 7389 3760 2144 ABN AMRO HLDG NV ORD (NLG) 5250769S6 4466627 280000 X 2800 0 277200 AHOLD-KONINKLIJKE NV ORD (EUR) 5252602S3 7993792 277388 X 2944 0 274444 ENDESA SA ORD (ESP) 5271782S5 6152482 397096 X 4400 0 392696 ALTANA AG ORD (DEM) 5273131S9 4002287 81192 X 115 0 81077 LEXICON GENETICS INC 528872104 890923 77203 X 71353 1000 4850 LEXICON GENETICS INC 528872104 851629 73798 X 67312 101 6385 LEXINGTON CORPORATE PPTYS TR 529043101 15500 1000 X 1000 0 0 LEXINGTON CORPORATE PPTYS TR 529043101 158100 10200 X 10200 0 0 HUNTER DOUGLAS NV ORD (NLG) 5291810S9 5527610 208044 X 1950 0 206094 TELECOM ITALIA SPA ORD (ITL) 5297506S5 109519 12937 X 12937 0 0 LEXMARK INTERNATIONAL INC 529771107 58082255 984445 X 452537 0 531908 LEXMARK INTERNATIONAL INC 529771107 1780797 30183 X 29663 470 50 LIBERTY ACORN TR 53015P403 794112 44413 X 40710 3703 0 LIBERTY ACORN TR 53015P403 649705 36337 X 36337 0 0 LIBERTY ACORN TR 53015P817 36434 1973 X 1973 0 0 LIBERTY ACORN TR 53015P817 259829 14068 X 14068 0 0 LIBERTY ELECTRONICS INC COM 530454107 42220 42220 X 42220 0 0 LIBERTY FDS TR V 530542406 79345 10082 X 10082 0 0 LIBERTY COLONIAL TAX EXEMPT FUND 530544105 218401 16930 X 16930 0 0 LIBERTY COLONIAL TAX EXEMPT FUND 530544105 49809 3861 X 3861 0 0 LIBERTY MEDIA CORP NEW 530718105 255696 18264 X 16404 0 1860 LIBERTY MEDIA CORP NEW 530718105 2238544 159896 X 121566 12000 26330 LIBERTY TAX CR PLUS L P 531280105 0 10006 X 10006 0 0 LIGAND PHARMACEUTICAL INC CL A 53220K207 231017 12906 X 12906 0 0 LIGAND PHARMACEUTICAL INC CL A 53220K207 662300 37000 X 30000 0 7000 LILLY ELI & CO COM 532457108 951250719 12111672 X 3316675 140 8794857 LILLY ELI & CO COM 532457108 1004192603 12785747 X 12559185 80131 146431 LIMITED INC COM 532716107 1045532 71028 X 40338 0 30690 LIMITED INC COM 532716107 36947 2510 X 2510 0 0 THORNBURG LTD TERM MUNI FUND NAT'L A 532723103 1005175 74957 X 74957 0 0 LINCOLN ELEC HLDGS INC 533900106 139308 5700 X 5700 0 0 LINCOLN ELEC HLDGS INC 533900106 3435653 140575 X 70375 0 70200 LINCOLN NATL CORP IND COM 534187109 44765269 921665 X 893114 0 28551 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 2129012138 29548762 18129435 102788 11316539
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 40 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ LINCOLN NATL CORP IND COM 534187109 32225855 663493 X 591870 15632 55991 LINCOLN NATL INCOME FD COM 534217104 824912 70325 X 70325 0 0 LINCOLN NATL INCOME FD COM 534217104 2346 200 X 200 0 0 LINEAR TECHNOLOGY CORP COM 535678106 1885085 48286 X 16632 0 31654 LINEAR TECHNOLOGY CORP COM 535678106 2706643 69330 X 69330 0 0 LIQUI BOX CORP 536314107 8250 200 X 200 0 0 LIQUI BOX CORP 536314107 233145 5652 X 1200 4452 0 NORDEA AB ORD (SEK) 5380031S3 4480192 853656 X 10300 0 843356 LIZ CLAIBORNE INC COM 539320101 693217 13934 X 9226 0 4708 LIZ CLAIBORNE INC COM 539320101 102983 2070 X 1870 0 200 LOCAL FINL CORP 539553107 559600 40000 X 40000 0 0 LOCKHEED MARTIN CORP COM 539830109 2153867 46151 X 16317 0 29834 LOCKHEED MARTIN CORP COM 539830109 666774 14287 X 11953 2000 334 LOEWS CORP COM 540424108 1362846 24609 X 11060 0 13549 LOEWS CORP COM 540424108 635153 11469 X 11469 0 0 LONE STAR LIQUIDATING TRUST 54229R102 549 16645 X 16645 0 0 LONGLEAF PARTNERS FDS TR 543069207 219686 10133 X 10133 0 0 LONGLEAF PARTNERS FDS TR 543069405 607215 49207 X 49207 0 0 LONGVIEW FIBRE CO COM 543213102 529974 44875 X 44875 0 0 LONGVIEW FIBRE CO COM 543213102 129910 11000 X 11000 0 0 LOOMIS SAYLES FDS 543487854 165877 15052 X 0 0 15052 LORD ABBETT TAX FREE INCOME TRUST 543912208 114919 22622 X 0 22622 0 LORD ABBET GRW OPPORTUNITIES 54400R202 302656 16918 X 16918 0 0 LORD ABBETT AFFILIATED FD INC COM 544001100 902549 65928 X 64408 0 1520 LORD ABBETT AFFILIATED FD INC COM 544001100 196153 14328 X 14328 0 0 LORD ABBETT DEV GROWTH FD IN 544006109 247577 16288 X 16288 0 0 LOUISIANA PAC CORP COM 546347105 3565892 422499 X 33430 0 389069 LOUISIANA PAC CORP COM 546347105 13209 1565 X 1565 0 0 ELECTROLUX AB-SER B ORD (SEK) 5466782S1 3346649 226139 X 3000 0 223139 LOWES COS INC COM 548661107 73479391 1583266 X 1148933 550 433783 LOWES COS INC COM 548661107 2557098 55098 X 49268 3500 2330 LUBRIZOL CORP COM 549271104 469153 13370 X 11370 0 2000 LUBRIZOL CORP COM 549271104 4763573 135753 X 123186 0 12567 LUCENT TECHNOLOGIES INC COM 549463107 3639907 577763 X 336558 4046 237159 LUCENT TECHNOLOGIES INC COM 549463107 2250675 357250 X 319985 13119 24146 MUEHLBAUER HOLDING AS & CO ORD (DEM) 5499272S9 2610206 100000 X 1000 0 99000 BANCO BILBAO VIZCAYA ORD (ESP) 5501906S6 6009786 490299 X 6300 0 483999 MAF BANCORP INC 55261R108 2986787 101247 X 9747 0 91500 MBIA INC 55262C100 1097323 20461 X 10278 0 10183 MBIA INC 55262C100 550834 10271 X 3971 6000 300 MBNA CORP COM 55262L100 46304755 1315476 X 1227945 1000 86531 MBNA CORP COM 55262L100 8791130 249748 X 236253 2440 11055 MBSL GROUP INC 55265L107 2581 39700 X 39700 0 0 MDU RES GROUP INC 552690109 7694690 273346 X 26246 0 247100 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 222091572 8119909 4694489 75361 3350059
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 41 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ MDU RES GROUP INC 552690109 250535 8900 X 8900 0 0 MFS GROWTH OPPORTUNITY 552723108 129366 14585 X 14585 0 0 MGIC INVT CORP WIS 552848103 775635 12567 X 5210 0 7357 MGIC INVT CORP WIS 552848103 81779 1325 X 1325 0 0 MORGAN STANLELY INSTITUTIONAL FD 552913790 75782 12910 X 12910 0 0 MFS 552981102 201368 10711 X 10711 0 0 MFS 552981300 23818491 1644923 X 1540573 0 104351 MFS 552981300 54921 3793 X 3793 0 0 MFS SER TR V 552981607 293221 20180 X 20180 0 0 MFS RESEARCH FUND 552981706 324064 17011 X 17011 0 0 MFS NEW DISCOVERY FUND- I 552983520 3054960 175270 X 175270 0 0 MFS VALUE FD 552983801 769450 39622 X 35453 0 4169 MFS HIGH INCOME FUND 552984106 54323 14221 X 14221 0 0 MFS SER TR III 552984601 81427 21316 X 21316 0 0 MFS SER TR II 552985202 165134 5236 X 5236 0 0 MFS SER TR II 552985202 52489 1664 X 1664 0 0 MFS 552987505 643263 61793 X 61793 0 0 MFS 552987505 36641 3520 X 3520 0 0 MFS SER TR IV 552987877 814465 73841 X 73841 0 0 MFS SER TR VII 552988305 567670 42269 X 42269 0 0 MFS SER TR VII 552988883 6154428 456560 X 456560 0 0 MFS SER TR VII 552988883 776958 57638 X 57638 0 0 SWISSCOM AG REG ORD (CHF) 5533976S4 7124353 26000 X 260 0 25740 MSC REGENOS AG 5535329A2 99964 13950 X 13950 0 0 MTR GAMING GROUP INC 553769100 4336800 271050 X 19550 0 251500 MACROVISION CORP 555904101 1969679 55925 X 55925 0 0 MANAGERS FDS 561717208 14125345 200076 X 199246 0 830 MANAGERS FDS 561717208 865520 12259 X 9812 2448 0 MANOR CARE INC COM 564055101 263228 11102 X 4034 0 7068 MANOR CARE INC COM 564055101 171898 7250 X 7250 0 0 MANULIFE FINL CORP 56501R106 5143306 197364 X 183134 0 14230 MANULIFE FINL CORP 56501R106 1693457 64983 X 64983 0 0 ATOS ORIGIN ORD (FRF) 5654781S3 4098723 63195 X 1020 0 62175 MARBANC FINANCIAL CORPORATION 566099016 421200 8100 X 8100 0 0 WOLTERS KLUSWER-CVA ORD (NLG) 5671519S6 5565468 246535 X 2700 0 243835 METSO OYJ ORD (FIM) 5713422S2 3699173 355500 X 4125 0 351375 MARSH & MCLENNAN COS INC 571748102 80102793 745489 X 631993 345 113151 MARSH & MCLENNAN COS INC 571748102 56935928 529883 X 508307 3022 18554 MARSHALL & ILSLEY CORP COM 571834100 84352 1333 X 333 0 1000 MARSHALL & ILSLEY CORP COM 571834100 2512216 39700 X 39700 0 0 SINGULUS TECHNOLOGIES AG ORD (DEM) 5718665S7 3194416 115000 X 1150 0 113850 MARRIOTT INTL INC 571903202 38296284 942098 X 578699 125 363274 MARRIOTT INTL INC 571903202 697107 17149 X 16589 460 100 AGUAS DE BARCELONA ORD (ESP) 5729065S0 4881488 395404 X 3740 0 391664 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 275459068 7019200 4938579 6400 2074223
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 42 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ TELEFONICA S A ORD (ESP) 5732524S9 3606412 272103 X 6629 0 265474 MASCO CORP 574599106 9624164 392823 X 222146 275 170402 MASCO CORP 574599106 4447877 181546 X 173295 3955 4296 MASSACHUSETTS INVESTORS GROWTH STK 575719109 9557370 741456 X 717736 0 23720 MASSACHUSETTS INVESTORS GROWTH STK 575719109 696126 54005 X 54005 0 0 MASSACHUSETTS INVS GROWTH ST 575719208 78269 6501 X 6501 0 0 MASSACHUSETTS INVS GROWTH ST 575719208 48257 4008 X 4008 0 0 MASSACHUSETTS INVS GROWTH ST 575719406 19767955 1522955 X 1511112 0 11843 MFS 575736103 707411 42666 X 40545 0 2122 MFS 575736103 120851 7289 X 2360 0 4929 MFS MASSACHUSETTS INVESTORS TRUST 575736400 351181 21181 X 21181 0 0 MASSEY ENERGY CORP 576206106 271563 13100 X 13100 0 0 MASSEY ENERGY CORP 576206106 39905 1925 X 1205 0 720 MASTERS SELECT FDS 576417109 382609 30390 X 30390 0 0 MASTERS SELECT FDS 576417208 95474 7656 X 7656 0 0 MASTERS SELECT FDS 576417208 195469 15675 X 15675 0 0 MATSUSHITA ELEC INDL LTD 576879209 4675 371 X 371 0 0 MATSUSHITA ELEC INDL LTD 576879209 154980 12300 X 12300 0 0 MATTEL INC 577081102 1551096 90180 X 60585 0 29595 MATTEL INC 577081102 128450 7468 X 4571 697 2200 MAXIM INTEGRATED PRODS INC 57772K101 23176076 441365 X 368043 350 72972 MAXIM INTEGRATED PRODS INC 57772K101 15683582 298678 X 274720 7078 16880 MAXTOR CORP 577729205 2475295 390425 X 26425 0 364000 MAXTOR CORP 577729205 24244 3824 X 456 0 3368 MAY DEPT STORES CO 577778103 23690276 640624 X 222291 0 418333 MAY DEPT STORES CO 577778103 4363603 117999 X 69130 11706 37163 MAHLON MAXTON COM 577991102 2654276 285 X 285 0 0 MAYTAG CORP 578592107 338537 10910 X 5482 0 5428 MAYTAG CORP 578592107 34692 1118 X 318 0 800 MAZEL STORES INC 578792103 1386000 630000 X 630000 0 0 MCDATA CORP 580031201 87906 3588 X 3392 14 182 MCDATA CORP 580031201 122500 5000 X 4607 148 245 MCDONALD TAX EXEMPT MTG TRUST 580125102 17143 17143 X 0 0 17143 MCDONALDS CORP 580135101 23684172 894755 X 780418 500 113837 MCDONALDS CORP 580135101 32718455 1236058 X 1059604 94600 81854 MCGRAW-HILL COS INC 580645109 5826700 95551 X 82143 0 13408 MCGRAW-HILL COS INC 580645109 7672077 125813 X 121556 600 3657 MCKEE REALTY CO COMMON 5813339A1 327618 875 X 875 0 0 MCKESSON CORP 58155Q103 1490540 39854 X 20291 0 19563 MCKESSON CORP 58155Q103 119231 3188 X 3188 0 0 MEAD CORP 582834107 689465 22320 X 15512 0 6808 MEAD CORP 582834107 267106 8647 X 8397 250 0 MEAD PROPERTIES INC NON-VOTING COM 582840997 299706 402 X 402 0 0 MEDIACOM COMMUNICATIONS CORP 58446K105 297638 16300 X 6400 0 9900 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 199276932 8430320 6609306 120173 1700842
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 43 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ MEDIMMUNE INC COM 584699102 14146252 305205 X 269023 600 35582 MEDIMMUNE INC COM 584699102 4593007 99094 X 92958 2489 3647 MANSBACH REALTY CO 5849999A6 3 500000 X 500000 0 0 250,000 SHARES MANSBACH REALTY CTF 5849999B4 1 250000 X 250000 0 0 MEDTRONIC INC 585055106 124508973 2431341 X 2242503 3310 185528 MEDTRONIC INC 585055106 52400491 1023247 X 911021 44456 67770 MELLON FINL CORP 58551A108 8414315 223666 X 152034 200 71432 MELLON FINL CORP 58551A108 3009638 80001 X 62866 8454 8681 MENTOR GRAPHICS CORP 587200106 5057391 214569 X 17169 0 197400 MERCANTILE BANKSHARES CORP 587405101 490656 11400 X 11400 0 0 MERCANTILE BANKSHARES CORP 587405101 145260 3375 X 3375 0 0 MERCER COUNTY STATE BANCORP, INC. 588003103 720300 4200 X 4200 0 0 MERCK & CO INC 589331107 189318736 3219706 X 2942235 9545 267926 MERCK & CO INC 589331107 202241667 3439484 X 2987792 226176 225517 MERCURY COMPUTER SYS 589378108 455632 11650 X 4050 0 7600 MERCURY GEN CORP NEW 589400100 3962145 90750 X 3200 0 87550 MERCURY INTERACTIVE CORP 589405109 2346319 69050 X 60822 0 8228 MERCURY INTERACTIVE CORP 589405109 7204 212 X 212 0 0 MERIDIAN FD INC 589619105 199837 6941 X 6941 0 0 MERIDIAN FD INC 589619105 86459 3003 X 2379 0 624 MERIDIAN NATL CORP 589774405 35 500 X 500 0 0 MERIDIAN NATL CORP 589774405 1444 20633 X 20633 0 0 MERRILL LYNCH & CO INC 590188108 63660098 1221414 X 620044 100 601270 MERRILL LYNCH & CO INC 590188108 6035392 115798 X 34593 930 80275 MERRILL LYNCH 590193207 111196 11042 X 11042 0 0 MERRIMAC SER 590266508 28895 28895 X 28895 0 0 METLIFE INC 59156R108 4267017 134691 X 60029 0 74662 METLIFE INC 59156R108 239913 7573 X 4662 2911 0 METRO ONE TELECOMMUNICATIONS 59163F105 1054969 34875 X 1350 0 33525 AEGON NV ORD (NLG) 5927375S5 8578410 320000 X 3200 0 316800 MICHAELS STORES INC 594087108 659000 20000 X 20000 0 0 ORIDION SYSTEMS LTD ORD (ISR) 5946615S5 360245 59001 X 785 0 58216 MICROSOFT CORP 594918104 234495850 3539560 X 3068169 4395 466996 MICROSOFT CORP 594918104 100869600 1522560 X 1308693 52690 161177 MICROCHIP TECHNOLOGY INC 595017104 3811822 98395 X 795 0 97600 MICROCHIP TECHNOLOGY INC 595017104 356021 9190 X 675 0 8515 MICRON TECHNOLOGY INC 595112103 19010595 613245 X 135341 175 477729 MICRON TECHNOLOGY INC 595112103 260400 8400 X 2620 1330 4450 MID STATE FINANCIAL 5954509A7 5356240 11644 X 11644 0 0 MIDCAP SPDR TR 595635103 62176 670 X 670 0 0 MIDCAP SPDR TR 595635103 459174 4948 X 4948 0 0 MID AMER BANCORP COM 595915109 2007482 60649 X 60649 0 0 MID AMER BANCORP COM 595915109 453139 13690 X 13690 0 0 MID ILLINOIS BANCORP INCORPORATED 595990102 297600 2480 X 2480 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1064540999 19846747 15940287 357761 3548700
