0001559968-19-000008.txt : 20191017
0001559968-19-000008.hdr.sgml : 20191017
20191017155855
ACCESSION NUMBER:		0001559968-19-000008
CONFORMED SUBMISSION TYPE:	13F-HR
PUBLIC DOCUMENT COUNT:		2
CONFORMED PERIOD OF REPORT:	20190930
FILED AS OF DATE:		20191017
DATE AS OF CHANGE:		20191017
EFFECTIVENESS DATE:		20191017
FILER:
	COMPANY DATA:	
		COMPANY CONFORMED NAME:			Regent Investment Management LLC
		CENTRAL INDEX KEY:			0001559968
		IRS NUMBER:				454951312
		STATE OF INCORPORATION:			KY
		FISCAL YEAR END:			1231
	FILING VALUES:
		FORM TYPE:		13F-HR
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	028-15055
		FILM NUMBER:		191155156
	BUSINESS ADDRESS:	
		STREET 1:		4350 BROWNSBORO ROAD
		STREET 2:		SUITE 120
		CITY:			LOUISVILLE
		STATE:			KY
		ZIP:			40207
		BUSINESS PHONE:		502-719-1000
	MAIL ADDRESS:	
		STREET 1:		4350 BROWNSBORO ROAD
		STREET 2:		SUITE 120
		CITY:			LOUISVILLE
		STATE:			KY
		ZIP:			40207
13F-HR
1
primary_doc.xml
  
    13F-HR
    
      LIVE
      
        false
        false
        false
      
      
        
          0001559968
          XXXXXXXX
        
      
      09-30-2019
    
  
  
    
      09-30-2019
      false
      
        Regent Investment Management LLC
        
          4350 Brownsboro Road
          Suite 120
          Louisville
          KY
          40207
        
      
      13F HOLDINGS REPORT
      028-15055
      N
    
    
      STEVEN T. NAISER
      VICE PRESIDENT
      502-719-1000
      STEVEN T. NAISER
      LOUISVILLE
      KY
      10-17-2019
    
    
      0
      246
      305139
    
  
INFORMATION TABLE
2
infotable.xml
  
    3M CO
    COM
    88579y101
    1403
    
      8533
      SH
    
    SOLE
    
      8283
      0
      250
    
  
  
    3M CO
    COM
    88579y101
    30
    
      181
      SH
    
    OTR
    
      0
      0
      181
    
  
  
    A T & T INC
    COM
    00206r102
    3782
    
      99941
      SH
    
    SOLE
    
      93424
      0
      6517
    
  
  
    A T & T INC
    COM
    00206r102
    62
    
      1650
      SH
    
    OTR
    
      0
      0
      1650
    
  
  
    ABBOTT LABORATORIES
    COM
    002824100
    1589
    
      18987
      SH
    
    SOLE
    
      17587
      0
      1400
    
  
  
    ABBVIE INC
    COM
    00287y109
    1385
    
      18286
      SH
    
    SOLE
    
      17651
      0
      635
    
  
  
    ABBVIE INC
    COM
    00287y109
    97
    
      1280
      SH
    
    OTR
    
      0
      0
      1280
    
  
  
    ACTIVISION BLIZZARD
    COM
    00507v109
    350
    
      6608
      SH
    
    SOLE
    
      4054
      0
      2554
    
  
  
    ADOBE INC
    COM
    00724f101
    613
    
      2220
      SH
    
    SOLE
    
      2220
      0
      0
    
  
  
    ALBEMARLE CORP
    COM
    012653101
    909
    
      13070
      SH
    
    SOLE
    
      12570
      0
      500
    
  
  
    ALIBABA GROUP HOLDING F SPONSO
    COM
    01609w102
    4107
    
      24560
      SH
    
    SOLE
    
      23610
      0
      950
    
  
  
    ALLERGAN PLC F
    COM
    g0177j108
    267
    
      1585
      SH
    
    SOLE
    
      1405
      0
      180
    
  
  
    ALPHABET INC. CLASS A
    COM
    02079k305
    3361
    
      2752
      SH
    
    SOLE
    
      2642
      0
      110
    
  
  
    ALPHABET INC. CLASS A
    COM
    02079k305
    18
    
      15
      SH
    
    OTR
    
      0
      0
      15
    
  
  
    ALPHABET INC. CLASS C
    COM
    02079k107
    8379
    
      6874
      SH
    
    SOLE
    
      6709
      0
      165
    
  
  
    ALTRIA GROUP INC
    COM
    02209s103
    260
    
      6357
      SH
    
    SOLE
    
      5857
      0
      500
    
  
  
    AMAZON.COM INC
    COM
    023135106
    8725
    
      5026
      SH
    
    SOLE
    
      4769
      0
      257
    
  
  
    AMAZON.COM INC
    COM
    023135106
    17
    
      10
      SH
    
    OTR
    
      0
      0
      10
    
  
  
    AMERICAN AIRLS GROUP
    COM
    02376r102
    323
    
      11994
      SH
    
    SOLE
    
      11994
      0
      0
    
  
  
    AMERICAN EXPRESS CO
    COM
    025816109
    710
    
      6000
      SH
    
    SOLE
    
      6000
      0
      0
    
  
  
