13F-HR 1 l95224ae13fvhr.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: June 30, 2002 (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, OH 44114 NAME: John P. Rusin PHONE NUMBER: (216)222-9741 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 12th day of July, 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 06-30-02 Number of Other Included Managers: 7 - Form 13F Information Table Entry Total: 3,268 ------ Form 13F Information Table Value Total: $28,231,856,753 -------------- 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 07/01/02 AS OF 06/30/02 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 223835 4641 X 4641 0 0 DAIMLERCHRYSLER AG D1668R123 524164 10868 X 7541 249 3078 ACE LIMITED G0070K103 7384983 233702 X 200104 500 33098 ACE LIMITED G0070K103 1698184 53740 X 47650 1240 4850 AMDOCS LTD G02602103 131347 17397 X 15547 0 1850 AMDOCS LTD G02602103 2227 295 X 125 170 0 COOPER INDS LTD G24182100 854775 21750 X 7441 0 14309 COOPER INDS LTD G24182100 619800 15771 X 15771 0 0 EVEREST RE GROUP LTD G3223R108 5387034 96283 X 8053 0 88230 GLOBAL CROSSING LTD G3921A100 274 5584 X 4584 0 1000 GLOBAL CROSSING LTD G3921A100 1137 23200 X 13200 6000 4000 GLOBAL SANTA FE CORP G3930E101 29855014 1091591 X 665782 500 425309 GLOBAL SANTA FE CORP G3930E101 773020 28264 X 27714 550 0 INGERSOLL-RAND COMPANY LTD G4776G101 1496077 32766 X 10215 0 22551 INGERSOLL-RAND COMPANY LTD G4776G101 615086 13471 X 12871 0 600 LORAL SPACE & COMMUNICATIONS COM G56462107 990 1000 X 0 0 1000 LORAL SPACE & COMMUNICATIONS COM G56462107 15398 15554 X 9092 0 6462 NABORS INDUSTRIES LTD G6359F103 6901891 195521 X 163076 600 31845 NABORS INDUSTRIES LTD G6359F103 3413581 96702 X 82251 3126 11325 NOBLE CORPORATION G65422100 32323524 837397 X 501925 400 335072 NOBLE CORPORATION G65422100 762157 19745 X 19325 420 0 TRANSOCEAN INC G90078109 1815142 58271 X 13770 0 44501 TRANSOCEAN INC G90078109 970136 31144 X 28321 1487 1336 TSAKOS ENERGY NAVIGATION LTD G9108L108 7736120 552580 X 40390 0 512190 DREYFUS U S OFFSHORE FD G9287V141 55965 55965 X 55965 0 0 WEATHERFORD INTL LTD INC BERMUDA G95089101 302011 6991 X 5741 0 1250 WEATHERFORD INTL LTD INC BERMUDA G95089101 3240 75 X 75 0 0 WILLIS GROUP HOLDINGS LTD G96655108 2330028 70800 X 0 0 70800 XL CAP LTD G98255105 2653143 31324 X 16329 0 14995 XL CAP LTD G98255105 1145991 13530 X 11430 1800 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 3415154 251855 X 240191 990 10674 CHECK POINT SOFTWARE TECH LT M22465104 2187852 161346 X 143392 3198 14756 ASM INTL N V N07045102 6157695 356761 X 13100 0 343661 ORTHOFIX INTERNATIONAL PV N6748L102 351500 10000 X 10000 0 0 DAWLEN CORPORATION U72150458 317218 569 X 569 0 0 ROYAL CARRIBEAN CRUISES LTD COM V7780T103 1006200 51600 X 9000 0 42600 STELMAR SHIPPING LTD V8726M103 4848703 326732 X 27573 0 299159 FLEXTRONICS INTL LTD Y2573F102 286148 40133 X 40133 0 0 FLEXTRONICS INTL LTD Y2573F102 93225 13075 X 4125 300 8650 ABN AMRO 0005209A6 125986726 125986726 X 125986726 0 0 ABN AMRO 0005209B4 14346206 14346206 X 14192284 0 153922 LASALLE 000520999 469464 469464 X 469464 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 271052685 145650615 143125686 21556 2503373