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 44 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ MID ILLINOIS BANCORP INCORPORATED 595990102 144000 1200 X 1200 0 0 METROCORP INCORPORATED 595990904 401615 1709 X 1709 0 0 SANDVIK AB ORD (SEK) 5963108S4 3543350 166908 X 1810 0 165098 MIDWAY GAMES INC 598148104 4081970 271950 X 9600 0 262350 MIDWEST BANC HLDGS INC 598251106 361250 17000 X 17000 0 0 ZURICH FINCL SVCS ORD (CHF) 5983816S5 3271454 14100 X 150 0 13950 MILLENNIUM PHARMACEUTICALS INC 599902103 1643150 67040 X 240 0 66800 MILLENNIUM PHARMACEUTICALS INC 599902103 51471 2100 X 0 0 2100 MILLENNIUM CHEMICALS INC 599903101 3707928 294280 X 19280 0 275000 MILLIPORE CORP 601073109 284076 4680 X 1445 0 3235 MILLIPORE CORP 601073109 512976 8451 X 8451 0 0 MINE SAFETY APPLIANCES CO 602720104 240900 6000 X 0 0 6000 MINERALS TECHNOLOGIES INC 603158106 4997010 107140 X 7740 0 99400 MINNESOTA MNG & MFG CO 604059105 112702360 953408 X 797252 1005 155151 MINNESOTA MNG & MFG CO 604059105 60016163 507708 X 445602 33649 28457 MIRANT CORP 604675108 2567477 160267 X 31010 0 129257 MIRANT CORP 604675108 259716 16212 X 15068 79 1065 MISSISSIPPI VALLEY BANCSHARES INC 605720101 470400 12000 X 12000 0 0 MITSUBISHI TOKYO FINL GROUP INC 606816106 18763 2900 X 2900 0 0 MITSUBISHI TOKYO FINL GROUP INC 606816106 147354 22775 X 22775 0 0 CHINA MOBILE(HONG KONG)LTD ORD (HKD) 6073556S8 2642773 750745 X 26611 0 724134 MOCON INC 607494101 132342 13700 X 13700 0 0 MODIS PROFESSIONAL SVCS INC 607830106 5774475 808750 X 59550 0 749200 MODIS PROFESSIONAL SVCS INC 607830106 10710 1500 X 1500 0 0 MOLEX INC 608554101 749145 24205 X 4747 0 19458 MOLEX INC 608554101 417206 13480 X 13480 0 0 MOLEX INC 608554200 121887 4506 X 4506 0 0 MOLEX INC 608554200 257543 9521 X 8189 0 1332 MONETTA FUND 608901104 154980 16664 X 16664 0 0 FEDERATED MONEY MARKET MANAGEMENT 60934N211 27470 27470 X 27470 0 0 FEDERATED CA MUNI CASH TR FD #800 60934N369 669000 669000 X 669000 0 0 MONEY MKT OBLIGS TR 60934N427 22501 22501 X 22501 0 0 FEDERATED TREASURY OBLIGATIONS FUND 60934N500 3322469 3322469 X 3322469 0 0 FEDERATED TREASURY OBLIGATIONS FUND 60934N500 3924 3924 X 3924 0 0 FEDERATED U.S. TREASURY OBLIGATIONS 60934N799 1700001 1700001 X 1700001 0 0 HUANENG POWER INTL INC-H ORD (HKD) 6099671S3 3334302 5532000 X 65000 0 5467000 SEMBCORP INDS LTD ORD (SGD) 6128713S0 1973021 2277000 X 23300 0 2253700 NTT MOBILE COMMUNICATIONS ORD (JPY) 6129277S6 3239634 276 X 11 0 265 SHANDONG INTL POWER DEVE-H ORD (HKD) 6142780S9 2142 10000 X 10000 0 0 MONTREAL RIVER INTL SILVER MINES LTD 614990901 22500 75000 X 75000 0 0 MOODYS CORP 615369105 1868438 46875 X 31190 0 15685 MOODYS CORP 615369105 2309409 57938 X 57238 700 0 HSBC HLDGS PLC $.5 ORD (HKD) 6158163S2 6333319 541220 X 18763 0 522457 MSDW DIVIDEND GROWTH SECS IN 616938205 107157 2328 X 2328 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 234619731 18568901 7572374 35433 10961094
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 45 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ MSDW DIVIDEND GROWTH SECS IN 616938205 696017 15124 X 15124 0 0 MORGAN STANLEY DEAN WITTER 616969200 48223 5358 X 5358 0 0 MORGAN STANLEY DEAN WITTER 616969200 263799 29311 X 29311 0 0 MSDW TAX EXEMPT SECURITIES TRUST 616977401 267696 23278 X 23278 0 0 CANON INC (JPY) 6172323S0 5682188 165300 X 2200 0 163100 MORGAN STANLEY DEAN WITTER INSTL FD 61744J408 18175175 1165823 X 1158301 0 7521 MORGAN STANLEY DEAN WITTER DISCOVER 617446448 29508462 527502 X 421227 700 105575 MORGAN STANLEY DEAN WITTER DISCOVER 617446448 13083191 233879 X 214415 11557 7907 MORGAN STANLEY 61745P734 256526 17964 X 17964 0 0 MORGAN STANLEY 61745P734 102316 7165 X 0 0 7165 DBS GROUP HLDGS LTD ORD (SGD) 6175203S8 5231513 700000 X 7700 0 692300 CHINA RARE EARTH HLDGS LTD ORD (HKD) 6181006S5 3386 12000 X 12000 0 0 CHUBU ELECTRIC PWR CO INC ORD (JPY) 6195609S6 2534481 140900 X 1900 0 139000 MOTOROLA INC 620076109 55550779 3698454 X 2008826 525 1689103 MOTOROLA INC 620076109 6288709 418689 X 404949 4740 9000 CARRY WEALTH HLDGS LTD ORD (HKD) 6220556S5 4884 32000 X 32000 0 0 MOUNTAIN ENERGY INC 624011102 1 10000 X 10000 0 0 MOVIE GALLERY INC 624581104 7970592 327200 X 11250 0 315950 DAINIPPON PHARMA CO LTD ORD (JPY) 6250865S8 2868825 283000 X 3550 0 279450 MULTI-COLOR CORP 625383104 190050 10500 X 10500 0 0 MUNICIPAL HIGH INCOME FD INC 626214100 82012 10100 X 10100 0 0 MUNICIPAL INVT TR FD 626229702 9943 10251 X 10251 0 0 MUNIHOLDINGS FD INC 62625H107 154110 11000 X 11000 0 0 MUNIYIELD MICHIGAN FUND INC COM 626300107 106075 8085 X 8085 0 0 MUNIYIELD MICHIGAN FUND INC COM 626300107 227461 17337 X 17337 0 0 MURPHY OIL CORP 626717102 27313 325 X 325 0 0 MURPHY OIL CORP 626717102 501299 5965 X 4800 200 965 JOHNSON ELECTRIC HLDGS NEW ORD (HKD) 6281939S5 1562107 1485500 X 17000 0 1468500 JP MORGAN TAX-FREE MONEY MARKET 628269920 19198458 19198458 X 13030000 0 6168458 FRANKLIN MUTUAL SHARES FUND 628380107 244954 12601 X 12601 0 0 FRANKLIN MUTUAL SHARES FUND 628380107 60115 3092 X 3092 0 0 MUTUAL SER FD INC 628380206 413213 25058 X 25058 0 0 MUTUAL SER FD INC 628380206 61236 3714 X 3714 0 0 FRANKLIN MUTUAL BEACON FUND 628380305 1698660 130165 X 130165 0 0 FRANKLIN MUTUAL BEACON FUND 628380305 93964 7200 X 7200 0 0 FRANKLIN MUTUAL DISCOVERY FUND 628380404 212818 11700 X 11700 0 0 FRANKLIN MUTUAL DISCOVERY FUND 628380404 30505 1677 X 1677 0 0 MYERS INDS INC 628464109 16517 1210 X 1210 0 0 MYERS INDS INC 628464109 3627528 265753 X 265753 0 0 MYLAN LABS INC 628530107 339863 9063 X 8763 0 300 MYLAN LABS INC 628530107 498375 13290 X 7675 0 5615 NCR CORP NEW 62886E108 454705 12336 X 2729 0 9607 NCR CORP NEW 62886E108 74324 2016 X 1641 15 360 NSD BANCORP INC COM 62938D108 129433 6376 X 6376 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 178551801 29075719 17988105 17737 11069876
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 46 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ NSD BANCORP INC COM 62938D108 156655 7717 X 7717 0 0 N-VIRO INTERNATIONAL CORPORATION 62944W9A8 23421 10128 X 10128 0 0 NABORS INDS INC 629568106 12181005 354821 X 318726 1675 34420 NABORS INDS INC 629568106 4309239 125524 X 108198 4451 12875 NACCO INDS INC 629579103 2501600 44050 X 2050 0 42000 NACCO INDS INC 629579103 5701148 100390 X 68390 0 32000 NACCO INDUSTRIES INC CL B 629579202 966000 21000 X 0 0 21000 NASDAQ 100 TR 631100104 574584 14767 X 14667 0 100 NASDAQ 100 TR 631100104 725594 18648 X 17548 1000 100 FIRST PACIFIC CO ORD (HKD) 6339872S0 1190966 9674000 X 89500 0 9584500 NATIONAL CITY CORP 635405103 755955141 25853459 X 24048241 34105 1771113 NATIONAL CITY CORP 635405103 392340244 13417929 X 9062068 984940 3370921 FUJI PHOTO FILM CO LTD (JPY) 6356525S5 3567073 100000 X 1000 0 99000 NATIONAL FRUIT & VEGETABLE 636156101 1 30000 X 30000 0 0 NATIONAL FUEL GAS CO N J 636180101 1166630 47232 X 47232 0 0 NATIONAL FUEL GAS CO N J 636180101 1220032 49394 X 43066 2728 3600 NATIONAL INST COS AMER 636500100 2400 300000 X 300000 0 0 NATIONAL LIME & STONE CO 636795106 515970 1470 X 0 0 1470 NATIONAL LIME & STONE CO 636795106 25974 74 X 74 0 0 NATIONAL PROCESSING INC 637229105 104000 3200 X 3200 0 0 NATIONAL PROCESSING INC 637229105 325975 10030 X 10030 0 0 NATIONAL SEMICONDUCTOR CORP COM 637640103 4159144 135081 X 3168 0 131913 NATIONAL SEMICONDUCTOR CORP COM 637640103 55176 1792 X 1792 0 0 NATIONAL CANTON BANCSHARES 637995101 1423800 40680 X 40680 0 0 NATIONS FDS INC 638581454 898401 56468 X 56468 0 0 NATIONWIDE FINL SVCS INC 638612101 276746 6675 X 6225 0 450 NATIONWIDE FINL SVCS INC 638612101 195899 4725 X 4725 0 0 NATIONWIDE INVESTING FNDTN I 638652875 199547 11025 X 11025 0 0 NATIONWIDE INVESTING FNDTN I 638652875 8869 490 X 490 0 0 NAVIGATOR MONEY MKT FD 639341106 178277 178277 X 178277 0 0 NECK TEK, LCC 6397499A0 113953 113944 X 113944 0 0 NEFF PACKAGING SOLUTIONS INC 640090916 587697 12145 X 12145 0 0 NEOGEN CORP 640491106 181000 10000 X 10000 0 0 NESTLE S A 641069406 5992756 112426 X 112346 0 80 NESTLE S A 641069406 16254628 304942 X 301892 0 3050 NETEGRITY INC 64110P107 2727824 140900 X 4950 0 135950 NETEGRITY INC 64110P107 46464 2400 X 0 0 2400 NETSCOUT SYSTEMS INC 64115T104 16611 2100 X 1993 0 107 NETSCOUT SYSTEMS INC 64115T104 81125 10256 X 10256 0 0 NETWORK APPLIANCE INC 64120L104 853674 39034 X 16672 0 22362 NETWORK APPLIANCE INC 64120L104 67185 3072 X 3072 0 0 NEUBERGER BERMAN FDS 641224506 160493 4679 X 4679 0 0 NEUBERGER BERMAN FDS 641224506 361926 10552 X 10552 0 0 NEW AMER HIGH INCOME FD INC COM 641876107 33346 12631 X 12631 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1218428193 51398127 35099817 1028899 15269411
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 47 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ ALUMINUM CORP OF CHINA LTD (HKD) 6425395S5 492883 2826000 X 30100 0 2795900 HONG KONG LAND HLDGS LTD ORD (HKD) 6434915S8 2806650 1485000 X 15000 0 1470000 HONDA MOTOR CO LTD ORD (JPY) 6435145S7 6378048 160000 X 1500 0 158500 NEW CENTY EQUITY HLDGS CORP 64353J107 5472 10944 X 10944 0 0 NEW CENTY EQUITY HLDGS CORP 64353J107 7800 15600 X 15600 0 0 AMERICAN NEW ECONOMY FUND 643822109 258861 14145 X 14145 0 0 AMERICAN NEW ECONOMY FUND 643822109 61910 3383 X 1843 0 1540 NEWFOCUS INC 644383101 42748 11220 X 1000 0 10220 HUTCHISON WHAMPOA ORD (HKD) 6448068S3 176114 18250 X 3200 0 15050 JOHN FAIRFAX HLDGS LTD ORD (AUD) 6467074S5 3948898 2007380 X 22500 0 1984880 AMERICAN NEW PERSPECTIVE FUND 648018109 1089096 50212 X 50212 0 0 AMERICAN NEW PERSPECTIVE FUND 648018109 482558 22248 X 22248 0 0 KANSAI ELECTRIC POWER ORD (JPY) 6483489S1 3432105 239900 X 2950 0 236950 NEW YORK CMNTY BANCORP INC 649445103 699822 30600 X 30600 0 0 NEW YORK TIMES CO 650111107 601781 13914 X 2976 0 10938 NEW YORK TIMES CO 650111107 63751 1474 X 1274 0 200 NEWELL RUBBERMAID INC 651229106 3789938 137466 X 109920 7883 19663 NEWELL RUBBERMAID INC 651229106 2179684 79060 X 63140 11113 4807 NEWFIELD EXPL CO 651290108 4014050 113040 X 7840 0 105200 NEWMONT MINING CORPORATION 651639106 308970 16168 X 2741 0 13427 NEWMONT MINING CORPORATION 651639106 438059 22923 X 8794 14000 129 NEWS CORP LTD 652487703 215672 6780 X 6780 0 0 NEXTEL COMMUNICATIONS INC 65332V103 834034 76098 X 23147 0 52951 NEXTEL COMMUNICATIONS INC 65332V103 116592 10638 X 5838 600 4200 NIAGARA MOHAWK HLDGS INC 653520106 290063 16360 X 5253 100 11007 NIAGARA MOHAWK HLDGS INC 653520106 4929 278 X 278 0 0 NICHOLAS FD INC COM 653735100 617411 11335 X 9756 0 1579 NICHOLAS LIMITED EDITION 653738104 592827 36214 X 36214 0 0 NICOR INC 654086107 171890 4128 X 1009 0 3119 NICOR INC 654086107 220109 5286 X 5286 0 0 NIKE INC 654106103 1279010 22742 X 4114 0 18628 NIKE INC 654106103 226141 4021 X 3621 400 0 NISOURCE INC 65473P105 2169623 94086 X 72022 0 22064 NISOURCE INC 65473P105 1662257 72084 X 60174 3600 8310 NOKIA CORP 654902204 2140341 87254 X 86105 0 1149 NOKIA CORP 654902204 1615129 65843 X 53993 1400 10450 NOBLE DRILLING CORP 655042109 533747 15680 X 2327 0 13353 NOBLE DRILLING CORP 655042109 12765 375 X 375 0 0 100% OWNERSHIP OF 50% OF NORAG 655416907 616000 1 X 1 0 0 NORDSON CORP 655663102 1822554 69010 X 5010 0 64000 NORDSON CORP 655663102 172510 6532 X 6532 0 0 NORDSTROM INC 655664100 811263 40102 X 30911 0 9191 NORDSTROM INC 655664100 1209875 59806 X 59406 0 400 NORFOLK SOUTHN CORP 655844108 4800664 261902 X 206242 0 55660 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 53414604 8245482 1102921 39096 7103465
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 48 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ NORFOLK SOUTHN CORP 655844108 3157636 172266 X 134544 18672 19050 EDWARD A NORMAN INVESTMENT CO COM 656139904 300150 690 X 690 0 0 NORTEL NETWORKS CORPORATION 656568102 3361230 450567 X 128515 1550 320502 NORTEL NETWORKS CORPORATION 656568102 1095822 146893 X 138643 4000 4250 MEITEC CORP ORD (JPY) 6576356S2 3902438 160000 X 1600 0 158400 NORTH FORK BANCORPORATION INC N Y 659424105 30391 950 X 950 0 0 NORTH FORK BANCORPORATION INC N Y 659424105 185542 5800 X 5500 0 300 NORTH PITTSBURGH SYSTEMS INC COM 661562108 3011948 162808 X 21320 21608 119880 NORTH TRACK FDS INC 663038107 22496 2551 X 2551 0 0 NORTH TRACK FDS INC 663038107 183264 20778 X 20778 0 0 NINTENDO CO LTD ORD (JPY) 6639550S2 5951828 34400 X 420 0 33980 NEC CORP ORD (JPY) 6640400S2 3243132 318249 X 10335 0 307914 NISSAN MOTOR CO LTD ORD (JPY) 6642860S1 2648630 500000 X 5500 0 494500 NIPPON FIRE & MARINE INS ORD (JPY) 6643380S0 3795730 1000000 X 10600 0 989400 NORTHERN INST DIVS ASSETS PT 665278107 511817 511817 X 511817 0 0 NORTHERN TR CORP 665859104 16130108 267853 X 251075 0 16778 NORTHERN TR CORP 665859104 16369422 271827 X 266667 1500 3660 NORTHERN TRUST 66586G9A7 103337 103337 X 103337 0 0 ORIX CORP ORD (JPY) 6661144S9 5064664 56600 X 520 0 56080 NORTHPOINT COMMUNICATIONS GROUP INC 666610100 2128 14185 X 12987 0 1198 NORTHPOINT COMMUNICATIONS GROUP INC 666610100 9186 61240 X 61240 0 0 NORTHROP GRUMMAN CORP 666807102 10109025 100278 X 81285 410 18583 NORTHROP GRUMMAN CORP 666807102 4285433 42510 X 39515 2245 750 NORTHWEST BANCORP INC PA 667328108 221364 19350 X 19350 0 0 NORTHWEST BANCORP INC PA 667328108 9152 800 X 0 800 0 NORTHWESTERN STEEL & WIRE CO NEW 668367204 9 1000 X 1000 0 0 NORTHWESTERN STEEL & WIRE CO NEW 668367204 103 11400 X 11400 0 0 NOVELL INC 670006105 143125 31182 X 6053 0 25129 NOVELL INC 670006105 25167 5483 X 2483 0 3000 NOVELLUS SYS INC 670008101 633054 16047 X 1862 0 14185 NOVELLUS SYS INC 670008101 19725 500 X 500 0 0 NSTAR 67019E107 297849 6641 X 6641 0 0 NSTAR 67019E107 45747 1020 X 1020 0 0 PROMISE CO LTD ORD (JPY) 6703295S6 3896257 72100 X 770 0 71330 NUCOR CORP 670346105 473992 8950 X 3620 0 5330 NUCOR CORP 670346105 473462 8940 X 5850 3000 90 NUMERICAL TECHNOLOGIES INC 67053T101 1840960 52300 X 1800 0 50500 NURESCELL INC 67057R101 1200 40000 X 40000 0 0 NUVEEN PA PREMIUM INCOME MUNICIPAL 67061F101 105047 7466 X 7466 0 0 NUVEEN PA PREMIUM INCOME MUNICIPAL 67061F101 53325 3790 X 0 3790 0 NUVEEN INVT QUALITY MUNICIPAL 67062E103 213 15 X 15 0 0 NUVEEN INVT QUALITY MUNICIPAL 67062E103 205985 14506 X 14506 0 0 NUVEEN SELECT TAX-FREE INCOME 67062F100 191130 13800 X 13800 0 0 NUVEEN SELECT TAX-FREE INCOME 67062F100 106299 7675 X 3000 0 4675 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 92218522 4728564 1951525 57575 2719464