    AMERICAN INTL GROUP
    COM
    026874784
    637
    
      11440
      SH
    
    SOLE
    
      11440
      0
      0
    
  
  
    AMERIPRISE FINL
    COM
    03076c106
    1668
    
      11338
      SH
    
    SOLE
    
      11088
      0
      250
    
  
  
    AMERISOURCEBERGEN CORP
    COM
    03073e105
    1073
    
      13030
      SH
    
    SOLE
    
      11930
      0
      1100
    
  
  
    AMGEN INC.
    COM
    031162100
    348
    
      1800
      SH
    
    SOLE
    
      1350
      0
      450
    
  
  
    ANHEUSER BUSCH INBEV S F SPONS
    COM
    03524a108
    1322
    
      13894
      SH
    
    SOLE
    
      13394
      0
      500
    
  
  
    ANI PHARMACEUTICALS
    COM
    00182c103
    2890
    
      39659
      SH
    
    SOLE
    
      36155
      0
      3504
    
  
  
    ANNALY CAPITAL MGMT REIT
    COM
    035710409
    195
    
      22171
      SH
    
    SOLE
    
      21321
      0
      850
    
  
  
    ANNALY CAPITAL MGMT REIT
    COM
    035710409
    9
    
      1000
      SH
    
    OTR
    
      0
      0
      1000
    
  
  
    ANTHEM INC
    COM
    036752103
    604
    
      2515
      SH
    
    SOLE
    
      2515
      0
      0
    
  
  
    APELLIS PHARMACEUTICALS
    COM
    03753u106
    513
    
      21309
      SH
    
    SOLE
    
      21309
      0
      0
    
  
  
    APOLLO COML REAL ESTATEFIN INC
    COM
    03762u105
    84
    
      4400
      SH
    
    SOLE
    
      4400
      0
      0
    
  
  
    APOLLO COML REAL ESTATEFIN INC
    COM
    03762u105
    383
    
      20000
      SH
    
    OTR
    
      0
      0
      20000
    
  
  
    APPLE INC
    COM
    037833100
    13576
    
      60615
      SH
    
    SOLE
    
      58330
      0
      2285
    
  
  
    APPLIED MATERIALS
    COM
    038222105
    419
    
      8400
      SH
    
    SOLE
    
      8400
      0
      0
    
  
  
    APPLIED MATERIALS
    COM
    038222105
    20
    
      400
      SH
    
    OTR
    
      0
      0
      400
    
  
  
    BAIDU COM INC F SPONSORED ADR
    COM
    056752108
    412
    
      4005
      SH
    
    SOLE
    
      4005
      0
      0
    
  
  
    BAIDU COM INC F SPONSORED ADR
    COM
    056752108
    10
    
      100
      SH
    
    OTR
    
      0
      0
      100
    
  
  
    BANK OF AMERICA CORP
    COM
    060505104
    4640
    
      159063
      SH
    
    SOLE
    
      150763
      0
      8300
    
  
  
    BECTON DICKINSON&CO
    COM
    075887109
    1333
    
      5271
      SH
    
    SOLE
    
      5066
      0
      205
    
  
  
    BERKSHIRE HATHAWAY CLASS B
    COM
    084670702
    1916
    
      9212
      SH
    
    SOLE
    
      9212
      0
      0
    
  
  
    BGC PARTNERS INC COM USD0.01CL
    COM
    05541t101
    72
    
      13000
      SH
    
    SOLE
    
      13000
      0
      0
    
  
  
    BGC PARTNERS INC COM USD0.01CL
    COM
    05541t101
    429
    
      78000
      SH
    
    OTR
    
      0
      0
      78000
    
  
  
    BOEING CO
    COM
    097023105
    2215
    
      5823
      SH
    
    SOLE
    
      5713
      0
      110
    
  
  
    BOOKING HOLDINGS INC
    COM
    09857l108
    4067
    
      2072
      SH
    
    SOLE
    
      1896
      0
      176
    
  
  
    BRISTOL-MYERS SQUIBB
    COM
    110122108
    824
    
      16252
      SH
    
    SOLE
    
      15932
      0
      320
    
  
  
    BRISTOL-MYERS SQUIBB
    COM
    110122108
    66
    
      1300
      SH
    
    OTR
    
      0
      0
      1300
    
  
  
    BRIXMOR PROPERTY GROUP I REIT
    COM
    11120u105
    562
    
      27700
      SH
    
    SOLE
    
      23700
      0
      4000
    
  
  
    BROADCOM INC
    COM
    11135f101
    2112
    
      7649
      SH
    
    SOLE
    
      7549
      0
      100
    
  
  
    BROWN FORMAN CORP CLASS A
    COM
    115637100
    497
    
      8310
      SH
    
    SOLE
    
      8310
      0
      0
    
  
  
    BROWN FORMAN CORP CLASS B
    COM
    115637209
    6349
    
      101125
      SH
    
    SOLE
    
      101125
      0
      0
    
  
  
    CAPITALA FIN CO
    COM
    14054r106
    114
    
      13725
      SH
    
    SOLE
    
      13725
      0
      0
    
  
  
    CAPITALA FIN CO
    COM
    14054r106
    397
    
      47900
      SH
    
    OTR
    
      0
      0
      47900
    
  
  