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ MORRIS MACHINE COMPANY INCORPORATED 000577999 433198 2018 X 0 0 2018 WELLMAN STABLE VALUE FUND 0007209A2 42048220 42048227 X 42048227 0 0 P B & G SAND & GRAVEL & CONTRACTING 000739995 212000 10000 X 10000 0 0 ABN AMRO INSTITUTIONAL PRIME 00078H554 830664 830664 X 830664 0 0 AIRCOM METAL PRODUCTS INCORPORATED 000821991 238410 1422 X 1422 0 0 A C MOORE ARTS & CRAFTS INC 00086T103 3835350 81000 X 4300 0 76700 A C MOORE ARTS & CRAFTS INC 00086T103 118375 2500 X 2500 0 0 ADC TELECOMMUNICATIONS INC COM 000886101 366469 160030 X 96343 0 63687 ADC TELECOMMUNICATIONS INC COM 000886101 29184 12744 X 6559 0 6185 ACM INCOME FUND INC 000912105 129739 16258 X 8558 0 7700 ACM INCOME FUND INC 000912105 87445 10958 X 10958 0 0 AFLAC INC COM 001055102 3005120 93910 X 51418 0 42492 AFLAC INC COM 001055102 1965440 61420 X 39620 10100 11700 AGCO CORP 001084102 10787010 553180 X 38530 0 514650 AES CORP 00130H105 380099 70129 X 25086 0 45043 AES CORP 00130H105 138633 25578 X 19577 1110 4891 AIM GROWTH SER 00141M747 6745992 263515 X 262341 0 1175 AIM GROWTH SER 00141M747 43821 1712 X 1712 0 0 AIM MID CAP EQUITY FUND CLASS A 00141M812 5476108 234122 X 229375 0 4747 AIM 001413863 263279 16759 X 16759 0 0 AIM TAX EXEMPT FDS INC 001419407 1021719 89468 X 89468 0 0 AIM INVT SECS FDS INC 00142C763 86107 10750 X 10750 0 0 A M TODD GROUP INC 0017269A8 648410 24645 X 24645 0 0 AMLI RESIDENTAL PPTYS INC TR SH 001735109 392220 15085 X 15085 0 0 AMLI RESIDENTAL PPTYS INC TR SH 001735109 13000 500 X 0 0 500 AMR CORP DEL COM 001765106 251770 14933 X 2512 0 12421 AMR CORP DEL COM 001765106 15275 906 X 406 0 500 ANC RENTAL CORP 001813104 5 18 X 18 0 0 ANC RENTAL CORP 001813104 19952 66505 X 66505 0 0 AOL TIME WARNER INC COM 00184A105 39208637 2665441 X 1642131 4365 1018945 AOL TIME WARNER INC COM 00184A105 12949463 880317 X 770012 47277 63028 AT&T CORP COM 001957109 8988043 840004 X 511900 700 327404 AT&T CORP COM 001957109 3356109 313655 X 275654 17781 20220 AT&T WIRELESS SVCS INC 00209A106 5793169 990285 X 678378 1214 310693 AT&T WIRELESS SVCS INC 00209A106 2338467 399738 X 356192 18463 25083 AVX CORP NEW COM 002444107 2537682 155400 X 0 0 155400 AXP EQUITY SELECT FD 00245H107 300116 29053 X 29053 0 0 AXP EQUITY SELECT FD 00245H107 182992 17715 X 17715 0 0 AXP EXTRA INCOME FUND, INC. CL A 00245J103 84606 34393 X 34393 0 0 AXP HIGH YIELD TAX EXEMPT FUND INC 00245N104 50054 11324 X 11324 0 0 AXP HIGH YIELD TAX EXEMPT FUND INC 00245N104 397557 89945 X 89945 0 0 AXP HIGH YIELD TAX EXEMPTS FD 00245N203 66960 15149 X 15149 0 0 AXP NEW DIMENSIONS FUND INC 00245V106 519615 24224 X 24224 0 0 AXP NEW DIMENSIONS FUND INC 00245V106 91453 4264 X 1914 0 2349 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 156447937 51189863 48371322 101010 2717531