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 49 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ NUVEEN MUN ADVANTAGE FD INC COM 67062H106 14220 1000 X 1000 0 0 NUVEEN MUN ADVANTAGE FD INC COM 67062H106 132545 9321 X 9321 0 0 NUVEEN PERFORMANCE PLUS MUN FD 67062P108 70450 5000 X 5000 0 0 NUVEEN PERFORMANCE PLUS MUN FD 67062P108 103562 7350 X 7350 0 0 NUVEEN PREMIUM INCOME MUN FD 67062T100 46991 3430 X 3430 0 0 NUVEEN PREMIUM INCOME MUN FD 67062T100 409383 29882 X 23216 0 6666 NUVEEN MUN MKT OPPORTUNITY FD 67062W103 174575 12443 X 12443 0 0 NUVEEN MUN MKT OPPORTUNITY FD 67062W103 36478 2600 X 2600 0 0 NUVEEN PREM INCOME MUN FD 2 INC COM 67063W102 138557 9904 X 9904 0 0 NUVEEN PREM INCOME MUN FD 2 INC COM 67063W102 44292 3166 X 3166 0 0 NUVEEN FLAGSHIP MULTISTATE I 67065N886 235599 22395 X 22395 0 0 NUVEEN 67065Q400 460556 49790 X 49790 0 0 NUVEEN 67065Q400 562236 60782 X 60782 0 0 NUVEEN FLAGSHIP MUN TR 67065Q806 15004 1402 X 1402 0 0 NUVEEN FLAGSHIP MUN TR 67065Q806 201556 18837 X 9292 0 9545 NUVEEN FLAGSHIP 67065Q848 15687 1473 X 1473 0 0 NUVEEN FLAGSHIP 67065Q848 785524 73758 X 73758 0 0 NUVEEN FLAGSHIP 67065R507 855226 79261 X 74905 0 4356 NUVEEN FLAGSHIP 67065R507 155031 14368 X 14368 0 0 NUVEEN FLAGSHIP MULTISTATE TR IV 67065R762 105175 9509 X 9509 0 0 NUVEEN FLAGSHIP MULTISTATE TR IV 67065R762 450912 40770 X 40770 0 0 NVIDIA CORP 67066G104 1047186 15653 X 1719 0 13934 NVIDIA CORP 67066G104 13380 200 X 200 0 0 OGE ENERGY CORP 670837103 246841 10695 X 10695 0 0 OGE ENERGY CORP 670837103 170423 7384 X 7384 0 0 OM GROUP INC 670872100 612258 9250 X 8700 550 0 NUVEEN MUNICIPAL VALUE FD 670928100 437328 47484 X 47484 0 0 NUVEEN MUNICIPAL VALUE FD 670928100 146560 15913 X 15208 705 0 NUVEEN PA INVT QUALITY MUN FD 670972108 223053 14970 X 14970 0 0 NUVEEN PA INVT QUALITY MUN FD 670972108 5960 400 X 400 0 0 NUVEEN SELECT 670973106 67584 4783 X 4283 0 500 NUVEEN SELECT 670973106 315608 22336 X 22336 0 0 NUVEEN OHIO QUALITY INCM MUNI 670980101 108732 6396 X 6396 0 0 NUVEEN OHIO QUALITY INCM MUNI 670980101 318240 18720 X 8670 350 9700 NUVEEN TXFR UNIT TR INSD NAT 6710A7549 220467 2332 X 0 0 2332 OSI PHARMACEUTICALS INC 671040103 4041129 88350 X 1600 0 86750 OTG SOFTWARE INC 671059103 15780 1578 X 1411 0 167 OTG SOFTWARE INC 671059103 85540 8554 X 8554 0 0 OAK ASSOCIATES FDS 671081107 5952528 154852 X 154607 0 245 OAK ASSOCIATES FDS 671081107 131180 3413 X 2431 0 982 PIN OAK AGGRESSIVE STOCK FUND 671081206 598377 25047 X 25047 0 0 PIN OAK AGGRESSIVE STOCK FUND 671081206 74031 3099 X 3099 0 0 OAK TECHNOLOGY INC COM 671802106 11615725 844780 X 41180 0 803600 OCCIDENTAL PETE CORP 674599105 11499720 433461 X 69913 0 363548 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 42961189 2196091 892161 1605 1302325
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 50 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ OCCIDENTAL PETE CORP 674599105 1432938 54012 X 53662 0 350 OCEANFIRST FINL CORP 675234108 483200 20000 X 20000 0 0 OCWEN FINL CORP 675746101 98936 11667 X 11667 0 0 OFFICEMAX INC 67622M108 4163 925 X 925 0 0 OFFICEMAX INC 67622M108 61200 13600 X 1200 0 12400 OFFICE DEPOT INC 676220106 2242413 120950 X 100511 0 20439 OFFICE DEPOT INC 676220106 18355 990 X 990 0 0 SMC CORP ORD (JPY) 6763965S9 5946772 58487 X 1927 0 56560 OGLEBAY NORTON CO 677007106 84072 5424 X 5424 0 0 OGLEBAY NORTON CO 677007106 342550 22100 X 22100 0 0 OHIO CAS CORP 677240103 298594 18604 X 18604 0 0 OHIO CAS CORP 677240103 251857 15692 X 14692 0 1000 OHIO ELECTRONIC ENGRAVERS INC 6773599A1 429000 2200 X 2200 0 0 OHIO MACHINERY CO COM 6774009A3 8378244 299223 X 299223 0 0 OIL WELL AUTOMATION INC CLASS A COM 677895997 0 10000 X 10000 0 0 OILTON INCORPORATED 678059999 40000 20000 X 20000 0 0 OLD NATL BANCORP IND 680033107 492249 19495 X 19495 0 0 OLD NATL BANCORP IND 680033107 9821745 388980 X 23659 364817 504 OLD REP INTL CORP 680223104 8650889 308850 X 308850 0 0 OLD REP INTL CORP 680223104 2669829 95317 X 91389 0 3928 SHIN-ETSU CHEMICAL CO ORD 6804585S1 5743902 160000 X 1600 0 158400 SINGAPORE TELECOMMUNICATIONS ORD 6810753S4 3488529 3660000 X 41700 0 3618300 SINGAPORE AIRLINES LTD ORD 6811734S6 77444 13000 X 7000 0 6000 OLYMPIC STEEL INC 68162K106 53550 21000 X 5000 0 16000 OMNICARE INC 681904108 3693436 148450 X 0 0 148450 OMNICARE INC 681904108 59712 2400 X 0 0 2400 OMNICOM GROUP INC 681919106 33845423 378796 X 356736 220 21840 OMNICOM GROUP INC 681919106 2308536 25837 X 24507 440 890 ONE GROUP PRIME MONEY MKT FD CL I 681937405 2432813 2432813 X 2432813 0 0 ONE GROUP PRIME MONEY MKT FD CL I 681937405 130674 130674 X 130674 0 0 ONE GROUP 681937595 542122 50336 X 50336 0 0 ONE GROUP 681937728 221105 10754 X 10754 0 0 ONE GROUP 681937827 561338 21417 X 21417 0 0 ONE GROUP 681937827 78236 2985 X 2985 0 0 OMEGA FINL CORP 682092101 2538982 78973 X 78973 0 0 OMEGA INTL SPORTS & ENTERTAINMENT 6821019A0 1 488334 X 488334 0 0 OMNIVISION TECHNOLOGIES INC 682128103 1274711 141950 X 5050 0 136900 ONE GROUP 68231N651 532831 42055 X 42055 0 0 ONE GROUP 68231N685 1263008 99606 X 0 0 99606 OPENWAVE SYSTEMS INC 683718100 99946 10209 X 9769 0 440 OPENWAVE SYSTEMS INC 683718100 372020 38000 X 38000 0 0 OPPENHEIMER HIGH YIELD FUND A 683796106 127619 13391 X 13391 0 0 OPPENHEIMER HIGH YIELD FUND A 683796106 9813 1030 X 1030 0 0 OPPENHEIMER MAIN STREET FUNDS,INC. 68380D108 244206 7514 X 7514 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 101446963 9466040 4796156 365477 4304407
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 51 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ OPPENHEIMER MAIN STREET FUNDS,INC. 68380D108 72403 2228 X 2228 0 0 OPPENHEIMER MAIN STREET FUNDS,INC. 68380D801 235123 7427 X 7427 0 0 OPPENHEIMER MAIN STREET FUNDS,INC. 68380D801 21637 683 X 683 0 0 OPPENHEIMER QUEST FOR VALUE FDS 68380E106 246688 7743 X 7743 0 0 OPPENHEIMER STRATEGIC INC FD CL B 68380K201 50285 13164 X 13164 0 0 ORACLE CORP 68389X105 30500158 2208556 X 1730228 225 478103 ORACLE CORP 68389X105 11145485 807059 X 704599 40824 61636 OPPENHEIMER MULTI-ST TAX EXE 683940100 116293 10346 X 10346 0 0 OPPENHEIMER CHAMPION INCOME FUND B 683944300 93909 10109 X 10109 0 0 OPPENHEIMER 683977102 360422 39007 X 39007 0 0 OPPENHEIMER 683977102 17444 1888 X 1888 0 0 ORCHID BIOSCIENCES INC 68571P100 82511 15002 X 12452 0 2550 ORCHID BIOSCIENCES INC 68571P100 48593 8835 X 8535 0 300 O REILLY AUTOMOTIVE INC 686091109 9168558 251400 X 5100 0 246300 O REILLY AUTOMOTIVE INC 686091109 382935 10500 X 10500 0 0 TAKEDA CHEMICAL INDUSTRIES (JPY) 6870445S2 3186471 70500 X 700 0 69800 TANABE SEIYAKU CO LTD ORD (JPY) 6870984S9 4059513 456000 X 2200 0 453800 OWEN FUNERAL HOME COM 690006184 258884 465 X 465 0 0 TOYO INK MFG CO LTD ORD (JPY) 6900104S9 928125 495000 X 4500 0 490500 OVERBROOK CORP 690181904 11573477 100 X 100 0 0 OWEN & MINOR INC NEW 690732102 3590850 194100 X 13600 0 180500 OWENS ILLINOIS INC 690768403 378541 37892 X 28392 0 9500 OWENS ILLINOIS INC 690768403 130869 13100 X 13100 0 0 OXFORD HEALTH PLANS INC 691471106 13563 450 X 450 0 0 OXFORD HEALTH PLANS INC 691471106 497310 16500 X 16500 0 0 PDF SOLUTIONS INC 693282105 598500 28500 X 1100 0 27400 PG&E CORP COM 69331C108 635343 33022 X 6430 0 26592 PG&E CORP COM 69331C108 73093 3799 X 3106 0 693 PFF BANCORP INC 69331W104 6021078 218155 X 15755 0 202400 PIMCO 693390304 3015475 299451 X 299451 0 0 PIMCO FDS PAC INVT MGMT SER 693390700 70721558 6761143 X 6702281 4789 54073 PIMCO FDS PAC INVT MGMT SER 693390700 2878600 275201 X 236867 3278 35056 PIMCO 693390726 20196075 1930791 X 1930791 0 0 PIMCO 693390726 59297 5669 X 5669 0 0 PIMCO FDS 693390841 116851 12484 X 12484 0 0 PIMCO 693391633 3350 337 X 337 0 0 PIMCO 693391633 205543 20658 X 20658 0 0 PMC-SIERRA INC 69344F106 403217 18966 X 2583 0 16383 PMC-SIERRA INC 69344F106 437573 20582 X 19872 0 710 PNC FINANCIAL SVCS GROUP 693475105 38981332 693618 X 661675 0 31943 PNC FINANCIAL SVCS GROUP 693475105 22772577 405206 X 317723 19524 67959 PPG INDS INC 693506107 9082549 175610 X 163243 400 11967 PPG INDS INC 693506107 13125708 253784 X 153157 47919 52708 PPL CORPORATION 69351T106 1218391 34961 X 20426 0 14535 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 267706157 15869991 13217624 116959 2535408
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 52 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ PPL CORPORATION 69351T106 371083 10648 X 6370 4278 0 PACCAR INC COM 693718108 630674 9611 X 4353 0 5258 PACCAR INC COM 693718108 5840 89 X 89 0 0 PACIFIC NORTHWEST BANCORP 69466M103 460350 22500 X 22500 0 0 PACKAGING CORP OF AMERICA 695156109 7683113 423312 X 30212 0 393100 PACKAGING CORP OF AMERICA 695156109 18150 1000 X 1000 0 0 PACTIV CORP 695257105 1256558 70792 X 54985 0 15807 PACTIV CORP 695257105 151319 8525 X 4772 153 3600 PALL CORP 696429307 337754 14038 X 5603 0 8435 PALL CORP 696429307 645410 26825 X 23025 0 3800 PALM INC 696642107 308266 79450 X 22572 0 56878 PALM INC 696642107 70476 18164 X 17101 213 850 PANCANADIAN ENERGY CORP 69831A107 14222 547 X 547 0 0 PANCANADIAN ENERGY CORP 69831A107 213902 8227 X 8173 0 54 PANERA BREAD CO 69840W108 5092114 97850 X 3650 0 94200 PARAMETRIC TECHNOLOGY CORP 699173100 169024 21642 X 3495 0 18147 PARAMETRIC TECHNOLOGY CORP 699173100 22711 2908 X 2908 0 0 GUARDIAN 700159106 96523 3016 X 3016 0 0 GUARDIAN 700159106 215286 6728 X 6728 0 0 PARK NATIONAL CORP 700658107 1431133 15430 X 15430 0 0 PARK NATIONAL CORP 700658107 810450 8738 X 8738 0 0 ARMADA ADVANTAGE SMALL 700910201 2205991 226024 X 226024 0 0 ARMADA ADVANTAGE BOND FD 700910409 1516681 157169 X 157169 0 0 ARMADA ADVANTAGE INTERNATIONAL 700910508 5778986 763406 X 763406 0 0 ARMADA ADVANTAGE EQUITY GROWTH FD 700910706 3644878 400096 X 400096 0 0 PARKER HANNIFIN CORP 701094104 1293560 28176 X 20150 0 8026 PARKER HANNIFIN CORP 701094104 2673615 58236 X 58236 0 0 ORANGE SA ORD (FRF) 7027455S5 4167047 464192 X 5200 0 458992 PATHMARK STORES INC 70322A101 6112228 247860 X 17700 0 230160 PATTERSON DENTAL CO COM 703412106 256467 6266 X 6266 0 0 PAW CLUB LLC CLASS B 7038739A9 2 24080 X 24080 0 0 PAX WORLD FD INC 704222108 206691 10381 X 3261 7121 0 PAYCHEX INC 704326107 2242528 64348 X 23554 0 40794 PAYCHEX INC 704326107 2605944 74776 X 59976 130 14670 PAYLESS SHOESOURCE INC 704379106 189057 3367 X 3367 0 0 PAYLESS SHOESOURCE INC 704379106 155479 2769 X 1159 0 1610 PEABODY ENERGY CORP COM 704549104 817510 29000 X 29000 0 0 NORSKE SKOGINDUSTRIER ORD A (NOK) 7070396S7 3998749 214399 X 2250 0 212149 PENN NATL GAMING INC 707569109 6820432 224800 X 8200 0 216600 NOVO NORDISK A/S-B ORD (DKK) 7077524S7 3769928 93085 X 1500 0 91585 PENN VIRGINIA CORP 707882106 201872 5920 X 5920 0 0 PENNEY J C CO INC 708160106 30886957 1148214 X 538546 0 609668 PENNEY J C CO INC 708160106 2927446 108827 X 25597 77030 6200 AXA ORD (FRF) 7088429S0 2613819 126293 X 2200 0 124093 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 105090225 5331724 2628124 88925 2614676
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 53 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ PENTON MEDIA INC 709668107 233323 37272 X 37272 0 0 PENTON MEDIA INC 709668107 293106 46822 X 46822 0 0 PEOPLES BANCORP INC 709789101 1057327 57620 X 57620 0 0 PEOPLES BANCORP INC 709789101 253138 13795 X 13795 0 0 NOVARTIS AG-REG SHS ORD (CHF) 7103065S6 8957420 250621 X 3030 0 247591 FRAPORT AG ORD (DEM) 7107551S8 2318586 99032 X 900 0 98132 PEOPLES ENERGY CORP 711030106 1074709 28334 X 19903 0 8431 PEOPLES ENERGY CORP 711030106 386089 10179 X 8193 400 1586 ADECCO SA-REG ORD (CHF) 7110720S8 6369678 118483 X 1100 0 117383 NESTLE SA CHAM ET VEVEY ORD (CHF) 7123870S9 6843196 32452 X 470 0 31982 UBS AG - REGD - ORD 7126114S8 9565809 191630 X 1980 0 189650 PEOPLESOFT INC COM 712713106 4547504 113122 X 3529 0 109593 PEOPLESOFT INC COM 712713106 166669 4146 X 4146 0 0 PEPSI BOTTLING GROUP INC 713409100 763750 32500 X 3860 0 28640 PEPSI BOTTLING GROUP INC 713409100 9400 400 X 400 0 0 PEPSIAMERICAS INC 71343P200 124186 8999 X 8999 0 0 PEPSIAMERICAS INC 71343P200 23584 1709 X 1170 0 539 PEPSICO INC 713448108 146102428 3000666 X 2755732 4480 240454 PEPSICO INC 713448108 193571013 3975580 X 3619873 214620 141087 PERFORMANCE FOOD GROUP CO 713755106 6660143 189370 X 13870 0 175500 PERKINELMER INC 714046109 738642 21092 X 8917 0 12175 PERKINELMER INC 714046109 50149 1432 X 500 0 932 PEROT SYS CORP 714265105 247082 12100 X 12100 0 0 ING GROEP NV (EURO) 7154182S7 6429977 254597 X 3440 0 251157 PETROLEO BRASILEIRO SA PETRO 71654V101 1111500 50000 X 500 0 49500 PETROLEO BRASILEIRO S.A. ADR 71654V408 5890333 252804 X 2400 0 250404 PFIZER INC 717081103 296309796 7435629 X 6714484 6780 714365 PFIZER INC 717081103 188666282 4734411 X 4396116 161867 176428 PHARMACEUTICAL RESOURCES INC 717125108 4860440 143800 X 5050 0 138750 PHARMACIA CORP 71713U102 254306170 5962630 X 5162594 4185 795851 PHARMACIA CORP 71713U102 44912262 1053042 X 994309 37604 21129 CREDIT SUISSE GROUP ORD (CHF) 7171589S0 4089891 96976 X 1070 0 95906 PHELPS DODGE CORP 717265102 218182 6734 X 1328 0 5406 PHELPS DODGE CORP 717265102 44420 1371 X 1287 0 84 PHILADELPHIA FD INC 717588107 95544 14368 X 14368 0 0 CORTEFIEL SA ORD (ESP) 7181414S0 1529848 274070 X 3380 0 270690 PHILIP MORRIS COS INC 718154107 64663722 1410332 X 1219443 1200 189689 PHILIP MORRIS COS INC 718154107 33506309 730781 X 648916 26506 55359 THE SWATCH GROUP AG-B- ORD (CHF) 7184725S8 6410975 72110 X 550 0 71560 PHILLIPS PETE CO 718507106 17860461 296390 X 73376 0 223014 PHILLIPS PETE CO 718507106 1975142 32777 X 20180 2323 10274 PHYSICIAN WEBLINK 7189559A7 125000 30782 X 30782 0 0 SWISS RE ORD (CHF) 7189816S7 5041588 50680 X 300 0 50380 PHOENIX COMPANIES INC NEW 71902E109 7966452 430619 X 43369 0 387250 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1336371225 31582259 25961423 459965 5160871