    CARDINAL HEALTH INC
    COM
    14149y108
    1029
    
      21800
      SH
    
    SOLE
    
      20800
      0
      1000
    
  
  
    CARLYLE GROUP L P COMUTS LTD P
    COM
    14309l102
    212
    
      8289
      SH
    
    SOLE
    
      8289
      0
      0
    
  
  
    CARNIVAL CORP F
    COM
    143658300
    2282
    
      52210
      SH
    
    SOLE
    
      49210
      0
      3000
    
  
  
    CATERPILLAR INC
    COM
    149123101
    313
    
      2475
      SH
    
    SOLE
    
      2475
      0
      0
    
  
  
    CBS CORP CLASS B
    COM
    124857202
    522
    
      12937
      SH
    
    SOLE
    
      12937
      0
      0
    
  
  
    CELGENE CORP
    COM
    151020104
    4218
    
      42473
      SH
    
    SOLE
    
      39463
      0
      3010
    
  
  
    CHARLES SCHWAB CORP
    COM
    808513105
    867
    
      20725
      SH
    
    SOLE
    
      20725
      0
      0
    
  
  
    CHEVRON CORP
    COM
    166764100
    2213
    
      18659
      SH
    
    SOLE
    
      16005
      0
      2654
    
  
  
    CHEVRON CORP
    COM
    166764100
    71
    
      600
      SH
    
    OTR
    
      0
      0
      600
    
  
  
    CHUBB LTD F
    COM
    h1467j104
    1124
    
      6964
      SH
    
    SOLE
    
      5314
      0
      1650
    
  
  
    CHURCHILL DOWNS INC
    COM
    171484108
    408
    
      3305
      SH
    
    SOLE
    
      3305
      0
      0
    
  
  
    CIENA CORP
    COM
    171779309
    278
    
      7087
      SH
    
    SOLE
    
      7087
      0
      0
    
  
  
    CIGNA CORP
    COM
    125523100
    433
    
      2854
      SH
    
    SOLE
    
      2466
      0
      388
    
  
  
    CINEDIGM CORP COM NEW
    COM
    172406209
    10
    
      11137
      SH
    
    SOLE
    
      11137
      0
      0
    
  
  
    CISCO SYSTEMS INC
    COM
    17275r102
    5492
    
      111153
      SH
    
    SOLE
    
      101453
      0
      9700
    
  
  
    CITIGROUP INC
    COM
    172967424
    3357
    
      48600
      SH
    
    SOLE
    
      47100
      0
      1500
    
  
  
    CLEVELAND-CLIFFS INC
    COM
    185899101
    76
    
      10500
      SH
    
    SOLE
    
      10500
      0
      0
    
  
  
    CLEVELAND-CLIFFS INC
    COM
    185899101
    2
    
      265
      SH
    
    OTR
    
      0
      0
      265
    
  
  
    COMCAST CORP CLASS A
    COM
    20030n101
    2383
    
      52857
      SH
    
    SOLE
    
      52857
      0
      0
    
  
  
    CONAGRA BRANDS INC
    COM
    205887102
    511
    
      16665
      SH
    
    SOLE
    
      16665
      0
      0
    
  
  
    CONOCOPHILLIPS
    COM
    20825c104
    1043
    
      18306
      SH
    
    SOLE
    
      15906
      0
      2400
    
  
  
    CORTEVA INC
    COM
    22052l104
    259
    
      9244
      SH
    
    SOLE
    
      7682
      0
      1562
    
  
  
    COSTCO WHOLESALE CO
    COM
    22160k105
    428
    
      1485
      SH
    
    SOLE
    
      1485
      0
      0
    
  
  
    COTY INC CLASS A
    COM
    222070203
    135
    
      12822
      SH
    
    SOLE
    
      10897
      0
      1925
    
  
  
    COTY INC CLASS A
    COM
    222070203
    1
    
      100
      SH
    
    OTR
    
      0
      0
      100
    
  
  
    CVS HEALTH CORP
    COM
    126650100
    4819
    
      76404
      SH
    
    SOLE
    
      69219
      0
      7185
    
  
  
    D X C TECHNOLOGY CO
    COM
    23355l106
    1060
    
      35939
      SH
    
    SOLE
    
      33139
      0
      2800
    
  
  
    D X C TECHNOLOGY CO
    COM
    23355l106
    9
    
      300
      SH
    
    OTR
    
      0
      0
      300
    
  
  
    DANAHER CORP
    COM
    235851102
    1172
    
      8118
      SH
    
    SOLE
    
      8118
      0
      0
    
  
  
    DELTA AIR LINES INC
    COM
    247361702
    1280
    
      22217
      SH
    
    SOLE
    
      20760
      0
      1457
    
  
  
    DIAGEO PLC F SPONSORED ADR 1 A
    COM
    25243q205
    883
    
      5400
      SH
    
    SOLE
    
      4750
      0
      650
    
  
  
    DOMINION ENERGY INC
    COM
    25746u109
    211
    
      2602
      SH
    
    SOLE
    
      2602
      0
      0
    
  
  