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ AXP SELECTIVE FUND, INC. CL A 00245Y100 174382 20277 X 20277 0 0 AXP SELECTIVE FUND, INC. CL A 00245Y100 14805 1722 X 1722 0 0 AXP STOCK FUND, INC. CL A 00246B109 114520 6693 X 6693 0 0 AXP STOCK FUND, INC. CL A 00246B109 273896 16008 X 16008 0 0 AXP TAX EXEMPT BOND FUND, INC. CL A 00246D402 407326 100080 X 96600 0 3480 AXP TAX EXEMPT BOND FUND, INC. CL A 00246D402 156107 38356 X 38356 0 0 ABBOTT LABS 002824100 143032465 3799003 X 3171643 3635 623725 ABBOTT LABS 002824100 139347770 3701136 X 3508417 54862 137857 ABERDEEN ASIA PACIFIC INCOME FD 003009107 62964 13200 X 13200 0 0 ACAMBIS PLC 004286100 3732158 112550 X 3550 0 109000 ACTIVISION INC NEW COM 004930202 4969260 171000 X 6650 0 164350 ACTION PERFORMANCE COS INC COM 004933107 1422000 45000 X 1650 0 43350 BILLITON PLC ORD (GBP) 0056650S4 3548385 651155 X 8500 0 642655 ADAMS EXPRESS COMPANY 006212104 7172 585 X 585 0 0 ADAMS EXPRESS COMPANY 006212104 153225 12498 X 11868 0 630 ADAPTEC INC COM 00651F108 1260822 159800 X 7200 0 152600 ADAPTEC INC COM 00651F108 12782 1620 X 1500 0 120 ADOBE SYS INC COM 00724F101 7753482 272052 X 53839 0 218213 ADOBE SYS INC COM 00724F101 184680 6480 X 6480 0 0 ADVANCED DIGITAL INFORMATION CORP 007525108 306456 36353 X 36353 0 0 ADVANCED LTG TECHNOLOGIES 00753C102 180000 225000 X 225000 0 0 ADVANCED DRAINAGE SYSTEMS INC 0075999A3 1842470 14740 X 0 0 14740 ADVANCED MICRO DEVICES 007903107 335427 34509 X 7246 0 27263 ADVANCED MICRO DEVICES 007903107 101010 10392 X 9892 0 500 AEGON N V ORD AMER REG (NLG) 007924103 9364256 460160 X 460160 0 0 AEGON N V ORD AMER REG (NLG) 007924103 6885260 338342 X 327920 0 10422 AETNA INC NEW 00817Y108 1376499 28695 X 3092 0 25603 AETNA INC NEW 00817Y108 97907 2041 X 2014 27 0 AFFILIATED COMPUTER SERVICES 008190100 1806614 38050 X 0 0 38050 AFFILIATED COMPUTER SERVICES 008190100 15668 330 X 330 0 0 AFFILIATED MANAGERS GROUP 008252108 11722208 190605 X 14415 0 176190 AGERE SYSTEMS INC-A 00845V100 7993 5709 X 5634 0 75 AGERE SYSTEMS INC-A 00845V100 6973 4981 X 4721 66 194 AGERE SYS INC 00845V209 70545 47030 X 45119 0 1911 AGERE SYS INC 00845V209 101396 67597 X 60721 1793 5083 AGILENT TECHNOLOGIES INC 00846U101 5087872 215132 X 129818 152 85162 AGILENT TECHNOLOGIES INC 00846U101 4763417 201413 X 176910 14197 10306 AGINCOURT FARMS INC 0084659A6 661000 1 X 1 0 0 AIM 008879306 294721 34551 X 34551 0 0 AIM 008879306 44242 5187 X 5187 0 0 AIM 008879728 201946 25055 X 25055 0 0 AIM 008879728 69737 8652 X 8652 0 0 AIM FDS GROUP 008879744 4500731 198357 X 198357 0 0 AIM FDS GROUP 008879744 0 0 X 0 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 356472549 11322097 8755886 74732 2491479