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 54 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ PHOENIX COMPANIES INC NEW 71902E109 93536 5056 X 4750 306 0 PHOTRONICS INC 719405102 5490953 175150 X 12550 0 162600 PHOTRONICS INC 719405102 18810 600 X 600 0 0 JULIUS BAER HLDG AG-B ORD (CHF) 7194177S0 3752795 11250 X 205 0 11045 PIER 1 IMPORTS INC 720279108 5959758 343700 X 12500 0 331200 PIER 1 IMPORTS INC 720279108 70227 4050 X 4050 0 0 PILGRIM INVT FDS INC 72142U101 158451 15265 X 15265 0 0 PILGRIM PRECIOUS METAL A 72144V107 79071 24865 X 24865 0 0 PILGRIM MAYFLOWER TR 721462810 1409581 109610 X 109610 0 0 PINNACLE BUSINESS MGMT INC 72345F109 2800 200000 X 200000 0 0 PINNACLE WEST CAP CORP 723484101 806826 19279 X 13459 0 5820 PINNACLE WEST CAP CORP 723484101 4185 100 X 100 0 0 PIONEER FD INC CL A 723682100 78150 2008 X 2008 0 0 PIONEER FD INC CL A 723682100 542387 13940 X 8078 5861 0 PIONEER NAT RES CO 723787107 4748611 246553 X 17361 0 229192 PIONEER RAILCORP COM 723839106 19640 15712 X 15712 0 0 PIONEER RAILCORP CLASS A WARRANT 723839114 1 16386 X 16386 0 0 PIONEER RAILCORP CLASS A WARRANT 723839114 2 4000 X 4000 0 0 PIONEER STANDARD ELECTRONICS 723877106 6728968 529840 X 39340 0 490500 PIONEER STANDARD ELECTRONICS 723877106 635610 50048 X 44462 0 5586 PITNEY BOWES INC 724479100 19769697 525650 X 507948 250 17452 PITNEY BOWES INC 724479100 50405373 1340212 X 1307550 7450 25212 PITT DESMOINES INC 724508106 1058154 34134 X 34134 0 0 PITT DESMOINES INC 724508106 5711688 184248 X 0 184248 0 PITTSBURGH TUBE CO COM 725378103 1318212 9858 X 9858 0 0 PIXELWORKS INC 72581M107 6216023 387050 X 8750 0 378300 PLACER DOME INC 725906101 318812 29222 X 6717 0 22505 PLACER DOME INC 725906101 49226 4512 X 4512 0 0 VIVENDI ENVIRONMENT WRT EXP 3-8-06 7270806S7 36508 90000 X 940 0 89060 PLEXUS CORP 729132100 2993312 112700 X 4100 0 108600 PLUM CREEK TIMBER CO INC 729251108 317038 11183 X 11183 0 0 PLUM CREEK TIMBER CO INC 729251108 438518 15468 X 7148 3253 5067 POHANG IRON & STL LTD SPONSORED ADR 730450103 5171458 224846 X 2700 0 222146 POLARIS INDUSTRIES INCORPORATED 731068102 98175 1700 X 1700 0 0 POLARIS INDUSTRIES INCORPORATED 731068102 161700 2800 X 2800 0 0 POLYONE CORP 73179P106 3920 400 X 400 0 0 POLYONE CORP 73179P106 105066 10721 X 10721 0 0 POLYMER TECHNOLOGY SYSTEMS INC 731929907 60000 30000 X 30000 0 0 POPULAR INC 733174106 1994888 68600 X 0 0 68600 POPULAR INC 733174106 162034 5572 X 5572 0 0 POTOMAC ELEC PWR CO 737679100 152302 6748 X 6646 0 102 POTOMAC ELEC PWR CO 737679100 219696 9734 X 8277 700 757 POTTERS FINL CORP COM 738140102 483043 22087 X 22087 0 0 PRAECIS PHARMACEUTICALS INC 739421105 18333 3150 X 2871 0 279 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 127863538 4918007 2541915 202068 2174023
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 55 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ PRAECIS PHARMACEUTICALS INC 739421105 90792 15600 X 8600 0 7000 PRAXAIR INC 74005P104 11346858 205373 X 27941 0 177432 PRAXAIR INC 74005P104 232824 4214 X 4214 0 0 PREFORMED LINE PRODUCTS CO COM 740444104 656744 34730 X 34730 0 0 PREFORMED LINE PRODUCTS CO COM 740444104 161870 8560 X 3160 0 5400 PREMIER BANCORP INC PA 74046J109 429484 45885 X 45885 0 0 PREMIER FINL BANCORP INC 74050M105 139440 16800 X 16800 0 0 PREMIER FARNELL PLC 74050U206 358253 18659 X 18659 0 0 PREMIER FARNELL PLC 74050U206 13056 680 X 680 0 0 PRICE T ROWE GROUP INC 74144T108 1344433 38711 X 11761 0 26950 PRICE T ROWE GROUP INC 74144T108 292809 8431 X 7631 0 800 T ROWE PRICE 741479109 389128 16093 X 16093 0 0 T ROWE PRICE 741479109 190373 7873 X 6538 0 1335 T ROWE PRICE 741481105 238884 35815 X 35815 0 0 T ROWE PRICE 741486104 247859 21761 X 21761 0 0 T ROWE PRICE 741486104 9970 875 X 875 0 0 PRINCETON MINING CO OF INDIANA 741991103 4515957 468 X 468 0 0 PRINCETON MINING CO OF INDIANA 741991103 3936988 408 X 0 408 0 PROCTER & GAMBLE CO COM 742718109 187133825 2364891 X 2227655 740 136496 PROCTER & GAMBLE CO COM 742718109 151583644 1915628 X 1754342 97437 63849 PROGRESS ENERGY INC 743263AA3 11207 20564 X 10739 0 9825 PROGRESS ENERGY INC 743263AA3 6704 12301 X 11501 0 800 PROGRESS ENERGY INC 743263105 2133161 47372 X 26085 0 21287 PROGRESS ENERGY INC 743263105 671127 14904 X 12410 0 2494 PROGRESS SOFTWARE CORP 743312100 460823 26668 X 26668 0 0 PROGRESSIVE CORP OHIO 743315103 6178631 41384 X 18262 0 23122 PROGRESSIVE CORP OHIO 743315103 69307598 464217 X 464217 0 0 PROSPECT STR HIGH INCOME PTF 743586406 47200 10000 X 10000 0 0 PROTEIN DESIGN LABS INC COM 74369L103 797007 24299 X 23726 200 373 PROTEIN DESIGN LABS INC COM 74369L103 660920 20150 X 19310 0 840 PROVIDENT BANKSHARES CORP COM 743859100 1482008 60988 X 60988 0 0 PROVIDENT FINL GROUP INC 743866105 8811342 335287 X 201087 0 134200 PROVIDENT FINL GROUP INC 743866105 7358 280 X 280 0 0 PROVIDIAN FINL CORP 74406A102 2272859 640242 X 617333 0 22909 PROVIDIAN FINL CORP 74406A102 1475774 415711 X 400776 0 14935 PROXIM INC 744284100 3429344 345700 X 13100 0 332600 PRUDENTIAL FINANCIAL INC 744320102 4507202 135800 X 2740 0 133060 PRUDENTIAL MUN BD FD 74435L301 120225 10959 X 0 0 10959 PRUDENTIAL UTILITY FUND 74437K814 109837 11265 X 11265 0 0 PUBLIC SVC ENTERPRISE GROUP INC 744573106 1239795 29386 X 15101 0 14285 PUBLIC SVC ENTERPRISE GROUP INC 744573106 694152 16453 X 16129 24 300 PULTE HOMES INC 745867101 204231 4572 X 529 0 4043 PULTE HOMES INC 745867101 6656 149 X 149 0 0 PUTNAM AMERICAN GOVT INCOME FD 74644B102 22192 2533 X 2533 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 467970544 7452639 6208536 98809 1145294
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 56 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ PUTNAM AMERICAN GOVT INCOME FD 74644B102 156234 17835 X 7712 0 10123 PUTNAM ASSET ALLOCATION 746444827 242384 28021 X 28021 0 0 PUTNAM ASSET ALLOCATION FD 746444835 1669461 170527 X 170527 0 0 PUTNAM ASSET ALLOCATION FD 746444843 721499 76430 X 76430 0 0 PUTNAM DIVERSIFIED INCOME TR 746704105 714102 76785 X 76785 0 0 PUTNAM DIVERSIFIED INCOME TR 746704204 65316 7054 X 7054 0 0 PUTNAM DIVERSIFIED INCOME TR 746704204 50129 5413 X 5413 0 0 PUTNAM DIVERSIFIED INCOME TR 746704402 166366 17966 X 17966 0 0 PUTNAM GEORGE PUTNAM FUND OF BOSTON 746758101 819688 48966 X 48966 0 0 PUTNAM GEORGE PUTNAM FUND OF BOSTON 746758101 319706 19098 X 19098 0 0 PUTNAM GEORGE PUTNAM FUND OF BOSTON 746758507 319173 19239 X 19239 0 0 PUTNAM FD FOR GROWTH & INCOME 746761105 1067504 60243 X 60243 0 0 PUTNAM FD FOR GROWTH & INCOME 746761105 378827 21379 X 21379 0 0 PUTNAM FD FOR GROWTH & INCOME 746761204 61284 3506 X 3506 0 0 PUTNAM FD FOR GROWTH & INCOME 746761204 160386 9175 X 9175 0 0 PUTNAM FUND FOR GROWTH & INCOME 746761501 1611013 91483 X 91483 0 0 PUTNAM FDS TR 746763853 70590 12696 X 12696 0 0 PUTNAM FDS TR 746763853 2495 449 X 449 0 0 PUTNAM GLOBAL GROWTH FUND 746772102 105560 13799 X 13799 0 0 PUTNAM GLOBAL GROWTH FUND 746772102 1338 175 X 175 0 0 PUTNAM HEALTH SCIENCES FUND 746778109 929 15 X 15 0 0 PUTNAM HEALTH SCIENCES FUND 746778109 395850 6299 X 6299 0 0 PUTNAM HIGH YIELD TRUST FUND 746782101 78937 10265 X 10265 0 0 PUTNAM HIGH YIELD TRUST FUND 746782101 17549 2282 X 2282 0 0 PUTNAM INTER US GOVT INCOME 74679K100 72975 14479 X 14479 0 0 PUTNAM INVT FDS 746802602 78837 9135 X 9135 0 0 PUTNAM INVT FDS 746802602 21321 2471 X 2471 0 0 PUTNAM INVT FDS 746802750 84120 5854 X 5061 0 793 PUTNAM INVT FDS 746802750 80011 5568 X 5568 0 0 PUTNAM INVS FD INC 746809102 234038 20263 X 20263 0 0 PUTNAM INVS FD INC 746809102 232334 20115 X 20115 0 0 PUTNAM INVESTORS FUND 746809201 104446 9662 X 5765 0 3897 PUTNAM INVESTORS FUND 746809201 16287 1507 X 1507 0 0 PUTNAM MICHIGAN TAX EXEMPT INCOME 74683L300 604841 68421 X 68421 0 0 PUTMAN OTC EMERGING GROWTH FD 746847102 1127687 150358 X 150358 0 0 PUTMAN OTC EMERGING GROWTH FD 746847102 3180 424 X 424 0 0 PUTNAM OHIO TAX EXEMPT INCOME FD II 746849306 55948 6394 X 6394 0 0 PUTNAM OHIO TAX EXEMPT INCOME FD II 746849306 206028 23546 X 21772 0 1774 PUTNAM PA TAX EXEMPT INCOME FD CL A 746852102 152233 17319 X 17319 0 0 PUTNAM PREMIER INCOME TR SH BEN INT 746853100 72721 12100 X 12100 0 0 PUTNAM PREMIER INCOME TR SH BEN INT 746853100 75125 12500 X 12500 0 0 PUTNAM TAX EXEMPT INCOME CL-A 746870104 77786 9013 X 9013 0 0 PUTNAM TAX EXEMPT INCOME CL-A 746870104 59292 6870 X 6870 0 0 PUTNAM TAX FREE INCOME TR 746872407 230535 17774 X 17774 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 12786065 1132873 1116286 0 16587
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 57 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ PUTNAM TAX FREE INCOME TR 746872407 25985 2003 X 2003 0 0 PUTNAM U S GOVT INCOME TR 746885201 124305 9681 X 9681 0 0 PUTNAM U S GOVT INCOME TR 746885201 8658 674 X 674 0 0 PUTNAM MASTER INTER INCOME TR 746909100 108000 18000 X 3000 0 15000 PUTNAM MASTER INTER INCOME TR 746909100 808140 134690 X 134690 0 0 PUTNAM NEW OPPORTUNITIES FD 746916105 2646755 64587 X 60668 0 3918 PUTNAM NEW OPPORTUNITIES FD 746916105 4024 98 X 98 0 0 PUTNAM NEW OPPORTUNITIES FD CL B SHS 746916204 137535 3631 X 1934 0 1697 PUTNAM NEW OPPORTUNITIES FD CL B SHS 746916204 67791 1790 X 1790 0 0 PUTNAM NEW OPPORTUNITIES FD 746916501 2513905 64081 X 64081 0 0 PUTNAM MUNICIPAL INCOME FUND CL A 746919109 63262 7288 X 7288 0 0 PUTNAM MUNICIPAL INCOME FUND CL A 746919109 122939 14164 X 14164 0 0 PUTNAM MONEY MKT FD 746923101 78269 78269 X 78269 0 0 PUTNAM INTL GROWTH FD 746932102 11098028 559941 X 554652 0 5289 PUTNAM INTL GROWTH FD 746932102 127930 6455 X 6455 0 0 PUTNAM INTL GROWTH FD 746932300 786679 40198 X 35526 0 4672 PUTNAM VISTA FUND 747011104 1510110 174781 X 174781 0 0 PUTNAM VOYAGER FD INC 747012102 1083637 62638 X 52005 0 10633 PUTNAM VOYAGER FD INC 747012102 41581 2404 X 1941 0 462 PUTNAM VOYAGER FD INC 747012201 57434 3708 X 3708 0 0 PUTNAM VOYAGER FD INC 747012201 102263 6602 X 6602 0 0 QLOGIC CORP 747277101 462681 10395 X 1218 0 9177 QLOGIC CORP 747277101 2226 50 X 50 0 0 QUAKER CITY BANCORP INC 74731K106 932813 31250 X 31250 0 0 QUALCOMM INC COM 747525103 44251938 876276 X 617649 265 258362 QUALCOMM INC COM 747525103 9217260 182520 X 99430 10648 72442 QUEST DIAGNOSTICS INC 74834L100 89709 1251 X 951 0 300 QUEST DIAGNOSTICS INC 74834L100 473286 6600 X 6600 0 0 QUESTAR CORP COM 748356102 133517 5330 X 5330 0 0 QUESTAR CORP COM 748356102 455910 18200 X 17888 0 312 QUINTILES TRANSNATIONAL CORP COM 748767100 245308 15284 X 3672 0 11612 QUINTILES TRANSNATIONAL CORP COM 748767100 243960 15200 X 15200 0 0 QWEST COMMUNICATIONS INTL INC COM 749121109 17468526 1236272 X 954791 3575 277906 QWEST COMMUNICATIONS INTL INC COM 749121109 9197832 650943 X 593882 20303 36758 RCM CAP FDS INC 749355202 1497977 163356 X 157632 1091 4633 RCM CAP FDS INC 749355202 270523 29501 X 24967 4533 0 RPM INC OHIO COM 749685103 988370 68352 X 68352 0 0 RPM INC OHIO COM 749685103 5373842 371635 X 335373 5077 31185 RTI INTL METALS INC 74973W107 1124350 113000 X 113000 0 0 RADIOHIO INC CAP 749991907 187572 87 X 87 0 0 RADIOHIO INC CAP 749991907 500192 232 X 0 0 232 RADIAN GROUP INC 750236101 4371451 101780 X 7885 0 93895 RADIOSHACK CORP 750438103 2333954 77540 X 55933 0 21607 RADIOSHACK CORP 750438103 1164449 38686 X 36846 240 1600 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 122504876 5269423 4361996 45732 861692
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 58 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ RAINBOW DISPLAYS INC 75080Q107 10000 20000 X 20000 0 0 RARE HOSPITALITY INTL INC 753820109 470996 20896 X 15496 0 5400 RATIONAL SOFTWARE CORP COM (NEW) 75409P202 1240688 63625 X 61575 0 2050 RAYCOMM TRANSWORLD 754612109 70 10000 X 0 0 10000 RAYONIER INC COM 754907103 884033 17516 X 12316 0 5200 RAYONIER INC COM 754907103 11305 224 X 191 0 33 RAYTHEON CO 755111507 2190069 67449 X 21372 7500 38577 RAYTHEON CO 755111507 2510678 77323 X 44398 28700 4225 READ-RITE CORP COM 755246105 4337746 656240 X 46540 0 609700 REA MAGNET WIRE CO INC 755990108 3550595 83998 X 83998 0 0 REA MAGNET WIRE COMPANY INC 755999018 14029 56002 X 56002 0 0 RED HAT INC 756577102 247840 34907 X 32931 0 1976 RED HAT INC 756577102 966651 136148 X 136148 0 0 REEBOK INTL LTD COM 758110100 7355155 277553 X 19331 0 258222 REEBOK INTL LTD COM 758110100 12296 464 X 64 0 400 REGENERATION TECH INC DEL 75886N100 3745844 367600 X 13500 0 354100 REGENERATION TECH INC DEL 75886N100 61650 6050 X 1300 0 4750 REGIS CORP MINN 758932107 296470 11500 X 11500 0 0 REGIONS FINL CORP COM 758940100 568082 18974 X 3346 0 15628 REGIONS FINL CORP COM 758940100 16647 556 X 556 0 0 RELIANT ENERGY INC 75952J108 1036349 39078 X 18645 0 20433 RELIANT ENERGY INC 75952J108 1036057 39067 X 37867 1000 200 RENAL CARE GROUP INC 759930100 208650 6500 X 6500 0 0 RENT WAY INC 76009U104 3031449 506085 X 36760 0 469325 REPUBLIC BANCORP INC COM 760282103 1159190 83696 X 72351 0 11345 REPUBLIC BANCORP INC COM 760282103 616165 44488 X 7413 0 37075 RESPIRONICS INC COM 761230101 4288432 123800 X 7100 0 116700 RESPIRONICS INC COM 761230101 17320 500 X 500 0 0 RETEK INC 76128Q109 2776655 92958 X 58 0 92900 RETEK INC 76128Q109 234450 7849 X 330 0 7519 REUTERS GROUP PLC-SPONS ADR 76132M102 3705102 61762 X 61482 0 280 REUTERS GROUP PLC-SPONS ADR 76132M102 16883706 281442 X 280744 125 573 REX HIDE INC COM 761576107 603929 47367 X 47367 0 0 REX HIDE INC COM 761576107 303858 23832 X 23832 0 0 REYNOLDS & REYNOLDS CO CL A 761695105 349200 14400 X 14400 0 0 RIGHTCHOICE MANAGED CARE DEL 76657T102 699900 10000 X 10000 0 0 ROADWAY CORP COM 769742107 14680 400 X 400 0 0 ROADWAY CORP COM 769742107 7408849 201876 X 1876 200000 0 ROBBINS & MYERS INC COM 770196103 1090414 46579 X 46579 0 0 ROBERT HALF INTL INC 770323103 527325 19750 X 2306 0 17444 ROCKWELL INTL CORP NEW 773903109 3080796 172497 X 159936 0 12561 ROCKWELL INTL CORP NEW 773903109 2095478 117328 X 98900 2400 16028 ROCKSHOX INC 774066104 7400 20000 X 20000 0 0 ROCKWELL COLLINS INC 774341101 3479249 178423 X 156853 1200 20370 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 83145447 4066702 1692763 240925 2133014