    DOW INC
    COM
    260557103
    440
    
      9231
      SH
    
    SOLE
    
      7669
      0
      1562
    
  
  
    DUPONT DE NEMOURS INC
    COM
    26614n102
    673
    
      9439
      SH
    
    SOLE
    
      7877
      0
      1562
    
  
  
    EATON CORP PLC F
    COM
    g29183103
    220
    
      2643
      SH
    
    SOLE
    
      2643
      0
      0
    
  
  
    EATON CORP PLC F
    COM
    g29183103
    101
    
      1214
      SH
    
    OTR
    
      0
      0
      1214
    
  
  
    EBAY INC
    COM
    278642103
    327
    
      8400
      SH
    
    SOLE
    
      8400
      0
      0
    
  
  
    ELI LILLY AND CO COM
    COM
    532457108
    512
    
      4580
      SH
    
    SOLE
    
      4580
      0
      0
    
  
  
    ELI LILLY AND CO COM
    COM
    532457108
    73
    
      653
      SH
    
    OTR
    
      0
      0
      653
    
  
  
    EMERSON ELECTRIC CO
    COM
    291011104
    816
    
      12207
      SH
    
    SOLE
    
      12207
      0
      0
    
  
  
    ENBRIDGE INC F
    COM
    29250n105
    516
    
      14701
      SH
    
    SOLE
    
      11458
      0
      3243
    
  
  
    ENERGY TRANSFER LP
    COM
    29273v100
    833
    
      63699
      SH
    
    SOLE
    
      56939
      0
      6760
    
  
  
    ENERGY TRANSFER LP
    COM
    29273v100
    45
    
      3419
      SH
    
    OTR
    
      0
      0
      3419
    
  
  
    EXXON MOBIL CORP
    COM
    30231g102
    730
    
      10331
      SH
    
    SOLE
    
      10331
      0
      0
    
  
  
    FACEBOOK INC CLASS A
    COM
    30303m102
    8261
    
      46391
      SH
    
    SOLE
    
      44561
      0
      1830
    
  
  
    FEDEX CORP
    COM
    31428x106
    2428
    
      16679
      SH
    
    SOLE
    
      16679
      0
      0
    
  
  
    FIRST SOLAR INC
    COM
    336433107
    426
    
      7345
      SH
    
    SOLE
    
      7345
      0
      0
    
  
  
    FISERV INC
    COM
    337738108
    657
    
      6340
      SH
    
    SOLE
    
      6340
      0
      0
    
  
  
    FORTIVE CORP DISC
    COM
    34959j108
    242
    
      3534
      SH
    
    SOLE
    
      3534
      0
      0
    
  
  
    GENERAL ELECTRIC CO
    COM
    369604103
    133
    
      14886
      SH
    
    SOLE
    
      12886
      0
      2000
    
  
  
    GENERAL MILLS INC
    COM
    370334104
    1401
    
      25410
      SH
    
    SOLE
    
      25410
      0
      0
    
  
  
    GENUINE PARTS CO COM USD1.00
    COM
    372460105
    299
    
      3000
      SH
    
    SOLE
    
      3000
      0
      0
    
  
  
    GILEAD SCIENCES INC
    COM
    375558103
    478
    
      7545
      SH
    
    SOLE
    
      6970
      0
      575
    
  
  
    HALLIBURTON CO HLDG
    COM
    406216101
    201
    
      10650
      SH
    
    SOLE
    
      9650
      0
      1000
    
  
  
    HARTFORD FINL SVC GP
    COM
    416515104
    518
    
      8549
      SH
    
    SOLE
    
      8549
      0
      0
    
  
  
    HILLENBRAND INC COM
    COM
    431571108
    238
    
      7713
      SH
    
    SOLE
    
      7713
      0
      0
    
  
  
    HOME DEPOT INC
    COM
    437076102
    1965
    
      8469
      SH
    
    SOLE
    
      8469
      0
      0
    
  
  
    HONEYWELL INTL INC
    COM
    438516106
    1808
    
      10687
      SH
    
    SOLE
    
      9557
      0
      1130
    
  
  
    HORIZON THERAPEUTICS P F
    COM
    g46188101
    3549
    
      130335
      SH
    
    SOLE
    
      120985
      0
      9350
    
  
  
    HUMANA INC
    COM
    444859102
    924
    
      3613
      SH
    
    SOLE
    
      3613
      0
      0
    
  
  
    IAC/INTERACTIVE CORP
    COM
    44919p508
    3631
    
      16660
      SH
    
    SOLE
    
      15935
      0
      725
    
  
  
    ILLUMINA INC
    COM
    452327109
    691
    
      2270
      SH
    
    SOLE
    
      2270
      0
      0
    
  
  
    INTEL CORP
    COM
    458140100
    1413
    
      27421
      SH
    
    SOLE
    
      25421
      0
      2000
    
  
  
    INTEL CORP
    COM
    458140100
    113
    
      2200
      SH
    
    OTR
    
      0
      0
      2200
    
  
  
    J M SMUCKER CO
    COM
    832696405
    1263
    
      11479
      SH
    
    SOLE
    
      9970
      0
      1509
    
  
  
    J P MORGAN CHASE & CO
    COM
    46625h100
    11918
    
      101268
      SH
    
    SOLE
    
      95758
      0
      5510
    
  
  