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 INTERNATIONAL MUTUAL FDS INC 008882102 1275308 85248 X 85248 0 0 AIM INTERNATIONAL MUTUAL FDS INC 008882102 21432 1433 X 1433 0 0 AIM SMALL CAP OPPORTUNITIES FUND 008883100 454696 38339 X 38339 0 0 AIM SPL OPPORTUNITIES FDS 008883308 17348 1524 X 0 0 1524 AIM SPL OPPORTUNITIES FDS 008883308 503079 44207 X 44207 0 0 AIM LARGE CAP OPPORTUNITY FUND 008883886 5524 718 X 0 0 718 AIM LARGE CAP OPPORTUNITY FUND 008883886 256547 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 43855957 868951 X 537793 400 330758 AIR PRODS & CHEMS INC COM 009158106 3686581 73045 X 64145 1000 7900 AIRGAS INC 009363102 173000 10000 X 10000 0 0 AIRTRAN HLDGS INC 00949P108 48150 9000 X 9000 0 0 AIRTRAN HLDGS INC 00949P108 5350 1000 X 1000 0 0 AKZO NOBEL NV ADR 010199305 43500 1000 X 1000 0 0 AKZO NOBEL NV ADR 010199305 261000 6000 X 2000 0 4000 ALBEMARLE CORP COM 012653101 12461684 405258 X 32048 0 373210 ALBEMARLE CORP COM 012653101 30750 1000 X 1000 0 0 ALBERTO CULVER CO CL B CONV 013068101 2784063 58244 X 774 0 57470 ALBERTO CULVER CO CL B CONV 013068101 98659 2064 X 64 2000 0 ALBERTSONS INC COM 013104104 1599546 52513 X 19666 0 32847 ALBERTSONS INC COM 013104104 736371 24175 X 21908 400 1867 ALCAN INC 013716105 1187771 31657 X 5910 0 25747 ALCAN INC 013716105 190339 5073 X 5073 0 0 ALCOA INC 013817101 31548623 951693 X 831348 3400 116945 ALCOA INC 013817101 14225726 429132 X 374918 28749 25465 ALCATEL SPONSORED ADR 013904305 1328432 186840 X 2040 0 184800 ALCATEL SPONSORED ADR 013904305 2133 300 X 300 0 0 ALERT STAMPING & MFG CO 0144689A2 534552 29 X 29 0 0 ALEXANDER & BALDWIN INC COM 014482103 1783858 69873 X 23803 0 46070 ALEXANDER & BALDWIN INC COM 014482103 124535 4878 X 4878 0 0 NORTHERN ROCK PLC ORD (GBP) 0145279S6 3647958 351167 X 3100 0 348067 ALEXANDRIA REAL ESTATE EQUITIES INC 015271109 11166974 226327 X 17312 0 209015 ALFACELL CORP 015404106 42000 100000 X 100000 0 0 ALLEGHENY ENERGY INC 017361106 1045090 40586 X 26547 0 14039 ALLEGHENY ENERGY INC 017361106 798842 31023 X 28973 1250 800 ALLEGHENY TECHNOLOGIES INC 01741R102 165252 10459 X 1448 0 9011 ALLEGHENY TECHNOLOGIES INC 01741R102 323110 20450 X 19450 1000 0 ALLEGHENY VY BANCORP INC COM 017427105 150500 3500 X 3500 0 0 ALLEGHENY VY BANCORP INC COM 017427105 365500 8500 X 0 8500 0 ALLERGAN INC COM 018490102 5006584 75005 X 15506 0 59499 ALLERGAN INC COM 018490102 522319 7825 X 4100 0 3725 ALLETE INC 018522102 12359687 456077 X 48447 0 407630 ALLETE INC 018522102 187749 6928 X 5200 0 1728 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 155762579 4734893 2424999 46699 2263195
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 BOND FUND 018528406 138723 19187 X 19187 0 0 ALLIANCE BOND FUND 018528406 367267 50798 X 48556 2242 0 ALLIANCE 018528802 83008 7758 X 7758 0 0 ALLIANCE 018528802 43151 4033 X 4033 0 0 ALLIANCE BD FD 018528885 318502 29767 X 29767 0 0 ALLIANCE CAP MNGMT HLDG L.P. 01855A101 311881 9106 X 9106 0 0 ALLIANCE CAP MNGMT HLDG L.P. 01855A101 578483 16890 X 13890 3000 0 ALLIANCE BERNSTEIN STRATEGIC VALUE 018564757 17386704 1743093 X 1743093 0 0 ALLIANCE GAMING CORP 01859P609 2831712 226900 X 8900 0 218000 ALLIANCE GROWTH & INCOME FD INC COM 018597104 133310 44437 X 44437 0 0 ALLIANCE GROWTH & INCOME FD INC COM 018597104 