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 59 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ ROCKWELL COLLINS INC 774341101 2355191 120779 X 75194 2400 43185 ROGERS SUGAR INCOME FD 774910103 2798073 1036500 X 1036500 0 0 ROHM & HAAS CO COM 775371107 781114 22556 X 7432 0 15124 ROHM & HAAS CO COM 775371107 132183 3817 X 2954 442 421 ROSLYN BANCORP INC 778162107 1314600 75120 X 75120 0 0 T ROWE PRICE EQUITY INCOME FD 779547108 4104698 173560 X 173560 0 0 T ROWE PRICE EQUITY INCOME FD 779547108 97425 4119 X 4119 0 0 T ROWE PRICE 779556109 13171651 334306 X 326630 753 6923 T ROWE PRICE 779556109 4337505 110089 X 98601 624 10864 T ROWE PRICE NEW AMERICA FUND 779557107 251126 8135 X 8135 0 0 T ROWE PRICE NEW ERA FUND 779559103 100897 4537 X 4537 0 0 T ROWE PRICE NEW ERA FUND 779559103 110521 4969 X 4969 0 0 T ROWE PRICE INTL STOCK FUNDS INC 77956H203 398450 36256 X 36256 0 0 T ROWE PRICE INTL STOCK FUNDS INC 77956H203 680098 61883 X 56071 0 5812 T ROWE PRICE MARYLAND BOND 77957R101 817696 78323 X 78323 0 0 T ROWE PRICE 779572106 10226930 403588 X 403588 0 0 T ROWE PRICE 779572106 508899 20083 X 18049 0 2033 T ROWE PRICE 779576107 78189 8128 X 8128 0 0 T ROWE PRICE 779576107 202088 21007 X 14530 6477 0 ROYAL BK SCOTLAND GROUP PLC 780097887 413910 16425 X 16425 0 0 ROYAL BK SCOTLAND GROUP PLC 780097887 5040 200 X 200 0 0 ROYAL BANK OF CANADA 780099909 3877617 3877617 X 3877617 0 0 ROYAL DUTCH PETROLEUM CO 780257804 24683580 503541 X 356512 0 147029 ROYAL DUTCH PETROLEUM CO 780257804 15150562 309069 X 281654 20900 6515 RUBICON CONTRA 781128996 1 2000 X 2000 0 0 RUBICON CONTRA 781128996 1 10000 X 0 0 10000 RUBY TUESDAY INC COM 781182100 7048198 341648 X 24948 0 316700 RUBY TUESDAY INC COM 781182100 49760 2412 X 0 0 2412 RYANS FAMILY STEAK HOUSES INC COM 783519101 216500 10000 X 10000 0 0 RYDER SYSTEM INC COM 783549108 5929134 267681 X 25536 0 242145 RYDER SYSTEM INC COM 783549108 1772 80 X 80 0 0 RYLAND GROUP INC COM 783764103 10980 150 X 150 0 0 RYLAND GROUP INC COM 783764103 570960 7800 X 7800 0 0 S & T BANCORP INC COM 783859101 274024 11286 X 11286 0 0 SBC COMMUNICATIONS INC COM 78387G103 110514452 2821405 X 2543217 2476 275712 SBC COMMUNICATIONS INC COM 78387G103 72242630 1844336 X 1697696 53851 92789 SEI INDEX FUNDS 783924103 1506567 42534 X 42534 0 0 SEI INSTL MANAGED TR 783925407 302212 47443 X 46196 1247 0 SEI INSTL MANAGED TR 783925407 274625 43112 X 28561 9144 5408 SEI INST MGD CORE FXD INC -A #64 783925506 476915 46079 X 46079 0 0 SEI INST MGD CORE FXD INC -A #64 783925506 87764 8480 X 8480 0 0 SEI DAILY INCOME TR GNMA PORT #47 783965643 171401 17383 X 17383 0 0 SEI DAILY INCOME TR 783965742 4973840 477794 X 477794 0 0 SEI DAILY INCOME TR 783965742 3032356 291293 X 122445 116977 51871 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 294282135 13527523 12077289 215291 1234943
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 60 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ PUT S & P 500 INDEX 7839819X3 67138033 8214 X 8214 0 0 SCM MICROSYSTEMS INC COM 784018103 1002840 68500 X 2500 0 66000 S D C PROPERTIES CO COM 7840309A8 4509793 540 X 540 0 0 SEI INTL FIXED INC PORT 78411R307 102016 10463 X 10463 0 0 SEI TAX EXEMPT TR 784118507 16123006 1532605 X 1513671 18934 0 SEI TAX EXEMPT TR 784118507 22210279 2111243 X 1331840 648129 131275 SPDR TR 78462F103 22263468 194781 X 98276 360 96145 SPDR TR 78462F103 1212609 10609 X 7566 2250 793 SPX CORP COM 784635104 1210196 8840 X 7680 0 1160 SPX CORP COM 784635104 288175 2105 X 2005 0 100 SSGA FDS 784924888 11213697 592690 X 592690 0 0 S Y BANCORP INC COM 785060104 155178 4660 X 4660 0 0 S Y BANCORP INC COM 785060104 779220 23400 X 23400 0 0 SABRE HLDGS CORP COM 785905100 653037 15420 X 2187 0 13233 SABRE HLDGS CORP COM 785905100 68353 1614 X 1614 0 0 SAFECO CORP COM 786429100 354674 11386 X 2612 0 8774 SAFECO CORP COM 786429100 205652 6602 X 6602 0 0 SAFECO GROWTH FD INC 786434100 549987 20183 X 20183 0 0 SAFEGUARD SCIENTIFIC INC COM 786449108 1050 300 X 300 0 0 SAFEGUARD SCIENTIFIC INC COM 786449108 37975 10850 X 450 0 10400 SAFEWAY INC COM NEW 786514208 12486590 299080 X 263309 440 35331 SAFEWAY INC COM NEW 786514208 2122904 50848 X 46013 4270 565 SAGENT TECHNOLOGY INC 786693101 2007 2113 X 1891 0 222 SAGENT TECHNOLOGY INC 786693101 9500 10000 X 10000 0 0 ST FRANCIS CAPITAL CORP COM 789374105 1827270 79000 X 79000 0 0 ST JUDE MEDICAL INC COM 790849103 531514 6845 X 957 0 5888 ST JUDE MEDICAL INC COM 790849103 38592 497 X 497 0 0 ST PAUL COS INC COM 792860108 21362429 485841 X 67964 0 417877 ST PAUL COS INC COM 792860108 683294 15540 X 13954 0 1586 SALOMON BROTHERS FUND 795477108 73526 5920 X 5920 0 0 SALOMON BROTHERS FUND 795477108 99840 8039 X 7406 0 633 SAMSUNG ELECTRS LTD 796050888 5841275 55000 X 550 0 54450 SANESE SERVICES, INC. 7960639A5 720176 1 X 0 1 0 SANMINA CORP COM 800907107 1392622 69981 X 8062 0 61919 SANMINA CORP COM 800907107 18786 944 X 944 0 0 SAP AKTIENGESELLSCHAFT 803054204 4789500 150000 X 1550 0 148450 SAP AKTIENGESELLSCHAFT 803054204 42467 1330 X 1330 0 0 SAPIENT CORP COM 803062108 114549 14838 X 2598 0 12240 SAPPI LTD -SPONSORED ADR 803069202 9324958 909752 X 66552 0 843200 SARA LEE CORP COM 803111103 15597568 701645 X 633157 2850 65638 SARA LEE CORP COM 803111103 20632063 928118 X 870983 28740 28395 SCANA CORP NEW 80589M102 64343 2312 X 2312 0 0 SCANA CORP NEW 80589M102 166340 5977 X 5851 0 126 SCHERING-PLOUGH CORP COM 806605101 42358539 1182869 X 1058606 430 123833 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 290379890 9621495 6786859 706404 2128233
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 61 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ SCHERING-PLOUGH CORP COM 806605101 36768505 1026766 X 940972 13020 72774 SCHLUMBERGER LTD COM 806857108 75522840 1374392 X 1097008 1950 275434 SCHLUMBERGER LTD COM 806857108 42360351 770889 X 699017 42820 29052 SCHRODER CAP FDS DEL 808088207 71853 10661 X 10661 0 0 SCHRODER CAP FDS DEL 808088207 55840 8285 X 8285 0 0 SCHULER HOMES INC CL A 808188106 198500 10000 X 10000 0 0 SCHULMAN A INC COM 808194104 65520 4800 X 4800 0 0 SCHULMAN A INC COM 808194104 81900 6000 X 6000 0 0 CHARLES SCHWAB CORP NEW 808513105 1819767 117632 X 21723 0 95909 CHARLES SCHWAB CORP NEW 808513105 142912 9238 X 8488 750 0 SCHWAB MONEY MARKET FUND 808515100 577349 577349 X 577349 0 0 SCHWAB MONEY MARKET FUND 808515100 46229 46229 X 0 0 46229 SCIENT INC 808649107 352 838 X 591 0 247 SCIENT INC 808649107 5313 12650 X 12650 0 0 SCIENTIFIC ATLANTA INC COM 808655104 1963176 82004 X 14916 0 67088 SCIENTIFIC ATLANTA INC COM 808655104 282827 11814 X 11414 0 400 SCOTTISH PWR PLC 81013T705 60957 2809 X 2809 0 0 SCOTTISH PWR PLC 81013T705 370506 17074 X 16680 0 394 SCOTTS CO CL A 810186106 7657698 160876 X 156721 350 3805 SCOTTS CO CL A 810186106 8253888 173401 X 151924 13206 8271 SCRIPPS E W CO 811054204 1461240 22140 X 22140 0 0 SCUDDER HIGH YIELD SER 81115L105 53112 9983 X 9983 0 0 SCUDDER HIGH YIELD SER 81115L105 34809 6543 X 6543 0 0 SCUDDER HIGH YIELD SER 81115L204 69052 13004 X 13004 0 0 SCUDDER GNMA S SHARES 811158104 139269 9254 X 9254 0 0 SCUDDER GNMA S SHARES 811158104 11736 780 X 780 0 0 SCUDDER INCOME TR 811158401 180758 12011 X 12011 0 0 SCUDDER INCOME TR 811158401 211960 14084 X 13929 0 155 SCUDDER INTERNATIONAL FD INC COM 811165109 275047 7503 X 7503 0 0 SCUDDER INTERNATIONAL FD INC COM 811165109 744506 20308 X 13500 6808 0 SCUDDER GREATER EURO GROWTH FD 811165406 6648 289 X 104 0 185 SCUDDER GREATER EURO GROWTH FD 811165406 202198 8791 X 0 0 8791 SCUDDER MANAGED 811170109 192758 21585 X 21585 0 0 SCUDDER MANAGED 811170109 397923 44560 X 44560 0 0 SCUDDER MANAGED MUN BDS 811170802 706120 79073 X 71857 0 7215 SCUDDER MANAGED MUN BDS 811170802 498482 55821 X 55308 0 513 SCUDDER MUN INCOME TR 81118R604 194716 17542 X 17542 0 0 SCUDDER MUN INCOME TR 81118R604 129870 11700 X 6000 2000 3700 SCUDDER MASSACHUSETTS TAX FREE FUND 811184308 813187 57632 X 33466 24166 0 SCUDDER INCOME FUND 811192806 423305 33810 X 33810 0 0 SCUDDER INCOME FUND 811192806 145061 11586 X 11586 0 0 SCUDDER DYNAMIC GROWTH 811197102 65205 17388 X 17388 0 0 SCUDDER STRATEGIC INCOME FD 81123J209 70934 16420 X 16420 0 0 SCUDDER US GOVT SECS FD 81123L105 271661 31589 X 31589 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 183605840 4947103 4221870 105070 620162
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 62 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ SCUDDER US GOVT SECS FD 81123L105 476759 55437 X 54093 1344 0 SCUDDER US GOVT SECS FD 81123L204 119034 13873 X 13873 0 0 SEAGATE TECH ESCROW 811804988 0 24279 X 2174 0 22105 SEAGATE TECH ESCROW 811804988 0 5920 X 300 2000 3620 SEA VIEW HOTEL INC COM 811990902 300000 50 X 50 0 0 SEALED AIR CORP NEW 81211K100 303946 7446 X 1700 0 5746 SEALED AIR CORP NEW 81211K100 86457 2118 X 2118 0 0 SEARS ROEBUCK & CO CAP 812387108 2675558 56162 X 24597 0 31565 SEARS ROEBUCK & CO CAP 812387108 895398 18795 X 16612 1191 992 SECOND BANCORP INC COM 813114105 1754732 81200 X 81200 0 0 SECOND BANCORP INC COM 813114105 151270 7000 X 5000 2000 0 SEDALIA FARMS INC COM 814990107 2147690 250 X 250 0 0 SELECTED AMERICAN SHARES 816221105 4889413 157774 X 152942 0 4832 SELECTED AMERICAN SHARES 816221105 220174 7105 X 5234 0 1871 SELIGMAN COMMUNICATIONS & 816333108 492691 19276 X 19179 97 0 SELIGMAN COMMUNICATIONS & 816333108 964561 37737 X 37489 0 249 SELIGMAN GROWTH FD INC 816335301 55054 15042 X 0 0 15042 SELIGMAN HIGH YIELD BOND FUND 816336309 54276 14709 X 14709 0 0 SELIGMAN HIGH-YIELD BOND SERIES CL B 816336606 18801 5081 X 5081 0 0 SELIGMAN HIGH-YIELD BOND SERIES CL B 816336606 87282 23590 X 23590 0 0 SELIGMAN OHIO MUNICIPAL FUND CL A 816346506 22741 2879 X 2879 0 0 SELIGMAN OHIO MUNICIPAL FUND CL A 816346506 709508 89811 X 81569 8242 0 SELIGMAN VALUE FD SER INC 816356307 122749 11591 X 1003 0 10588 SEMTECH CORP COM 816850101 3760334 105361 X 101861 500 3000 SEMTECH CORP COM 816850101 3335231 93450 X 86450 1400 5600 SEMPRA ENERGY 816851109 576925 23500 X 9353 0 14147 SEMPRA ENERGY 816851109 148503 6049 X 5624 300 125 SENETEK PLC 817209307 6000 10000 X 0 0 10000 SENTINEL GROUP FUND INC 817270309 147182 4901 X 4901 0 0 SENTINEL GROUP FUND INC 817270309 400172 13326 X 13326 0 0 SENTINEL GROUP FDS INC 817270804 84776 14442 X 14442 0 0 SERVICE PIPE & SUPPLY INC 817595911 1057447 231 X 231 0 0 SERVICEMASTER CO COM 81760N109 2361346 171112 X 170112 0 1000 SERVICEMASTER CO COM 81760N109 3822076 276962 X 267549 0 9413 SHARON TUBE CO COM 819819103 1080000 600 X 600 0 0 SHEARSON LEHMAN HUTTON UNIT 820926533 1222 14378 X 14378 0 0 SHELL TRANS & TRADING PLC 822703609 681853 16450 X 16450 0 0 SHELL TRANS & TRADING PLC 822703609 221965 5355 X 5355 0 0 SHERWIN WILLIAMS CO COM 824348106 1910728 69481 X 54519 0 14962 SHERWIN WILLIAMS CO COM 824348106 4474333 162703 X 140253 4000 18450 SHUTTLEWORTH INCORPORATED CLASS A 8256759A1 265200 3400 X 3400 0 0 SHUTTLEWORTH INCORPORATED CLASS B 8256759B9 1115400 14300 X 14300 0 0 SHORT TERM FDS 825993900 470242 470242 X 470242 0 0 SIEBEL SYS INC 826170102 1791028 64011 X 15956 0 48055 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 44260057 2197379 1954944 21074 221362