    JABIL INC
    COM
    466313103
    376
    
      10500
      SH
    
    SOLE
    
      8500
      0
      2000
    
  
  
    JOHNSON & JOHNSON
    COM
    478160104
    6457
    
      49906
      SH
    
    SOLE
    
      46193
      0
      3713
    
  
  
    JOHNSON & JOHNSON
    COM
    478160104
    52
    
      400
      SH
    
    OTR
    
      0
      0
      400
    
  
  
    KIMBERLY-CLARK CORP
    COM
    494368103
    1147
    
      8073
      SH
    
    SOLE
    
      7573
      0
      500
    
  
  
    KIMBERLY-CLARK CORP
    COM
    494368103
    114
    
      800
      SH
    
    OTR
    
      0
      0
      800
    
  
  
    KINDER MORGAN INC
    COM
    49456b101
    2078
    
      100834
      SH
    
    SOLE
    
      93834
      0
      7000
    
  
  
    KRAFT HEINZ CO
    COM
    500754106
    341
    
      12199
      SH
    
    SOLE
    
      11699
      0
      500
    
  
  
    KRAFT HEINZ CO
    COM
    500754106
    8
    
      300
      SH
    
    OTR
    
      0
      0
      300
    
  
  
    KROGER CO
    COM
    501044101
    348
    
      13500
      SH
    
    SOLE
    
      12500
      0
      1000
    
  
  
    L H C GROUP
    COM
    50187a107
    208
    
      1830
      SH
    
    SOLE
    
      1830
      0
      0
    
  
  
    LAMAR ADVERTISING CO0050 REIT
    COM
    512816109
    571
    
      6965
      SH
    
    SOLE
    
      6765
      0
      200
    
  
  
    LANDMARK INFRASTRUCTU LP
    COM
    51508j108
    822
    
      45548
      SH
    
    SOLE
    
      41548
      0
      4000
    
  
  
    LIBERTY ALL STAR EQUITYFD SH B
    COM
    530158104
    374
    
      58500
      SH
    
    SOLE
    
      58500
      0
      0
    
  
  
    LIBERTY ALL STAR EQUITYFD SH B
    COM
    530158104
    586
    
      91500
      SH
    
    OTR
    
      0
      0
      91500
    
  
  
    LINCOLN NTNL CO
    COM
    534187109
    470
    
      7800
      SH
    
    SOLE
    
      7800
      0
      0
    
  
  
    LINEAGE CELL THERAPEUTICSINC C
    COM
    53566p109
    20
    
      20000
      SH
    
    OTR
    
      0
      0
      20000
    
  
  
    LIVENT CORP 00500
    COM
    53814l108
    775
    
      115775
      SH
    
    SOLE
    
      112775
      0
      3000
    
  
  
    LOWES COMPANIES INC
    COM
    548661107
    1010
    
      9183
      SH
    
    SOLE
    
      8553
      0
      630
    
  
  
    MALIN CORP PLC ORDF
    COM
    g5s5fh107
    44
    
      10000
      SH
    
    SOLE
    
      10000
      0
      0
    
  
  
    MASTERCARD INC CLASS A
    COM
    57636q104
    593
    
      2185
      SH
    
    SOLE
    
      2185
      0
      0
    
  
  
    MAXIM INTEGRATED PRO
    COM
    57772k101
    501
    
      8650
      SH
    
    SOLE
    
      5400
      0
      3250
    
  
  
    MC DONALDS CORP
    COM
    580135101
    470
    
      2189
      SH
    
    SOLE
    
      2189
      0
      0
    
  
  
    MCKESSON CORP
    COM
    58155q103
    1040
    
      7610
      SH
    
    SOLE
    
      6960
      0
      650
    
  
  
    MEDTRONIC PLC USD0.0001
    COM
    g5960l103
    219
    
      2012
      SH
    
    SOLE
    
      2012
      0
      0
    
  
  
    MERCK & CO. INC.
    COM
    58933y105
    4339
    
      51546
      SH
    
    SOLE
    
      46996
      0
      4550
    
  
  
    MERCK & CO. INC.
    COM
    58933y105
    76
    
      901
      SH
    
    OTR
    
      0
      0
      901
    
  
  
    METLIFE INC
    COM
    59156r108
    968
    
      20531
      SH
    
    SOLE
    
      18725
      0
      1806
    
  
  
    MICROCHIP TECHNOLOGY
    COM
    595017104
    247
    
      2659
      SH
    
    SOLE
    
      1159
      0
      1500
    
  
  
    MICRON TECHNOLOGY
    COM
    595112103
    2403
    
      56070
      SH
    
    SOLE
    
      56070
      0
      0
    
  
  
    MICROSOFT CORP
    COM
    594918104
    8395
    
      60381
      SH
    
    SOLE
    
      57231
      0
      3150
    
  
  
    MICROSOFT CORP
    COM
    594918104
    222
    
      1600
      SH
    
    OTR
    
      0
      0
      1600
    
  
  
    MONDELEZ INTL CLASS A
    COM
    609207105
    869
    
      15709
      SH
    
    SOLE
    
      14588
      0
      1121
    
  
  