92552 30851 X 30851 0 0 ALLIANCE MID-CAP GROWTH A 018636100 188610 50430 X 50430 0 0 ALLIANCE MID-CAP GROWTH A 018636100 72021 19257 X 8096 0 11161 ALLIANCE PREMIER GROWTH FD 01877C101 1416165 88955 X 88955 0 0 ALLIANCE PREMIER GROWTH FD 01877C101 48062 3019 X 3019 0 0 ALLIANCE PREMIER GROWTH FD 01877C408 245494 15089 X 15089 0 0 ALLIANT CORP 018802108 219478 8540 X 7940 0 600 ALLIANT CORP 018802108 230195 8957 X 8357 0 600 ALLIED CAP CORP NEW 01903Q108 164213 7250 X 6250 0 1000 ALLIED CAP CORP NEW 01903Q108 124439 5494 X 5494 0 0 ALLIED WASTE INDS INC 019589308 179683 18717 X 2915 0 15802 ALLIED WASTE INDS INC 019589308 288000 30000 X 30000 0 0 ALLMERICA FINL CORP COM 019754100 204666 4430 X 4430 0 0 ALLMERICA FINL CORP COM 019754100 39824 862 X 862 0 0 ALLOY INC 019855105 187720 13000 X 0 0 13000 ALLSTATE CORP COM 020002101 4059184 109767 X 51866 0 57901 ALLSTATE CORP COM 020002101 2264729 61242 X 53396 2168 5678 ALLTEL CORP COM 020039103 5077833 108039 X 82150 950 24939 ALLTEL CORP COM 020039103 3411213 72579 X 49693 12300 10586 ALPENA BANKING CORPORATION 0205819A4 100001 11000 X 11000 0 0 ALTEON INC COM 02144G107 30900 15000 X 0 0 15000 ALTERA CORP COM 021441100 30623759 2251747 X 1481351 820 769576 ALTERA CORP COM 021441100 1162610 85486 X 80206 3235 2045 AMBAC FINL GROUP INC COM 023139108 5125344 76270 X 64421 0 11849 AMBAC FINL GROUP INC COM 023139108 123984 1845 X 1845 0 0 AMERADA HESS CORP COM 023551104 712388 8635 X 1519 0 7116 AMERADA HESS CORP COM 023551104 41910 508 X 308 200 0 AMEREN CORP 023608102 1270300 29535 X 18494 0 11041 AMEREN CORP 023608102 596463 13868 X 12093 0 1775 AMERICA MOVIL S A DE C V 02364W105 1979180 147700 X 8600 0 139100 AMERICA MOVIL S A DE C V 02364W105 35175 2625 X 2625 0 0 DIAGEO PLC ORD (GBP) 0237400S3 4147437 319352 X 8000 0 311352 AMERICAN BALANCED FUND A 024071102 648637 42534 X 42534 0 0 AMERICAN BALANCED FUND A 024071102 373172 24470 X 9372 0 15098 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 87678082 5839022 4170888 24915 1643219
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 BANK NT HOLOGRAPHICS INC 024377111 6 37586 X 0 0 37586 AMERICAN CENTURY 02507M303 313232 12843 X 12843 0 0 AMERICAN CENTURY 02507M303 20959 859 X 859 0 0 AMERICAN CENTY QUANTITATIV E 02507M402 10338777 424068 X 424068 0 0 AMERICAN CENTURY SMALL CAP 02507M840 74756 11904 X 11904 0 0 AMERICAN CENTY CAP PORTFOLIO 025076100 966988 138736 X 132764 0 5972 AMERICAN CENTY CAP PORTFOLIO 025076407 523135 75055 X 75055 0 0 AMERICAN CENTY MUT FDS INC 025083742 159208 11629 X 11629 0 0 AMERICAN CENTURY 025083882 359946 14831 X 14831 0 0 AMERICAN CENTURY 025083882 63744 2626 X 2626 0 0 AMERICAN CENTURY WORLD INV I 025086406 2470508 320845 X 320845 0 0 AMERICAN CENTURY 025086505 36367 3431 X 3431 0 0 AMERICAN CENTURY 025086505 211442 19947 X 19947 0 0 AMERICAN ELECTRIC POWER CO INC 025537101 5856207 146332 X 106391 0 39941 AMERICAN ELECTRIC POWER CO INC 025537101 3637538 90893 X 70414 5594 14885 AMERICAN EXPRESS CO COM 025816109 