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 63 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ SIEBEL SYS INC 826170102 2923211 104475 X 98675 600 5200 SIFCO INDS VTG TR 8265469A3 2480380 496076 X 454763 0 41313 SIGMA ALDRICH CORP COM 826552101 1116485 28330 X 23133 0 5197 SIGMA ALDRICH CORP COM 826552101 1380178 35021 X 34249 400 372 SIME DARBY BERHAD 828617209 21450 16500 X 16500 0 0 SIMON PPTY GROUP INC NEW 828806109 33319 1136 X 1136 0 0 SIMON PPTY GROUP INC NEW 828806109 592613 20205 X 17905 2300 0 SINCLAIR BROADCAST GROUP INC 829226109 6286094 664492 X 45892 0 618600 SIT TAX FREE INCOME FUND 829799105 39381 3986 X 3986 0 0 SIT TAX FREE INCOME FUND 829799105 118000 11943 X 11943 0 0 SIT MUT FDS INC 82980D301 333640 13234 X 0 13234 0 SIX FLAGS INC 83001P109 6827182 443900 X 30700 0 413200 SIX FLAGS INC 83001P109 181484 11800 X 6000 0 5800 SKY FINL GROUP INC 83080P103 8176049 401969 X 84469 0 317500 SKY FINL GROUP INC 83080P103 2335805 114838 X 114838 0 0 SKYWEST INC COM 830879102 9889870 388600 X 10000 0 378600 SKYWEST INC COM 830879102 122160 4800 X 3000 0 1800 AMERICAN SMALLCAP WORLD FUND 831681101 393432 17165 X 17165 0 0 AMERICAN SMALLCAP WORLD FUND 831681101 79057 3449 X 3449 0 0 SMITH BARNEY MONEY FDS INC 831804109 73904 73904 X 73904 0 0 SMITH BARNEY MONEY FDS INC 831804109 1195 1195 X 1195 0 0 SMITHFIELD FOODS CO COM 832248108 429868 19504 X 17224 900 1380 SMITHFIELD FOODS CO COM 832248108 73283 3325 X 3325 0 0 SMUCKER J M CO 832696306 742980 21000 X 21000 0 0 SMUCKER J M CO 832696306 1620829 45812 X 45812 0 0 SMURFIT-STONE CONTAINER CORP 832727101 914251 57248 X 39348 0 17900 SOLECTRON CORP COM 834182107 5597508 496233 X 423843 245 72145 SOLECTRON CORP COM 834182107 3952512 350400 X 306778 9360 34262 SOLUTIA INC 834376105 3897125 277969 X 24319 0 253650 SOLUTIA INC 834376105 59725 4260 X 1760 2000 500 SONICWALL INC 835470105 3773304 194100 X 11700 0 182400 SONOCO PRODS CO COM 835495102 206447 7767 X 5267 0 2500 SONOCO PRODS CO COM 835495102 603579 22708 X 15608 6000 1100 SONY CORP AMERN SH NEW 835699307 3991170 88496 X 1350 0 87146 SONY CORP AMERN SH NEW 835699307 339783 7534 X 7534 0 0 SOUTH FINL GROUP INC 837841105 1526500 86000 X 86000 0 0 SOUTHERN CO COM 842587107 3524867 139048 X 91774 0 47274 SOUTHERN CO COM 842587107 2143900 84572 X 80684 1000 2888 SOUTHMARK CORP COM NEW 844544809 367 61200 X 0 0 61200 SOUTHTRUST CORP COM 844730101 9752199 395306 X 113355 0 281951 SOUTHTRUST CORP COM 844730101 427408 17325 X 16625 700 0 SOUTHTRUST FDS 844734103 6147446 6147446 X 6147446 0 0 SOUTHWEST AIRLINES CO COM 844741108 65919638 3567080 X 2259742 1390 1305948 SOUTHWEST AIRLINES CO COM 844741108 2554287 138219 X 123495 8279 6445 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 161603865 15089570 10896891 46408 4146271
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 64 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ SOUTHWEST BANCORPORATION TEX 84476R109 2179440 72000 X 72000 0 0 SOUTHWEST BANCORPORATION TEX 84476R109 142269 4700 X 3400 0 1300 SOVEREIGN BANCORP 845905108 48960 4000 X 4000 0 0 SOVEREIGN BANCORP 845905108 127908 10450 X 10450 0 0 SCB BANCORP INCORPORATED 845996107 200000 2000 X 2000 0 0 SPARTAN STORES INC 846822104 121095 10125 X 10125 0 0 SPARTECH CORP (NEW) 847220209 8124052 395331 X 395331 0 0 SPARTECH CORP (NEW) 847220209 61650 3000 X 3000 0 0 SPECTRALINK CORP 847580107 4025550 235000 X 8500 0 226500 SPHERION CORP 848420105 4299583 440531 X 30631 0 409900 SPRINT CORP COM 852061100 5245378 261224 X 179095 500 81629 SPRINT CORP COM 852061100 3686005 183566 X 151557 6925 25084 SPRINT CORP 852061506 73340065 3004509 X 2068309 1125 935075 SPRINT CORP 852061506 8550774 350298 X 322477 7766 20055 STANCORP INC 852890904 7233600 13200 X 13200 0 0 STANCORP INC 852890904 4860760 8870 X 5550 3320 0 STANDARD FOODS INC COM 8534059A8 3 17595 X 17595 0 0 STANDISH SMALL CAP GROWTH FUND 854268828 2476224 72151 X 69050 0 3101 STANDISH SMALL CAP GROWTH FUND 854268828 709734 20680 X 20476 204 0 STANLEY WKS COM 854616109 317421 6816 X 952 0 5864 STANLEY WKS COM 854616109 84012 1804 X 1704 100 0 STAPLES INC COM 855030102 1263970 67592 X 36249 0 31343 STAPLES INC COM 855030102 882902 47214 X 47214 0 0 STAR OF THE WEST MILLING COMPANY 85515P103 1121250 9750 X 9750 0 0 STARBUCKS CORP COM 855244109 1362970 71547 X 32488 0 39059 STARBUCKS CORP COM 855244109 318421 16715 X 16715 0 0 STARWOOD HOTELS & RESORTS WORLDWIDE 85590A203 719206 24094 X 4148 0 19946 STARWOOD HOTELS & RESORTS WORLDWIDE 85590A203 96296 3226 X 1372 1651 203 STATE FARM BALANCE FD INC 856834106 219866 4688 X 4688 0 0 STATE STREET GLOBAL ADVISORS S&P 500 8574609A9 19074152 1019572 X 1019572 0 0 STATE STR CORP 857477103 79407774 1519766 X 1467150 520 52096 STATE STR CORP 857477103 53033332 1014992 X 990049 4430 20513 STATE STREET EXCHANGE FUND 857478101 39159366 76526 X 76526 0 0 STATE STREET INVESTMENT 857483101 127862 12994 X 12994 0 0 STATE STREET INVESTMENT 857483101 717211 72887 X 72887 0 0 STATE STR BK 857499909 1185856 1185856 X 1185856 0 0 STATE STREET RESEARCH TAX EXEMPT FD 857513105 494969 60436 X 0 60436 0 STATE FED FINL CORP COM 857549109 615000 60000 X 60000 0 0 STEARNS & LEHMAN INC COM 857890107 217129 36128 X 36128 0 0 STATE STREET RESEARCH 857918106 208455 16544 X 16544 0 0 STERLING BANCSHARES INC 858907108 876400 70000 X 70000 0 0 STERICYCLE INC 858912108 48704 800 X 800 0 0 STERICYCLE INC 858912108 158288 2600 X 2600 0 0 STERIS CORP COM 859152100 32155 1760 X 1760 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 327176017 10513537 8554892 86977 1871668
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 65 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ STERIS CORP COM 859152100 436215 23876 X 23476 0 400 STILWELL FINL INC 860831106 843983 31006 X 9167 0 21839 STILWELL FINL INC 860831106 75127 2760 X 1000 0 1760 STMICROELECTRONICS NV-NY SHS 861012102 3167000 100000 X 1100 0 98900 SEVEN SEAS FDS 8611238A8 205392 205392 X 205392 0 0 SSGA PRIME FD 8618809A2 21112575 21112575 X 21112575 0 0 STORAGENETWORKS INC 86211E103 46430 7513 X 6648 0 865 STORAGENETWORKS INC 86211E103 234432 37934 X 37934 0 0 STRONG CORPORATE BOND FUND 862912102 321597 30628 X 29385 0 1243 STRONG EQUITY FDS INC 862916301 161375 14998 X 14998 0 0 STRONG 86334C109 294781 14903 X 14903 0 0 STRONG HIGH-YIELD MUNICIPAL BOND 863345104 528614 67168 X 40854 7873 18441 STRONG OPPORTUNITY FUND INC 86335K100 252525 6427 X 6427 0 0 STRONG MUN FDS INC 86335P208 2975708 607287 X 607287 0 0 STRUTHERS INC 863582201 178 22222 X 22222 0 0 STRUTHERS INDS INC 863583209 10 10000 X 10000 0 0 STRYKER CORP COM 863667101 6382993 109354 X 89223 0 20131 STRYKER CORP COM 863667101 1628114 27893 X 26293 0 1600 SUMMIT PROPERTIES INC COM 866239106 8990362 359327 X 25480 0 333847 SUMMIT PROPERTIES INC COM 866239106 26271 1050 X 1050 0 0 SUN CMMNTYS INC COM 866674104 240263 6450 X 6450 0 0 SUN CMMNTYS INC COM 866674104 204875 5500 X 4650 850 0 SUN LIFE FINL SVCS CDA INC 866796105 1346522 62339 X 62339 0 0 SUN LIFE FINL SVCS CDA INC 866796105 444118 20561 X 20561 0 0 SUN MICROSYSTEMS INC COM 866810104 18499311 1504009 X 1243648 0 260361 SUN MICROSYSTEMS INC COM 866810104 7582397 616455 X 530915 40800 44740 SUN DEVELOPMENT COMPANY N.V. 8672959A7 1 65000 X 65000 0 0 SUNGARD DATA SYS INC COM 867363103 63819059 2205982 X 1470449 1340 734193 SUNGARD DATA SYS INC COM 867363103 4746979 164085 X 135360 15920 12805 SUNOCO INC 86764P109 305703 8187 X 2424 0 5763 SUNOCO INC 86764P109 156380 4188 X 2249 1939 0 SUNRISE ASSISTED LIVING INC 86768K106 19387 666 X 666 0 0 SUNRISE ASSISTED LIVING INC 86768K106 291100 10000 X 10000 0 0 SUNTRUST BKS INC COM 867914103 26835788 428003 X 167762 0 260241 SUNTRUST BKS INC COM 867914103 1605998 25614 X 22614 3000 0 SUPERIOR ENERGY SVCS INC 868157108 114180 13200 X 13200 0 0 SUPERVALU INC COM 868536103 708238 32018 X 22923 0 9095 SUPERVALU INC COM 868536103 224717 10159 X 10159 0 0 SUREQUEST SYSTEMS INC 868663105 5010 250500 X 250500 0 0 SUSQUEHANA BANCSHARES INC PA COM 869099101 3996674 191687 X 191687 0 0 SWIRE PAC LTD 870794302 33245 6100 X 6100 0 0 SWIRE PAC LTD 870794302 34880 6400 X 6400 0 0 SYCAMORE NETWORKS INC 871206108 41079 7664 X 6866 0 798 SYCAMORE NETWORKS INC 871206108 121216 22615 X 22615 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 179060802 28459695 26560951 71722 1827022
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 66 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ SYMBOL TECHNOLOGIES INC COM 871508107 1502423 94611 X 3707 0 90904 SYMBOL TECHNOLOGIES INC COM 871508107 274756 17302 X 14902 0 2400 SYNOVUS FINCL CORP 87161C105 611671 24418 X 4495 0 19923 SYNOVUS FINCL CORP 87161C105 16207 647 X 647 0 0 SYSCO CORP COM 871829107 12125832 462465 X 413510 0 48955 SYSCO CORP COM 871829107 26682967 1017657 X 929957 58700 29000 TCF FINL CORP COM 872275102 46541 970 X 970 0 0 TCF FINL CORP COM 872275102 238988 4981 X 4981 0 0 TCW/DW TERM TRUST 2003 87234U108 106900 10000 X 10000 0 0 TE-CO, AN OHIO CORP 872370903 1906476 33 X 33 0 0 TECO ENERGY INC COM 872375100 6005234 228858 X 215377 0 13481 TECO ENERGY INC COM 872375100 1587205 60488 X 57672 1610 1206 TEPPCO PARTNERS L P 872384102 339000 11300 X 11300 0 0 TEPPCO PARTNERS L P 872384102 162000 5400 X 4000 0 1400 TF FINL CORP COM 872391107 316500 15000 X 15000 0 0 TIS MTG INVT CO 872527106 2250 10000 X 10000 0 0 TJX COS INC NEW COM 872540109 18651530 467926 X 45267 0 422659 TJX COS INC NEW COM 872540109 44643 1120 X 1120 0 0 T R W INC COM 872649108 13670649 369078 X 65597 0 303481 T R W INC COM 872649108 5758090 155456 X 152216 2560 680 TMP WORLDWIDE (TMPW) 872941109 518404 12084 X 1483 0 10601 TVX GOLD INC 87308K200 9401 21862 X 21862 0 0 TWP INC COM 873106108 438019 449 X 449 0 0 TWP INC COM 873106108 2992031 3069 X 328 536 2205 TXU CORPORATION 873168108 2693774 57132 X 31038 300 25794 TXU CORPORATION 873168108 2136555 45314 X 31114 2300 11900 TAIWAN SEMICONDUCTOR MFG LTD 874039100 97354 5670 X 5670 0 0 TAIWAN SEMICONDUCTOR MFG LTD 874039100 218025 12698 X 11858 0 840 TALISMAN ENERGY INC COM 87425E103 13562147 358313 X 32935 0 325378 TANDYCRAFTS INC 875386104 12138 433512 X 433512 0 0 TARGET CORP 87612E106 65500899 1595637 X 1035518 800 559319 TARGET CORP 87612E106 8371162 203926 X 192571 2580 8775 AMERICAN FUNDS 876902107 328882 27384 X 27384 0 0 AMERICAN FUNDS 876902107 62348 5191 X 595 4597 0 TECHNICAL MICRONICS CONTROL 878007525 2 22200 X 22200 0 0 TEAM FINANCIAL INC 87815X109 343600 40000 X 40000 0 0 TECH DATA CORP COM 878237106 4475152 103400 X 0 0 103400 TECUMSEH PRODS CO CL A 878895200 7594500 150000 X 10900 0 139100 TECHNICAL RUBBER CO INC CL B NON-VTG 878990902 16447860 540 X 0 0 540 TEKTRONIX INC COM 879131100 200904 7793 X 1052 0 6741 TEKTRONIX INC COM 879131100 2784 108 X 108 0 0 TELEFLEX INC COM 879369106 82414 1742 X 1742 0 0 TELEFLEX INC COM 879369106 615408 13008 X 12708 300 0 TELEFONICA S.A. 879382208 221803 5534 X 3316 0 2218 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 216975428 6084276 3879094 74283 2130900
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 67 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ TELEFONICA S.A. 879382208 778474 19423 X 18923 0 500 TELEFONOS DE MEXICO S A SPONSORED 879403780 6793355 193985 X 10313 0 183672 TELEFONOS DE MEXICO S A SPONSORED 879403780 193486 5525 X 5125 0 400 TELLABS INC COM 879664100 970081 64845 X 13885 0 50960 TELLABS INC COM 879664100 506037 33826 X 14251 6000 13575 TEMPLE INLAND INC COM 879868107 240138 4233 X 850 0 3383 TEMPLE INLAND INC COM 879868107 34265 604 X 604 0 0 TEMPLETON DEVELOPING MKTS TR COM 88018W104 727777 73662 X 73662 0 0 TEMPLETON EMERGING MARKETS INCOME FD 880192109 19956 1872 X 1872 0 0 TEMPLETON EMERGING MARKETS INCOME FD 880192109 181764 17051 X 17051 0 0 TEMPLETON FDS INC 880196100 428327 28824 X 28824 0 0 TEMPLETON FDS INC 880196100 237383 15975 X 15343 632 0 TEMPLETON FOREIGN FUND 880196209 13384918 1447018 X 1423143 2320 21555 TEMPLETON FOREIGN FUND 880196209 5668283 612787 X 494825 86054 31908 TEMPLETON GROWTH FD INC 880199104 2079844 115547 X 115488 0 59 TEMPLETON GROWTH FD INC 880199104 175935 9774 X 9774 0 0 TEMPLETON INSTL FDS INC 880210208 610653 75576 X 75392 0 183 TEMPLETON INSTL FDS INC 880210208 304276 37658 X 37658 0 0 TEMPLETON INSTL FDS INC 880210505 29381012 2030478 X 2009172 0 21305 TEMPLETON INSTL FDS INC 880210505 3223671 222783 X 209987 10122 2673 TEMPLETON 88022L102 57306 9456 X 9456 0 0 TEMPLETON 88022L102 24420 4030 X 4030 0 0 TENET HEALTHCARE CORP COM 88033G100 26131105 445012 X 41890 0 403122 TENET HEALTHCARE CORP COM 88033G100 50440 859 X 859 0 0 TERADYNE INC COM 880770102 1847311 61291 X 3533 0 57758 TEXAS INSTRS INC COM 882508104 39037908 1394211 X 1245829 415 147967 TEXAS INSTRS INC COM 882508104 5308688 189596 X 164622 16660 8314 TEXAS PAC LD TR SUB SH 882610108 264960 7200 X 7200 0 0 TEXTRON INC COM 883203101 3140844 75756 X 61571 0 14185 TEXTRON INC COM 883203101 2375824 57304 X 33102 20950 3252 THE GENERAL METALS POWDER COMPANY 8833519A8 208815 242 X 242 0 0 THERAGENICS CORP 883375107 4819075 488750 X 17850 0 470900 THERAGENICS CORP 883375107 59160 6000 X 0 0 6000 THERMA-WAVE INC 88343A108 3958276 265300 X 9400 0 255900 THERMA-WAVE INC 88343A108 93996 6300 X 6300 0 0 THERMO ELECTRON CORP COM 883556102 367182 15389 X 2937 0 12452 THERMO ELECTRON CORP COM 883556102 584689 24505 X 23905 0 600 THERMO TECH TECHNOLOGIES INC 88360H101 50 50000 X 50000 0 0 THERMOVIEW INDS INC 883671505 13485 15500 X 15500 0 0 THOMAS REALTY COMPANY 883996100 911492 60 X 60 0 0 THOMAS & BETTS CORP COM 884315102 197668 9346 X 1752 300 7294 THOMAS & BETTS CORP COM 884315102 17068 807 X 695 112 0 THOMAS INDS INC COM 884425109 2073400 82936 X 82936 0 0 THOMAS INDS INC COM 884425109 170675 6827 X 6827 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 157653472 8228123 6366638 143565 1717917