    MONDELEZ INTL CLASS A
    COM
    609207105
    50
    
      900
      SH
    
    OTR
    
      0
      0
      900
    
  
  
    MOODYS CORP COM USD0.01
    COM
    615369105
    239
    
      1168
      SH
    
    SOLE
    
      1168
      0
      0
    
  
  
    MORGAN STANLEY
    COM
    617446448
    3277
    
      76790
      SH
    
    SOLE
    
      71440
      0
      5350
    
  
  
    MR COOPER GROUP INC
    COM
    62482r107
    117
    
      11024
      SH
    
    SOLE
    
      11024
      0
      0
    
  
  
    MYLAN NV F
    COM
    n59465109
    962
    
      48625
      SH
    
    SOLE
    
      46625
      0
      2000
    
  
  
    NEWMARK GROUP INC CL A
    COM
    65158n102
    29
    
      3247
      SH
    
    SOLE
    
      3247
      0
      0
    
  
  
    NEWMARK GROUP INC CL A
    COM
    65158n102
    202
    
      22318
      SH
    
    OTR
    
      0
      0
      22318
    
  
  
    NEXTERA ENERGY INC
    COM
    65339f101
    722
    
      3100
      SH
    
    SOLE
    
      2250
      0
      850
    
  
  
    NEXTERA ENERGY INC
    COM
    65339f101
    100
    
      430
      SH
    
    OTR
    
      0
      0
      430
    
  
  
    NORFOLK SOUTHERN CO
    COM
    655844108
    648
    
      3605
      SH
    
    SOLE
    
      3605
      0
      0
    
  
  
    ON SEMICONDUCTOR CO
    COM
    682189105
    851
    
      44298
      SH
    
    SOLE
    
      37798
      0
      6500
    
  
  
    ORACLE CORP
    COM
    68389x105
    1450
    
      26343
      SH
    
    SOLE
    
      22243
      0
      4100
    
  
  
    PALO ALTO NETWORKS INCCOM USD0
    COM
    697435105
    820
    
      4025
      SH
    
    SOLE
    
      4025
      0
      0
    
  
  
    PALO ALTO NETWORKS INCCOM USD0
    COM
    697435105
    15
    
      75
      SH
    
    OTR
    
      0
      0
      75
    
  
  
    PAYPAL HOLDINGS INCORPOR
    COM
    70450y103
    586
    
      5660
      SH
    
    SOLE
    
      5660
      0
      0
    
  
  
    PEPSICO INC
    COM
    713448108
    1061
    
      7741
      SH
    
    SOLE
    
      6741
      0
      1000
    
  
  
    PERSPECTA INC
    COM
    715347100
    410
    
      15678
      SH
    
    SOLE
    
      13802
      0
      1876
    
  
  
    PFIZER INC
    COM
    717081103
    1925
    
      53580
      SH
    
    SOLE
    
      52580
      0
      1000
    
  
  
    PFIZER INC
    COM
    717081103
    105
    
      2929
      SH
    
    OTR
    
      0
      0
      2929
    
  
  
    PHILIP MORRIS INTL
    COM
    718172109
    530
    
      6985
      SH
    
    SOLE
    
      6985
      0
      0
    
  
  
    PHILIP MORRIS INTL
    COM
    718172109
    37
    
      481
      SH
    
    OTR
    
      0
      0
      481
    
  
  
    PHILLIPS 66
    COM
    718546104
    798
    
      7795
      SH
    
    SOLE
    
      6395
      0
      1400
    
  
  
    PLAINS ALL AMERICAN P LP
    COM
    726503105
    336
    
      16200
      SH
    
    SOLE
    
      16200
      0
      0
    
  
  
    PNC FINL SERVICES
    COM
    693475105
    522
    
      3725
      SH
    
    SOLE
    
      3725
      0
      0
    
  
  
    PNC FINL SERVICES
    COM
    693475105
    98
    
      700
      SH
    
    OTR
    
      0
      0
      700
    
  
  
    PPL CORP
    COM
    69351t106
    912
    
      28975
      SH
    
    SOLE
    
      26475
      0
      2500
    
  
  
    PROCTER & GAMBLE
    COM
    742718109
    6412
    
      51555
      SH
    
    SOLE
    
      46411
      0
      5144
    
  
  
    PROCTER & GAMBLE
    COM
    742718109
    106
    
      850
      SH
    
    OTR
    
      0
      0
      850
    
  
  
    PRUDENTIAL FINL
    COM
    744320102
    2201
    
      24465
      SH
    
    SOLE
    
      22965
      0
      1500
    
  
  
    QUALCOMM INC
    COM
    747525103
    2380
    
      31202
      SH
    
    SOLE
    
      31202
      0
      0
    
  
  
    RAYTHEON CO
    COM
    755111507
    216
    
      1100
      SH
    
    SOLE
    
      1100
      0
      0
    
  
  
    RIO TINTO PLC F SPONSORED ADR
    COM
    767204100
    609
    
      11700
      SH
    
    SOLE
    
      10700
      0
      1000
    
  
  
    ROYAL CARIBBEAN CRUISE F
    COM
    v7780t103
    2203
    
      20333
      SH
    
    SOLE
    
      19873
      0
      460
    
  
  