17716896 487800 X 377224 1450 109126 AMERICAN EXPRESS CO COM 025816109 19460946 535819 X 282836 162441 90542 AMERICAN GREETINGS CORP CL A 026375105 78986493 4741086 X 8459 0 4732627 AMERICAN GREETINGS CORP CL A 026375105 101143 6071 X 6071 0 0 AMERICAN HIGH-INCOME TRUST A 026547109 38795 3803 X 3803 0 0 AMERICAN HIGH-INCOME TRUST A 026547109 268657 26339 X 26339 0 0 AMERICAN INTL GROUP INC COM 026874107 215230205 3154481 X 2574552 2847 577082 AMERICAN INTL GROUP INC COM 026874107 151003020 2213147 X 2069921 73560 69666 AMERICAN ITALIAN PASTA CO 027070101 5779717 113350 X 4350 0 109000 AMERICAN MED SEC GROUP INC 02744P101 892018 37245 X 1600 0 35645 AMERICAN MUNI III 027654102 639468 57300 X 57300 0 0 AMERICAN MUTUAL FUND A 027681105 442275 19146 X 19146 0 0 AMERICAN PWR CONVERSION CORP COM 029066107 724558 57368 X 35415 0 21953 AMERICAN PWR CONVERSION CORP COM 029066107 245022 19400 X 3600 15000 800 AMERICAN STANDARD COS INC 029712106 722387 9619 X 1566 0 8053 AMERICAN SUPERCONDUCTOR CORP 030111108 152880 28000 X 0 0 28000 AMERICAN WTR WKS CO INC 030411102 1145756 26516 X 26016 0 500 AMERICAN WTR WKS CO INC 030411102 1428091 33050 X 24950 3100 5000 AMERICAN WOODMARK CORP COM 030506109 5728067 102050 X 3950 0 98100 AMERICAN WOODMARK CORP COM 030506109 437814 7800 X 7800 0 0 AMERUS GROUP CO 03072M108 172775 4657 X 3916 0 741 AMERUS GROUP CO 03072M108 111263 2999 X 326 2673 0 AMERISOURCEBERGEN CORP 03073E105 1022124 13449 X 1815 0 11634 AMERIGROUP CORP 03073T102 3420912 125400 X 5025 0 120375 AMETEK INC NEW 031100100 93125 2500 X 2500 0 0 AMETEK INC NEW 031100100 3129000 84000 X 84000 0 0 AMGEN INC 031162100 92008140 2196947 X 1804566 4850 387531 AMGEN INC 031162100 32196841 768788 X 654667 49266 64855 AMSOUTH BANCORPORATION COM 032165102 950904 42489 X 13252 0 29237 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 659282105 16232204 9312572 320781 6598851
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ AMSOUTH BANCORPORATION COM 032165102 3261326 145725 X 17593 0 128132 ANADARKO PETE CORP COM 032511107 49220863 998395 X 611471 830 386094 ANADARKO PETE CORP COM 032511107 3775739 76587 X 49297 4250 23040 ANALOG DEVICES INC COM 032654105 25120527 845809 X 589289 335 256185 ANALOG DEVICES INC COM 032654105 1196762 40295 X 37685 720 1890 ANDRX GROUP 034553107 1159710 43000 X 50 0 42950 ANDRX GROUP 034553107 2697 100 X 100 0 0 ANHEUSER BUSCH 035229103 40037650 800753 X 706505 2525 91723 ANHEUSER BUSCH 035229103 26244150 524883 X 469283 24715 30885 ANN TAYLOR STORES CORP COM 036115103 6890973 271405 X 22731 0 248674 ANTHEM INC 03674B104 2633407 39025 X 26625 0 12400 ANTHEM INC 03674B104 90086 1335 X 668 667 0 ANWORTH MORTGAGE ASSET CP 037347101 6179383 441700 X 33300 0 408400 ANWORTH MORTGAGE ASSET CP 037347101 102127 7300 X 0 0 7300 AON CORP COM 037389103 2586988 87754 X 66156 0 21598 AON CORP COM 037389103 551423 18705 X 7293 11412 0 APACHE CORP COM 037411105 8299020 144381 X 133382 0 10999 APACHE CORP COM 037411105 501398 8723 X 3058 5500 