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 68 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ THORNBURG INTERMEDIATE MUNI FUND 885215202 141444 10855 X 10855 0 0 THORNBURG INTERMEDIATE MUNI FUND 885215202 784781 60229 X 60229 0 0 THORNBURG GLOBAL VALUE FUND 885215640 764139 56063 X 56063 0 0 TIFFANY & CO NEW COM 886547108 543770 17279 X 1946 0 15333 TIFFANY & CO NEW COM 886547108 106683 3390 X 0 0 3390 TIMBERWEST FOREST CORP 887147205 2644294 324000 X 50000 0 274000 TIMKEN CO COM 887389104 7150363 441926 X 37426 0 404500 TIMKEN CO COM 887389104 114069 7050 X 7050 0 0 TITAN PHARMACEUTICALS INC DE 888314101 1005035 102450 X 0 0 102450 TOLEDO MIRROR AND GLASS COMPANY 8892729A0 1680560 322 X 322 0 0 TOO INC 890333107 3811088 138585 X 9085 0 129500 TOOTSIE ROLL IND COM 890516107 117 3 X 3 0 0 TOOTSIE ROLL IND COM 890516107 237489 6077 X 6077 0 0 TOP ROC PRECAST CORP 890790108 0 88332 X 88332 0 0 TORCHMARK CORP COM 891027104 1373168 34914 X 18197 0 16717 TORCHMARK CORP COM 891027104 179030 4552 X 4152 0 400 TORONTO DOMINION BK ONT 891160509 115676 4494 X 4494 0 0 TORONTO DOMINION BK ONT 891160509 185328 7200 X 7200 0 0 TOTAL FINA ELF S.A. SPONSORED ADR 89151E109 1973042 28090 X 3310 0 24780 TOTAL FINA ELF S.A. SPONSORED ADR 89151E109 116036 1652 X 1652 0 0 TOWER FINANCIAL CORP 891769101 172695 14500 X 14500 0 0 TOWER FINANCIAL CORP 891769101 41685 3500 X 2500 0 1000 TOYS R US INC COM 892335100 2431578 117241 X 2871 0 114370 TOYS R US INC COM 892335100 188278 9078 X 6078 3000 0 TRI-CONTINENTAL CORPORATION 895436103 165956 8851 X 8851 0 0 TRI-CONTINENTAL CORPORATION 895436103 307020 16374 X 5335 0 11039 TRIAD GUARANTY INC 895925105 6199160 170917 X 12717 0 158200 TRICON GLOBAL RESTAURANTS 895953107 1714128 34840 X 24748 0 10092 TRICON GLOBAL RESTAURANTS 895953107 2525387 51329 X 44850 5898 581 TRIBUNE CO NEW COM 896047107 1471149 39304 X 18805 0 20499 TRIBUNE CO NEW COM 896047107 1392658 37207 X 23561 11646 2000 TRIPATH IMAGING INC 896942109 98884 13132 X 0 0 13132 TRUSTMARK CORP COM 898402102 6921857 285673 X 20173 0 265500 TURBODYNE TECHNOLOGIES INC 899905103 3956 14385 X 14385 0 0 TWEEDY BROWNE FD INC 901165100 469827 25355 X 24654 701 0 TWEEDY BROWNE FD INC 901165100 257785 13912 X 10058 0 3854 TYCO INTL LTD NEW 902124106 210543292 3574589 X 3322359 3123 249107 TYCO INTL LTD NEW 902124106 83273468 1413811 X 1252171 49375 112265 UCAR INTERNATIONAL INC 90262K109 12860330 1201900 X 87200 0 1114700 UCAR INTERNATIONAL INC 90262K109 21400 2000 X 0 0 2000 USX-MARATHON GROUP COM NEW 902905827 11112570 370419 X 47721 0 322698 USX-MARATHON GROUP COM NEW 902905827 442890 14763 X 11333 230 3200 UST INC COM 902911106 2121980 60628 X 38712 0 21916 UST INC COM 902911106 1462545 41787 X 40912 875 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 369126590 8872958 5400887 74848 3397223
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 69 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ US BANCORP DEL COM NEW 902973304 17563326 839146 X 648130 150 190866 US BANCORP DEL COM NEW 902973304 4515198 215729 X 208970 3925 2834 US DIAGNOSTIC INC COM 90328Q108 12000 1000000 X 1000000 0 0 UBIQUITEL INC 903474302 322272 43258 X 43258 0 0 USA ED INC 90390U102 5004567 59564 X 38816 0 20748 USA ED INC 90390U102 1987073 23650 X 20660 2525 465 UIT UNCOMMON VALUE TRUST #2000 A 904310182 1 19349 X 19349 0 0 UNIFI INC COM 904677101 123250 17000 X 0 0 17000 UNILEVER N V 904784709 6435037 111700 X 15473 0 96227 UNILEVER N V 904784709 2186300 37950 X 30215 6843 892 UNION ACCEPTANCE CORP COM 904832102 305000 61000 X 61000 0 0 UNION PAC CORP CO COM 907818108 24485775 429575 X 93648 0 335927 UNION PAC CORP CO COM 907818108 3564780 62540 X 52590 7500 2450 UNION PLANTERS CORP COM 908068109 9571667 212091 X 202674 0 9417 UNION PLANTERS CORP COM 908068109 174337 3863 X 3863 0 0 UNIONBANCAL CORP COM 908906100 8196220 215690 X 215690 0 0 UNION TOOL CORPORATION 908990104 664500 6645 X 6645 0 0 UNISYS CORP COM 909214108 325864 25986 X 4232 0 21754 UNISYS CORP COM 909214108 22572 1800 X 1800 0 0 UNITED CMNTY FINL CORP OHIO 909839102 155880 21650 X 21650 0 0 UNITED CMNTY FINL CORP OHIO 909839102 81274 11288 X 11288 0 0 UNITED BANKSHARES INC WEST V 909907107 2403547 83283 X 83283 0 0 UNITED BANKSHARES INC WEST V 909907107 17316 600 X 600 0 0 UNITED DOMINION RLTY TR INC COM 910197102 356357 24747 X 22747 2000 0 UNITED MICROELECTRONICS CORP 910873207 7276800 758000 X 8670 0 749330 UNITED PARCEL SERVICE INC 911312106 2217115 40681 X 40681 0 0 UNITED PARCEL SERVICE INC 911312106 473660 8691 X 5941 350 2400 U S AIRWAYS GROUP INC COM 911905107 151368 23875 X 19266 0 4609 U S AIRWAYS GROUP INC COM 911905107 520 82 X 82 0 0 UNITED TECHNOLOGIES CORP COM 913017109 64864912 1003635 X 927427 465 75743 UNITED TECHNOLOGIES CORP COM 913017109 12765394 197515 X 174080 13590 9845 UNITEDHEALTH GROUP INC 91324P102 3201847 45243 X 13657 0 31586 UNITEDHEALTH GROUP INC 91324P102 77847 1100 X 1100 0 0 UNIVISION COMMUNICATIONS INC 914906102 947937 23429 X 2676 0 20753 UNOCAL CORP COM 915289102 1806422 50081 X 33364 0 16717 UNOCAL CORP COM 915289102 697305 19332 X 16246 2000 1086 UNOVA INC 91529B106 5458571 941133 X 68408 0 872725 UNUMPROVIDENT CORP 91529Y106 678736 25603 X 9022 0 16581 UNUMPROVIDENT CORP 91529Y106 12089 456 X 456 0 0 UPSIDE DEVELOPMENT INC 91673P109 100 20000 X 20000 0 0 U S FREIGHTWAYS CORP COM 916906100 4330060 137900 X 5000 0 132900 UROLOGIX INC 917273104 5020520 250400 X 8850 0 241550 USACCESS BANK INC CL A 9172969A5 200000 20000 X 20000 0 0 UTILICORP UTD INC COM 918005109 134030 5325 X 5325 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 198789346 7100585 4186832 39348 2874405
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 70 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ UTILICORP UTD INC COM 918005109 222956 8858 X 7195 400 1263 V F CORP COM 918204108 445962 11432 X 1539 0 9893 V F CORP COM 918204108 227662 5836 X 5036 800 0 VALUE CITY DEPT STORES INC COM 920387107 182901 38915 X 38915 0 0 VALUE LINE ASSET ALLOCATION FD INC 920395100 1699516 98637 X 98637 0 0 VAN KAMPEN MERRITT PA TAX FREE 920902103 518491 30626 X 30626 0 0 VAN KAMPEN MUNICIPAL INCOME TRUST 920909108 194981 22993 X 22993 0 0 VAN KAMPEN MUNICIPAL INCOME TRUST 920909108 111936 13200 X 13200 0 0 VAN KAMPEN 920914108 165835 19932 X 15892 0 4040 VAN KAMPEN 920914108 60431 7263 X 4161 0 3103 VAN KAMPEN MERRITT MUN INCOME FD 920917101 37520 2646 X 2646 0 0 VAN KAMPEN MERRITT MUN INCOME FD 920917101 189529 13366 X 13366 0 0 VAN KAMPEN QUALITY MUNICIPAL TR 920924107 97904 6292 X 6292 0 0 VAN KAMPEN QUALITY MUNICIPAL TR 920924107 81192 5218 X 700 4518 0 VAN KAMPEN SR INCOME TR 920961109 58764 8300 X 8300 0 0 VAN KAMPEN SR INCOME TR 920961109 26904 3800 X 3800 0 0 VAN KAMPEN ADVANTAGE MUN INCOME TR 921124103 81168 5700 X 5700 0 0 VAN KAMPEN ADVANTAGE MUN INCOME TR 921124103 89712 6300 X 5150 0 1150 VAN KAMPEN 921129102 206837 14404 X 14404 0 0 VAN KAMPEN 921129102 49360 3437 X 2091 1346 0 VAN KAMPEN AMERN CAP EQUITY 92113A843 125436 9361 X 7189 0 2172 VAN KAMPEN AMERN CAP EQUITY 92113A843 22896 1709 X 0 0 1709 VAN KAMPEN EQUITY INCOME FUND CL A 92113D102 97515 13072 X 13072 0 0 VAN KAMPEN EQUITY INCOME FUND CL A 92113D102 114051 15288 X 8428 6860 0 VAN KAMPEN 92113F107 93190 9109 X 9109 0 0 VAN KAMPEN 92113F107 212076 20731 X 20731 0 0 VAN KAMPEN AM CAP GOVT SEC F 92113F206 103005 10079 X 10079 0 0 VAN KAMPEN EMERGING MARKETS FUND 921133856 88773 11381 X 11381 0 0 VANGUARD SPECIALIZED PORTFOLIO 921908307 543878 4655 X 3633 0 1022 VANGUARD SPECIALIZED PORTFOLIO 921908307 355433 3042 X 2144 0 898 VANGUARD # 123 921908703 10371 855 X 855 0 0 VANGUARD # 123 921908703 111471 9190 X 3111 6078 0 VANGUARD SPECIALIZED PORTFOL 921908885 644187 13069 X 0 0 13069 VANGUARD # 113 921909602 217276 23413 X 23413 0 0 VANGUARD # 113 921909602 66910 7210 X 7210 0 0 VANGUARD WORLD FD - US GROWTH 921910105 196507 10425 X 9104 0 1320 VANGUARD WORLD FD - US GROWTH 921910105 58802 3119 X 3119 0 0 VANGUARD WORLD FD 921910204 1156997 77082 X 77082 0 0 VANGUARD WORLD FD 921910204 60479 4029 X 4029 0 0 CALVERT SOCIAL INDEX FD 921910303 215900 27822 X 27822 0 0 VANGUARD # 93 921913109 13693094 485571 X 485196 0 375 VANGUARD # 93 921913109 98314 3486 X 3486 0 0 VANGUARD # 65 921921102 356428 15695 X 15695 0 0 VANGUARD # 65 921921102 72692 3201 X 3201 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 23465242 1109749 1049732 20002 40014
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 71 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ VANGUARD MORGAN GROWTH FD # 26 921928107 109920 7513 X 7513 0 0 VANGUARD MORGAN GROWTH FD # 26 921928107 69673 4762 X 4762 0 0 VANGUARD OHIO TAX FREE FD 921929204 1323407 112439 X 112439 0 0 VANGUARD OHIO TAX FREE FD 921929204 1220969 103736 X 103736 0 0 VANGUARD BALANCED INDEX FD # 2 921931101 199729 11183 X 11183 0 0 VANGUARD #21 921935102 1555026 57044 X 55423 0 1621 VANGUARD #21 921935102 700823 25709 X 25709 0 0 VANGUARD # 59 921936100 853354 16564 X 16564 0 0 VANGUARD # 59 921936100 171935 3337 X 3337 0 0 VANGUARD TOTAL BOND MARKET 921937108 10233547 1009226 X 1003498 3267 2461 VANGUARD TOTAL BOND MARKET 921937108 5623114 554548 X 554548 0 0 VANGUARD BD INDEX FD INC 921937207 4606606 452071 X 452071 0 0 VANGUARD BD INDEX FD INC 921937207 359257 35256 X 35256 0 0 VANGUARD BD INDEX FD INC 921937306 5560123 540868 X 540868 0 0 VANGUARD BD INDEX FD INC 921937306 469744 45695 X 45695 0 0 VANGUARD # 27 921938106 779763 39164 X 39164 0 0 VANGUARD # 27 921938106 236271 11867 X 11674 0 193 VANGUARD WINDSOR FUND INC 922018106 1456308 93114 X 60338 0 32776 VANGUARD WINDSOR FUND INC 922018106 1824822 116677 X 114293 0 2384 VANGUARD 922018205 13320464 520534 X 518532 0 2002 VANGUARD 922018205 573913 22427 X 21535 0 892 VANGUARD # 78 922020102 248020 11372 X 11372 0 0 VANGUARD CALIF TAX EXEMPT FD 922021308 2215528 201779 X 201779 0 0 VANGUARD CALIF TAX EXEMPT FD 922021308 78283 7130 X 7130 0 0 VANGUARD FIXED INCOME SECS FD 922031208 2308957 367084 X 367084 0 0 VANGUARD FIXED INCOME SECS FD 922031208 727294 115627 X 115627 0 0 VANGUARD FIXED INCOME SECS FD 922031307 1039930 100186 X 73675 0 26511 VANGUARD FIXED INCOME SECS FD 922031307 651736 62788 X 62788 0 0 VANGUARD 922031406 5255669 485737 X 471829 7084 6824 VANGUARD 922031406 1093053 101022 X 99659 0 1362 VANGUARD 922031604 548641 52351 X 52351 0 0 VANGUARD 922031604 259954 24805 X 12326 0 12479 VANGUARD 922031703 694500 65954 X 65954 0 0 VANGUARD FIXED INCOME SECS FD INC 922031802 135739 12306 X 12306 0 0 VANGUARD FIXED INCOME SECS FD INC 922031802 443895 40244 X 17160 0 23084 VANGUARD FIXED INCOME SECS FD 922031885 839356 86265 X 86265 0 0 VANGUARD FIXED INCOME SECS FD 922031885 188446 19367 X 19367 0 0 VANGUARD FLA INSD TAX FREE FD 922033105 944497 83363 X 83363 0 0 VANGUARD FLA INSD TAX FREE FD 922033105 328330 28979 X 28979 0 0 VANGUARD CAPITAL OPPORTUNITY FD 922038302 529498 22417 X 22417 0 0 VANGUARD CAPITAL OPPORTUNITY FD 922038302 267663 11332 X 6664 0 4668 VANGUARD NY INSURED TAX FREE FD #76 92204H103 740861 67474 X 67474 0 0 VANGUARD NY INSURED TAX FREE FD #76 92204H103 603604 54973 X 0 54973 0 VANGUARD PA TAX-FREE FUND INSURED 92204L104 531937 47622 X 47622 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 71924159 5853911 5671329 65324 117257
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 72 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ VANGUARD PA TAX-FREE FUND INSURED 92204L104 226071 20239 X 20239 0 0 VANGUARD MASS TAX EXEMPT FD 92204X108 247585 25212 X 25212 0 0 VANGUARD INSTL INDEX FD 922040100 50540884 481847 X 481847 0 0 VANGUARD # 72 922042106 166759 25421 X 25421 0 0 VANGUARD # 72 922042106 3296 503 X 503 0 0 VANGUARD EUROPEAN STOCK INDEX 922042205 556130 27463 X 26545 0 919 VANGUARD EUROPEAN STOCK INDEX 922042205 96554 4768 X 4768 0 0 VECTREN CORPORATION 92240G101 1143510 47686 X 37749 0 9937 VECTREN CORPORATION 92240G101 19360229 807349 X 762766 1333 43250 VENTAS INC 92276F100 119244 10369 X 10369 0 0 VENTAS INC 92276F100 5750 500 X 500 0 0 VANGUARD MONEY MKT TR 922906201 10059401 10059401 X 10052105 0 7296 VANGUARD MONEY MKT TR 922906201 49957 49957 X 49957 0 0 VANGUARD MONEY MKT TR 922906300 41000 41000 X 41000 0 0 VANGUARD MUNI BD FD 922907100 164976 10521 X 10521 0 0 VANGUARD MUNI BD FD 922907100 1321539 84282 X 19889 64393 0 VANGUARD MUN BD FD INC 922907209 3656919 275578 X 275578 0 0 VANGUARD MUN BD FD INC 922907209 1967182 148243 X 131381 1974 14888 VANGUARD MUN BD FD INC 922907308 97624 8891 X 5804 0 3087 VANGUARD MUN BD FD INC 922907308 585683 53341 X 36526 16815 0 VANGUARD MUNI BOND HIGH YIELD FUND 922907407 80099 7643 X 7643 0 0 VANGUARD MUNI BOND HIGH YIELD FUND 922907407 430100 41040 X 41040 0 0 VANGUARD MUNICIPAL BOND FUND- MONEY 922907506 1650244 1650244 X 1650244 0 0 VANGUARD MUNICIPAL BOND FUND- MONEY 922907506 846171 846171 X 788655 0 57517 VANGUARD MUN BD FD INC 922907605 655283 52974 X 47072 0 5902 VANGUARD MUN BD FD INC 922907605 191571 15487 X 15487 0 0 VANGUARD MUN BD FD INC 922907704 133386 12294 X 3662 8632 0 VANGUARD 922908108 34028673 321359 X 311749 0 9610 VANGUARD 922908108 11635068 109879 X 100047 1606 8226 VANGUARD # 98 922908207 813871 35248 X 35248 0 0 VANGUARD # 98 922908207 74544 3228 X 3228 0 0 VANGUARD 922908306 288310 11201 X 11201 0 0 VANGUARD 922908306 302550 11754 X 8450 0 3304 VANGUARD 922908405 495473 26215 X 17745 0 8470 VANGUARD 922908405 575873 30469 X 30469 0 0 VANGUARD 922908504 147039 5568 X 5568 0 0 VANGUARD 922908504 605136 22913 X 18325 0 4589 VANGUARD INDEX TR 922908678 2480401 131238 X 131238 0 0 VANGUARD # 48 922908702 1638824 82685 X 30277 0 52409 VANGUARD # 48 922908702 420287 21205 X 21205 0 0 VANGUARD INDEX TR 922908710 4159011 39277 X 35360 0 3916 VANGUARD INDEX TR 922908793 971854 94446 X 92620 0 1826 VANGUARD TOTAL STOCK MARKET 922908801 789495 30660 X 0 0 30660 VANGUARD # 859 922908843 461255 39056 X 37049 0 2007 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 154284811 15824825 15462262 94753 267813