    ROYAL DUTCH SHELL F SPONSORED
    COM
    780259107
    552
    
      9210
      SH
    
    SOLE
    
      8710
      0
      500
    
  
  
    S&P GLOBAL INC COM
    COM
    78409v104
    302
    
      1233
      SH
    
    SOLE
    
      1233
      0
      0
    
  
  
    SCHEIN HENRY INC
    COM
    806407102
    445
    
      7000
      SH
    
    SOLE
    
      7000
      0
      0
    
  
  
    SCHLUMBERGER LTD F
    COM
    806857108
    228
    
      6686
      SH
    
    SOLE
    
      6586
      0
      100
    
  
  
    SEAGATE TECHNOLOGY F
    COM
    g7945m107
    272
    
      5062
      SH
    
    SOLE
    
      5062
      0
      0
    
  
  
    SHERWIN WILLIAMS CO
    COM
    824348106
    234
    
      425
      SH
    
    SOLE
    
      425
      0
      0
    
  
  
    SKYWORKS SOLUTIONS
    COM
    83088m102
    2329
    
      29385
      SH
    
    SOLE
    
      28830
      0
      555
    
  
  
    STARBUCKS CORP
    COM
    855244109
    286
    
      3234
      SH
    
    SOLE
    
      3234
      0
      0
    
  
  
    STRYKER CORP
    COM
    863667101
    1363
    
      6300
      SH
    
    SOLE
    
      6300
      0
      0
    
  
  
    TAIWAN SEMICONDUCTR F SPONSORE
    COM
    874039100
    625
    
      13453
      SH
    
    SOLE
    
      10951
      0
      2502
    
  
  
    TEMPLETON DRAGON CF
    COM
    88018t101
    224
    
      12500
      SH
    
    SOLE
    
      7500
      0
      5000
    
  
  
    TEXAS INSTRUMENTS
    COM
    882508104
    1557
    
      12050
      SH
    
    SOLE
    
      10050
      0
      2000
    
  
  
    THE COCA-COLA CO
    COM
    191216100
    2145
    
      39399
      SH
    
    SOLE
    
      38899
      0
      500
    
  
  
    THE MOSAIC CO
    COM
    61945c103
    256
    
      12500
      SH
    
    SOLE
    
      11500
      0
      1000
    
  
  
    THERMO FISHER SCNTFC
    COM
    883556102
    2353
    
      8080
      SH
    
    SOLE
    
      7905
      0
      175
    
  
  
    TJX COMPANIES INC
    COM
    872540109
    2260
    
      40545
      SH
    
    SOLE
    
      37345
      0
      3200
    
  
  
    TRAVELERS COMPANIES
    COM
    89417e109
    887
    
      5963
      SH
    
    SOLE
    
      5638
      0
      325
    
  
  
    U S BANCORP
    COM
    902973304
    829
    
      14980
      SH
    
    SOLE
    
      13980
      0
      1000
    
  
  
    ULTA BEAUTY INC.
    COM
    90384s303
    304
    
      1213
      SH
    
    SOLE
    
      1113
      0
      100
    
  
  
    UNILEVER PLC F SPONSORED ADR 1
    COM
    904767704
    2904
    
      48314
      SH
    
    SOLE
    
      46110
      0
      2204
    
  
  
    UNION PACIFIC CORP
    COM
    907818108
    986
    
      6087
      SH
    
    SOLE
    
      6087
      0
      0
    
  
  
    UNITED AIRLINES HLDGS
    COM
    910047109
    768
    
      8690
      SH
    
    SOLE
    
      8190
      0
      500
    
  
  
    UNITED PARCEL SRVC CLASS B
    COM
    911312106
    243
    
      2030
      SH
    
    SOLE
    
      2030
      0
      0
    
  
  
    UNITED TECHNOLOGIES
    COM
    913017109
    907
    
      6645
      SH
    
    SOLE
    
      5745
      0
      900
    
  
  
    UNITEDHEALTH GRP INC
    COM
    91324p102
    2779
    
      12787
      SH
    
    SOLE
    
      10402
      0
      2385
    
  
  
    VERISIGN INC
    COM
    92343e102
    1391
    
      7375
      SH
    
    SOLE
    
      7375
      0
      0
    
  
  
    VERIZON COMMUNICATN
    COM
    92343v104
    4522
    
      74920
      SH
    
    SOLE
    
      70582
      0
      4338
    
  
  
    VERIZON COMMUNICATN
    COM
    92343v104
    51
    
      841
      SH
    
    OTR
    
      0
      0
      841
    
  
  
    VF CORP
    COM
    918204108
    2077
    
      23339
      SH
    
    SOLE
    
      22439
      0
      900
    
  
  
    VICI PROPERTIES INC
    COM
    925652109
    270
    
      11900
      SH
    
    SOLE
    
      10400
      0
      1500
    
  
  
    VISA INC CLASS A
    COM
    92826c839
    3292
    
      19140
      SH
    
    SOLE
    
      19140
      0
      0
    
  
  
    WALGREENS BOOTS ALLI
    COM
    931427108
    3573
    
      64592
      SH
    
    SOLE
    
      61072
      0
      3520
    
  
  