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 73 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ VANGUARD # 859 922908843 110282 9338 X 1148 0 8190 VERITY INC COM 92343C106 7502625 370500 X 25400 0 345100 VERISIGN INC 92343E102 1704496 44808 X 43495 249 1064 VERISIGN INC 92343E102 1322993 34779 X 30967 168 3644 VERITAS DGC INC COM (NEW) 92343P107 2666775 144150 X 9250 0 134900 VERIZON COMMUNICATIONS 92343V104 190292294 4009530 X 2797782 6045 1205703 VERIZON COMMUNICATIONS 92343V104 73065287 1539513 X 1246128 114878 178507 VERITAS SOFTWARE CORP COM 923436109 2098044 46800 X 7135 0 39665 VERITAS SOFTWARE CORP COM 923436109 174120 3884 X 1368 2400 116 VERSUS TECHNOLOGY INC 925313108 1000 10000 X 10000 0 0 VIACOM INC CL A COM 925524100 267624 6048 X 6048 0 0 VIACOM INC CL A COM 925524100 4425 100 X 100 0 0 VIACOM INC CL B COM 925524308 9192383 208208 X 82978 0 125230 VIACOM INC CL B COM 925524308 5151113 116673 X 94845 6613 15215 VICTORY FDS 926442500 135291 135291 X 135291 0 0 VICTORY PORTFOLIOS 926464413 1701874 147348 X 147348 0 0 VICTORY PORTFOLIOS 926464603 457221 31818 X 31818 0 0 VICTORY INSTITUTIONAL 926464785 668334 668334 X 668334 0 0 VISHAY INTERTECHNOLOGY INC COM 928298108 9750 500 X 500 0 0 VISHAY INTERTECHNOLOGY INC COM 928298108 230022 11796 X 11296 500 0 JP MORGAN FUNDS 928374701 1061704 36826 X 36826 0 0 JP MORGAN FUNDS 928374701 649193 22518 X 8645 11459 2414 VISTEON CORP 92839U107 366389 24361 X 11258 0 13103 VISTEON CORP 92839U107 190512 12667 X 10902 1340 425 VITRIA TECHNOLOGY INC 92849Q104 1501650 235000 X 8600 0 226400 VITESSE SEMICONDUCTOR CORP COM 928497106 355113 28569 X 5358 0 23211 VITESSE SEMICONDUCTOR CORP COM 928497106 323205 26002 X 20312 0 5690 VIVENDI UNIVERSAL 92851S204 5908347 109841 X 70341 0 39500 VIVENDI UNIVERSAL 92851S204 583084 10840 X 10200 0 640 VODAFONE GROUP PLC NEW 92857W100 5271937 205294 X 181804 0 23490 VODAFONE GROUP PLC NEW 92857W100 7529941 293222 X 267982 10930 14310 VORNADO REALTY TRUST 929042109 20259 487 X 487 0 0 VORNADO REALTY TRUST 929042109 624000 15000 X 15000 0 0 VULCAN MATERIALS CO COM 929160109 836984 17459 X 10515 0 6944 VULCAN MATERIALS CO COM 929160109 7283524 151930 X 145930 6000 0 WFI INDS LTD 92923V102 1359126 709804 X 709804 0 0 WD 40 CO COM 929236107 174211 6537 X 6537 0 0 WD 40 CO COM 929236107 62095 2330 X 2230 100 0 WGL HOLDINGS INC 92924F106 180408 6206 X 6206 0 0 WGL HOLDINGS INC 92924F106 75582 2600 X 0 2400 200 WPS RESOURCES CORP COM 92931B106 208701 5710 X 5110 0 600 WPS RESOURCES CORP COM 92931B106 122443 3350 X 2000 0 1350 WABASH VALLEY BROADCASTING 929580918 985352 6944 X 4886 2058 0 WABTEC COM 929740108 3956849 321695 X 23095 0 298600 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 336386562 9794610 6915259 165140 2714211
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 74 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ WACHOVIA CORP 2ND NEW 929903102 44871613 1430855 X 716921 600 713334 WACHOVIA CORP 2ND NEW 929903102 39431966 1257397 X 1199656 16047 41694 WADDEL & REED ADVISORS FD IN 930057104 77384 13529 X 13529 0 0 WADDEL & REED ADVISORS FD IN 930057104 158691 27743 X 10421 0 17323 WADDEL & REED ADVISORS FD INC 930057450 140133 20947 X 20947 0 0 WADDEL & REED ADVISORS FD IN 930057500 96110 10379 X 10379 0 0 WADDEL & REED ADVISORS FD IN 930057500 254671 27502 X 3464 0 24039 WADDEL & REED ADVISORS FD 930057716 106179 14233 X 14233 0 0 WADDEL & REED ADVISORS FD IN 930057880 199205 31721 X 31721 0 0 WADDELL & REED FINL INC CL A 930059100 506506 15730 X 15730 0 0 WAL-MART DE MEXICO SA DE CV 93114W206 30444 11164 X 0 11164 0 WAL MART STORES INC 931142103 210729166 3661671 X 3280073 5670 375928 WAL MART STORES INC 931142103 85577945 1487019 X 1371602 64000 51417 WALGREEN CO COM 931422109 58028460 1723959 X 1618130 2350 103479 WALGREEN CO COM 931422109 29739822 883536 X 805866 25285 52385 WALLACE COMPUTER SVCS INC 932270101 30384 1600 X 1600 0 0 WALLACE COMPUTER SVCS INC 932270101 191723 10096 X 10096 0 0 WASHINGTON FEDERAL INC COM 938824109 6462530 250680 X 18160 0 232520 WASHINGTON FEDERAL INC COM 938824109 136118 5280 X 5280 0 0 WASHINGTON MUTUAL INC COM 939322103 6854312 209612 X 131573 75 77964 WASHINGTON MUTUAL INC COM 939322103 1104377 33773 X 26708 900 6165 AMERICAN WASHINGTON MUTUAL INVESTORS 939330106 4685743 165867 X 159462 0 6405 AMERICAN WASHINGTON MUTUAL INVESTORS 939330106 484751 17159 X 12316 2539 2305 WASHINGTON REAL ESTATE INVT TR 939653101 168008 6750 X 6750 0 0 WASHINGTON REAL ESTATE INVT TR 939653101 158076 6351 X 5851 0 500 WASHINGTON TRUST BANCORP 940610108 14858 782 X 782 0 0 WASHINGTON TRUST BANCORP 940610108 232750 12250 X 12250 0 0 WASTE MANAGEMENT INC NEW COM 94106L109 2037613 63855 X 20889 0 42966 WASTE MANAGEMENT INC NEW COM 94106L109 92922 2912 X 2761 1 150 WASTEQUIP INC PREFERRED SERIES "A" 9410619A3 243470 2435 X 2435 0 0 WATERFIELD MTG CO INC COM 9413289A6 0 138081 X 138081 0 0 WATSON PHARMACEUTICALS INC COM 942683103 303290 9662 X 1890 0 7772 WATSON PHARMACEUTICALS INC COM 942683103 94170 3000 X 1300 1500 200 WEATHERFORD INTL INC 947074100 1489319 39971 X 38296 100 1575 WEATHERFORD INTL INC 947074100 1751 47 X 0 0 47 WEBSTER FINL CORP WATERBURY 947890109 253501 8040 X 8040 0 0 WEITZ SERIES 949045108 214993 6270 X 6270 0 0 WEITZ SERIES 949045108 84557 2466 X 1200 0 1266 WELLMAN INC COM 949702104 32981169 2129191 X 2129191 0 0 WELLMAN INC COM 949702104 201370 13000 X 0 13000 0 WELLPOINT HEALTH NETWORKS INC NEW 94973H108 599441 5130 X 781 0 4349 WELLS FARGO & CO NEW 949746101 82132914 1889416 X 1695493 6950 186973 WELLS FARGO & CO NEW 949746101 71962064 1655442 X 1552338 29693 73411 WENDYS INTL INC COM 950590109 374455 12837 X 5031 0 7806 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 683538924 17319340 15107496 179874 2031973
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 75 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ WENDYS INTL INC COM 950590109 744973 25539 X 25539 0 0 WERNER HLDG CO PA INC 9507629A4 400906 331 X 331 0 0 WERNER HLDG CO PA INC 9507629B2 874451 722 X 722 0 0 WESBANCO INC 950810101 227126 10749 X 10749 0 0 WESTVACO CORP COM 961548104 436565 15345 X 5224 0 10121 WESTVACO CORP COM 961548104 654578 23008 X 18008 5000 0 WHAYNE SUPPLY CO CL A VOTING 962008942 274395 9655 X 9655 0 0 WHAYNE SUPPLY CO CL A VOTING 962008942 113680 4000 X 4000 0 0 WHAYNE SUPPLY CO CL B NON VTG 962008967 254009 9930 X 9930 0 0 WHAYNE SUPPLY CO CL B NON VTG 962008967 1480443 57875 X 57875 0 0 WEYERHAEUSER CO COM 962166104 6205734 114751 X 45122 0 69629 WEYERHAEUSER CO COM 962166104 1232483 22790 X 22403 0 387 WHIRLPOOL CORP COM 963320106 13798946 188176 X 180702 0 7474 WHIRLPOOL CORP COM 963320106 7408237 101026 X 101026 0 0 WHITNEY HLDG CORP COM 966612103 5669805 129300 X 29300 0 100000 WHOLE FOODS MKT INC COM 966837106 3894264 89400 X 6000 0 83400 WHOLE FOODS MKT INC COM 966837106 156816 3600 X 3600 0 0 WILD OATS MARKETS INC 96808B107 4003776 403200 X 16800 0 386400 WILEY JOHN & SONS INC 968223206 621810 27000 X 27000 0 0 WILEY JOHN & SONS INC CL B 968223305 558000 24000 X 24000 0 0 WILLAMETTE INDS INC COM 969133107 456258 8754 X 1223 0 7531 WILLAMETTE INDS INC COM 969133107 686473 13171 X 719 2452 10000 WILLIAMS COMMUNICATIONS GROU 969455104 8850 3766 X 3766 0 0 WILLIAMS COMMUNICATIONS GROU 969455104 273639 116442 X 16361 0 100081 WILLIAMS COS INC DEL COM 969457100 2688124 105334 X 70015 0 35319 WILLIAMS COS INC DEL COM 969457100 967259 37902 X 33962 0 3940 WILMINGTON US GOVT MM PORT 9718119A4 1882 1882 X 1882 0 0 WILMINGTON US GOVT MM PORT 9718119A4 851131 851131 X 851131 0 0 WILSHIRE TARGET FDS INC 971897855 219603 24159 X 24159 0 0 WINN-DIXIE STORES INC COM 974280109 382541 26845 X 17196 0 9649 WINN-DIXIE STORES INC COM 974280109 74727 5244 X 5244 0 0 WISCONSIN ENERGY CORP COM 976657106 1674358 74218 X 70318 0 3900 WISCONSIN ENERGY CORP COM 976657106 1517386 67260 X 64248 0 3012 WOLVERINE WORLD WIDE INC 978097103 6488055 431100 X 29800 0 401300 WOLVERINE WORLD WIDE INC 978097103 15050 1000 X 1000 0 0 WOODWARD GOVERNOR COMPANY 980745103 400178 6870 X 6870 0 0 WOODWARD GOVERNOR COMPANY 980745103 58250 1000 X 0 0 1000 WORLDCOM INC/WORLDCOM GROUP 98157D106 29262267 2078286 X 1665803 6125 406358 WORLDCOM INC/WORLDCOM GROUP 98157D106 11807347 838590 X 741374 46740 50476 WORLDCOM INC-MCI GROUP 98157D304 186271 14667 X 14408 37 222 WORLDCOM INC-MCI GROUP 98157D304 161392 12708 X 11480 720 508 WORTHINGTON INDS INC 981811102 3514812 247522 X 167943 0 79579 WORTHINGTON INDS INC 981811102 1277972 89998 X 4728 85270 0 WRIGLEY WILLIAM JR CO COM 982526105 1464610 28511 X 12996 0 15515 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 113449432 6346757 4414612 146344 1785801
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 76 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE A. COMMON STOCK INSTR OTHER COMMON STOCK ------------------------------ WRIGLEY WILLIAM JR CO COM 982526105 650858 12670 X 10384 0 2286 XCEL ENERGY INC 98389B100 13722229 494673 X 113197 0 381476 XCEL ENERGY INC 98389B100 1414324 50985 X 47059 0 3926 XILINX INC COM 983919101 1591209 40748 X 7628 0 33120 XILINX INC COM 983919101 2701479 69180 X 66380 200 2600 XEROX CORP COM 984121103 658419 63188 X 14799 200 48189 XEROX CORP COM 984121103 92300 8858 X 8358 500 0 YAHOO! INC COM 984332106 1212032 68322 X 11608 0 56714 YAHOO! INC COM 984332106 40092 2260 X 2200 0 60 YELLOW CORP COM 985509108 7321871 291708 X 20508 0 271200 YORK INTL CORP COM NEW 986670107 8536354 223875 X 17575 0 206300 YORK INTL CORP COM NEW 986670107 236406 6200 X 6200 0 0 ZEROTREE TECHNOLOGIES INC 98950V105 10306 66492 X 66492 0 0 ZEROTREE TECHNOLOGIES INC 98950V105 2748 17730 X 17730 0 0 ZIMMER HLDGS INC 98956P102 7691762 251859 X 216225 30 35604 ZIMMER HLDGS INC 98956P102 12088984 395841 X 376330 6650 12861 ZIONS BANCORP COM 989701107 550565 10471 X 1296 0 9175 ZIONS BANCORP COM 989701107 210320 4000 X 4000 0 0 ZORAN CORP 98975F101 2811936 86150 X 5200 0 80950 ZORAN CORP 98975F101 75725 2320 X 2320 0 0 ZURICH YIELDWISE 989823307 998000 998000 X 998000 0 0 ANDERSON FURNITURE CO COM 990339434 225000 450 X 450 0 0 JEFFERSON MEMORIAL PARK INC 994560266 381370 8640 X 0 8640 0 PHILLIPS RESOURCES INC, COM 997310990 707438 404 X 404 0 0 PHILLIPS RESOURCES INC, COM 997310990 4770063 2726 X 296 488 1942 RCR GROUP INC COM 997506019 961875 35625 X 0 35625 0 SHEFFIELD INC 997650213 245656 50 X 50 0 0 SEVEN FIELDS DEVELOPMENT CORP 998225460 1 17685 X 0 0 17685 SPANG & CO COM 998463970 345600 3200 X 3200 0 0 SPANG & CO COM (RESTRICTED I) 998463988 324000 3000 X 3000 0 0 STANDARD STEEL SPECIALTY CO COM 998541452 1158360 11032 X 11032 0 0 THE STACKPOLE CORPORATION CLASS A 998769434 1000 25625 X 0 0 25625 WEINMAN PUMP & SUPPLY CO COM 999487523 747000 90 X 90 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 72485282 3274057 2032011 52333 1189713 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR COMMON STOCK 31102131323 1382080208 1093377259 18251396 270451557
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 77 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE B. PREFERRED STOCK INSTR OTHER PREFERRED STOCK ------------------------------ ARMSTRONG INTERNATIONAL INCORPORATED 000567990 4122191 58010 X 0 0 58010 APPLIED TECHNOLOGY VENTURES 0382839B5 277920 579 X 579 0 0 DUKE ENERGY CAP TRUST II 26439G209 123120 4800 X 4800 0 0 DUKE ENERGY CAP TRUST II 26439G209 115425 4500 X 3000 0 1500 NOVALABS LLC 3741599P8 120000 120000 X 120000 0 0 MICHIGAN CON GAS PFD 594457400 530910 20820 X 20820 0 0 MICHIGAN CON GAS PFD 594457400 15300 600 X 600 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 5304866 209309 149799 0 59510 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR PREFERRED STOCK 5304866 209309 149799 0 59510
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 78 SEC USE ONLY________________________________________ ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8 NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES) SOLE SHRD- SHRD- SOLE SHARED NONE C. OTHER INSTR OTHER OTHER ------------------------------ ALLWASTE INC SUB DEB CONV 020047AA4 1875 25000 X 0 0 25000 ANIXTER INTL INC LIQUID YIELD OPT 035290AC9 3955 14000 X 14000 0 0 BOSTON CHICKEN INC SUB DEB CONV 100578AC7 2 20000 X 20000 0 0 CRAY RESEARCH INC SUB DEB CONV 225224AA2 6800 20000 X 0 20000 0 DECOR CORP SUB DEB CONV 243590AA4 100000 100000 X 100000 0 0 DEVON ENERGY CORP NEW SR DEB 25179MAB9 20125 20000 X 0 20000 0 INTERIM SVCS INC SUB NT CONV 45868PAA8 349375 430000 X 405000 25000 0 OGDEN CORP 4655978S4 9814 10000 X 10000 0 0 JACOBSON STORES INC SUB DEB CONV 469834AC9 10000 50000 X 50000 0 0 JACOBSON STORES INC SUB DEB CONV 469834AC9 4000 20000 X 0 20000 0 MAGNA INTL INC SUB DEB CONV 559222AG9 501025 490000 X 460000 30000 0 MERIDIAN DIAGNOSTICS INC SUB DEB 589602AB7 7413 10000 X 10000 0 0 MERIDIAN DIAGNOSTICS INC SUB DEB 589602AB7 11119 15000 X 15000 0 0 NEXTEL COMMUNICATIONS INC 65332VAY9 18038 30000 X 0 30000 0 NORAM ENERGY CORP 655419AC3 14025 15000 X 15000 0 0 REPTRON ELECTRONICS INC 76026WAA7 11100 20000 X 20000 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1068666 1289000 1119000 145000 25000 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR OTHER 1068666 1289000 1119000 145000 25000
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 01/02/02 AS OF 12/31/01 DEPT ID# 001 PAGE 79 **SUMMARY PAGE FOR: NATIONAL CITY ** CATEGORY MARKET SH/PV SOLE SHARED NONE ---------------------------------------- ---------- --------- --------- --------- --------- A. COMMON STOCK 31102131323 1382080208 1093377259 18251396 270451557 B. PREFERRED STOCK 5304866 209309 149799 0 59510 C. OTHER 1068666 1289000 1119000 145000 25000 ----------- ---------- ---------- ---------- ---------- **GRAND TOTALS** 31108504855 1383578517 1094646058 18396396 270536067