    WALT DISNEY CO
    COM
    254687106
    1933
    
      14833
      SH
    
    SOLE
    
      14833
      0
      0
    
  
  
    WASHINGTON PRIME GROUP N
    COM
    93964w108
    46
    
      11000
      SH
    
    SOLE
    
      11000
      0
      0
    
  
  
    WASTE MANAGEMENT INC
    COM
    94106l109
    104
    
      900
      SH
    
    SOLE
    
      0
      0
      900
    
  
  
    WASTE MANAGEMENT INC
    COM
    94106l109
    150
    
      1300
      SH
    
    OTR
    
      0
      0
      1300
    
  
  
    WATERS CORP
    COM
    941848103
    500
    
      2240
      SH
    
    SOLE
    
      2240
      0
      0
    
  
  
    WELLS FARGO BK N A
    COM
    949746101
    396
    
      7841
      SH
    
    SOLE
    
      6271
      0
      1570
    
  
  
    WESBANCO INC
    COM
    950810101
    5965
    
      159607
      SH
    
    SOLE
    
      159607
      0
      0
    
  
  
    WESTERN DIGITAL CORP
    COM
    958102105
    1295
    
      21713
      SH
    
    SOLE
    
      18363
      0
      3350
    
  
  
    WEYERHAEUSER CO REIT
    COM
    962166104
    260
    
      9400
      SH
    
    SOLE
    
      6800
      0
      2600
    
  
  
    WHIRLPOOL CORP
    COM
    963320106
    915
    
      5780
      SH
    
    SOLE
    
      5780
      0
      0
    
  
  
    WILLIAMS COMPANIES
    COM
    969457100
    3289
    
      136680
      SH
    
    SOLE
    
      128095
      0
      8585
    
  
  
    WILLIAMS COMPANIES
    COM
    969457100
    58
    
      2400
      SH
    
    OTR
    
      0
      0
      2400
    
  
  
    WONDER AUTO TECH INC XXX ESCRO
    COM
    978esc101
    0
    
      10000
      SH
    
    SOLE
    
      10000
      0
      0
    
  
  
    WORKDAY INC CLASS A
    COM
    98138h101
    2116
    
      12450
      SH
    
    SOLE
    
      12450
      0
      0
    
  
  
    YUM BRANDS INC
    COM
    988498101
    981
    
      8650
      SH
    
    SOLE
    
      6500
      0
      2150
    
  
  
    YUM CHINA HOLDINGS INC
    COM
    98850p109
    361
    
      7950
      SH
    
    SOLE
    
      5600
      0
      2350
    
  
  
    ZIMMER BIOMET HLDGS INCCOM
    COM
    98956p102
    247
    
      1800
      SH
    
    SOLE
    
      1800
      0
      0
    
  
  
    ETFIS SER TR I INFRACAPACTIVE
    ETF
    26923g103
    12
    
      2500
      SH
    
    SOLE
    
      2500
      0
      0
    
  
  
    ETFIS SER TR I INFRACAPACTIVE
    ETF
    26923g103
    256
    
      52000
      SH
    
    OTR
    
      0
      0
      52000
    
  
  
    ISHARES CORE S&P 500ETF
    ETF
    464287200
    45
    
      150
      SH
    
    SOLE
    
      150
      0
      0
    
  
  
    ISHARES CORE S&P 500ETF
    ETF
    464287200
    158
    
      528
      SH
    
    OTR
    
      0
      0
      528
    
  
  
    ISHARES MSCI EAFE ETF
    ETF
    464287465
    203
    
      3110
      SH
    
    SOLE
    
      3110
      0
      0
    
  
  
    ISHARES MSCI EAFE ETF
    ETF
    464287465
    63
    
      971
      SH
    
    OTR
    
      0
      0
      971
    
  
  
    ISHARES MSCI EMERGING MARKETS
    ETF
    464287234
    297
    
      7279
      SH
    
    SOLE
    
      4629
      0
      2650
    
  
  
    ISHARES RUSSELL 2000 VALUE ETF
    ETF
    464287630
    972
    
      8141
      SH
    
    SOLE
    
      8141
      0
      0
    
  
  
    ISHARES RUSSELL 2000GROWTH ETF
    ETF
    464287648
    241
    
      1250
      SH
    
    SOLE
    
      1250
      0
      0
    
  
  
    ISHARES RUSSELL MIDCAPGROWTH
    ETF
    464287481
    297
    
      2100
      SH
    
    SOLE
    
      2100
      0
      0
    
  
  
    SCHWAB EMERGING MARKETS EQUITY
    ETF
    808524706
    2161
    
      85990
      SH
    
    SOLE
    
      85990
      0
      0
    
  
  
    SCHWAB US LARGE CAP GROWTH ETF
    ETF
    808524300
    363
    
      4320
      SH
    
    SOLE
    
      4320
      0
      0
    
  
  
    VANGUARD FTSE EMERGING MARKETS
    ETF
    922042858
    1372
    
      34070
      SH
    
    SOLE
    
      30070
      0
      4000
    
  
  
    WISDOMTREE TRUST JAPANHEDGE EQ
    ETF
    97717w851
    710
    
      14075
      SH
    
    SOLE
    
      14075
      0
      0