165 APOLLO GROUP INC CL A 037604105 917382 23272 X 3907 0 19365 APOLLO GROUP INC CL A 037604105 29565 750 X 750 0 0 APPLE COMPUTER INC COM 037833100 608717 34352 X 6001 0 28351 APPLE COMPUTER INC COM 037833100 23798 1343 X 1343 0 0 APPLEBEE'S INTL COM 037899101 344250 15000 X 15000 0 0 APPLERA CORP - APPLIED BIOSYSTEMS 038020103 528121 27097 X 3253 0 23844 APPLERA CORP - APPLIED BIOSYSTEMS 038020103 72756 3733 X 3633 0 100 APPLIED DIGITAL SOLUTIONS 038188108 6500 10000 X 10000 0 0 APPLIED MICRO CIRCUITS CORP 03822W109 237602 50233 X 14089 0 36144 APPLIED MICRO CIRCUITS CORP 03822W109 48951 10349 X 10349 0 0 APPLIED MATLS INC 038222105 42196079 2218511 X 1088908 700 1128903 APPLIED MATLS INC 038222105 9889278 519941 X 452447 15380 52114 APPLIED TECHNOLOGY VENTURES INC COM 0382839A7 353000 14120 X 14120 0 0 APTARGROUP INC 038336103 246062 8002 X 8002 0 0 APTARGROUP INC 038336103 876375 28500 X 28500 0 0 GALLAHER GROUP PLC ORD (GBP) 0383369S4 4706906 502100 X 4900 0 497200 AQUILA INC 03840P102 53000 6625 X 6625 0 0 AQUILA INC 03840P102 42272 5284 X 4884 400 0 ARCH COAL INC 039380100 5882662 259034 X 21744 0 237290 ARCH COAL INC 039380100 14807 652 X 295 0 357 ARCHER DANIELS MIDLAND CO COM 039483102 1136737 88877 X 35434 0 53443 ARCHER DANIELS MIDLAND CO COM 039483102 1007174 78747 X 76795 0 1952 ARCHSTONE SMITH TR 039583109 320854 12017 X 12017 0 0 ARCHSTONE SMITH TR 039583109 47312 1772 X 1772 0 0 ARDEN RLTY INC COM 039793104 5521861 194090 X 27340 0 166750 ARDEN RLTY INC COM 039793104 845534 29720 X 16620 3350 9750 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 253811784 8639996 4643214 70784 3925998
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ ARGOSY GAMING COMPANY 040228108 7465934 262885 X 20225 0 242660 ARKANSAS BEST CORP DEL COM 040790107 11238540 441073 X 34113 0 406960 ARKANSAS BEST CORP DEL COM 040790107 50960 2000 X 0 0 2000 ARNOLD WHOLESALE CORP COM 041992108 3540204 1450 X 1450 0 0 ARNOLD WHOLESALE CORP COM 041992108 4858625 1990 X 1337 653 0 ARMADA CONSERVATIVE ALLOCATION 04208N598 249506 26236 X 26236 0 0 ARMADA AGGRESSIVE ALLOCATION 04208N648 430403 49245 X 49245 0 0 ARMADA AGGRESSIVE ALLOCATION 04208N648 90121 10311 X 10311 0 0 ARMADA MID CAP GROWTH FUND 04208N689 80437279 13679809 X 13425334 7886 246589 ARMADA MID CAP GROWTH FUND 04208N689 5347169 909382 X 842365 27557 39460 ARMADA LARGE CAP ULTRA FUND 04208N747 82200311 9513925 X 9290122 134799 89005 ARMADA LARGE CAP ULTRA FUND 04208N747 7330571 848446 X 726476 29191 92779 ARMADA MICHIGAN MUNICIPAL BOND FUND 04208N788 98813837 8894135 X 8331572 0 562563 ARMADA MICHIGAN MUNICIPAL BOND FUND 04208N788 33764158 3039078 X 2635563 9616 393899 ARMADA U.S. GOVERNMENT INCOME FUND 04208N846 133113081 14026668 X 13769257 3602 253808 ARMADA U.S. GOVERNMENT INCOME FUND 04208N846 24327759 2563515 X 2083575 22953 456987 ARMADA MONEY MARKET FUND 042086108 12551514 12551514 X 12551514 0 0 ARMADA MONEY MARKET FUND 042086108 5538700 5538700 X 5538700 0 0 ARMADA OHIO MUNICIPAL MMKT #079 042086256 1792161 1792161 X 1493161 0 299000 ARMADA OHIO MUNICIPAL MMKT #079 042086256 42452 42452 X 42452 0 0 ARMADA FDS 042086272 30482960 3487753 X 3442897 2768 42088 ARMADA FDS 042086272 1359410 155539 X 144629 0 10910 ARMADA GOVERNMENT MONEY MKT 042086306 3270063 3270063 X 2710836 0 559226 ARMADA GOVERNMENT MONEY MKT 042086306 30829 30829 X 30829 0 0 ARMADA TAX MANAGED EQUITY FD #233 042086330 110145494 10819793 X 10569463 164535 85796 ARMADA TAX MANAGED EQUITY FD #233 042086330 43374307 4260737 X 3917959 147703 195076 ARMADA NATIONAL TAX EXEMPT BD FD 042086363 111361007 10875098 X 10579377 24813 270909 ARMADA NATIONAL TAX EXEMPT BD FD 042086363 47444167 4633219 X 3970951 112775 549494 ARMADA TREASURY MONEY MKT FD 042086504 17000 17000 X 17000 0 0 ARMADA TREASURY MONEY MKT FD 042086504 86000 86000 X 86000 0 0 ARMADA SMALL CAP GROWTH FUND #519 042086579 192743028 22231030 X 21742171 184527 304331 ARMADA SMALL CAP GROWTH FUND #519 042086579 25862358 2982971 X 2696262 138967 147741 ARMADA CORE EQUITY FUND #681 042086595 132635280 12765667 X 12734848 0 30819 ARMADA CORE EQUITY FUND #681 042086595 1757151 169119 X 130219 3453 35448 ARMADA INTERNATIONAL EQUITY FD 042086629 415680056 44793109 X 44029268 209500 554341 ARMADA INTERNATIONAL EQUITY FD 042086629 51700284 5571151 X 5000775 248322 322054 ARMADA EQUITY INDEX FUND #42 042086645 52477266 6137692 X 6076696 11549 49447 ARMADA EQUITY INDEX FUND #42 042086645 5140012 601171 X 555467 19506 26199 ARMADA GNMA INSTL CL #666 042086660 129005473 12440258 X 12314467 25208 100583 ARMADA GNMA INSTL CL #666 042086660 20200376 1947963 X 1615024 206053 126885 ARMADA BOND FD INSTL CL #630 042086686 557917277 56355281 X 55764686 177028 413566 ARMADA BOND FD INSTL CL #630 042086686 59906650 6051177 X 5203841 422507 424828 ARMADA TAX EXEMPT MONEY MKT FD #508 042086702 3684899 3684899 X 3684899 0 0 ARMADA TAX EXEMPT MONEY MKT FD #508 042086702 679854 679854 X 627854 0 52000 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 2510144486 288242348 278519426 2335471 7387451
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 PA MUN BD FD 042086710 36589887 3471526 X 3396972 45793 28762 ARMADA PA MUN BD FD 042086710 10894130 1033599 X 676675 302189 54734 ARMADA PA TAX EXEMPT MONEY 042086736 1250000 1250000 X 1250000 0 0 ARMADA PA TAX EXEMPT MONEY 042086736 500000 500000 X 500000 0 0 ARMADA OHIO TAX EXEMPT BOND FD 042086751 79141327 7003657 X 6931150 36376 36131 ARMADA OHIO TAX EXEMPT BOND FD 042086751 63271250 5599226 X 5255465 170539 173222 ARMADA TOTAL RETURN ADVANTAGE FUND 042086777 219907302 21412590 X 21322742 21541 68307 ARMADA TOTAL RETURN ADVANTAGE FUND 042086777 21843810 2126953 X 2023055 46578 57320 ARMADA INTERMEDIATE BD FUND 042086793 259903143 24871114 X 24248347 396314 226453 ARMADA INTERMEDIATE BD FUND 042086793 30828576 2950103 X 2666425 74585 209093 ARMADA LIMITED MATURITY BOND FD 042086827 164021622 16402162 X 16211351 9155 181657 ARMADA LIMITED MATURITY BOND FD 042086827 17508642 1750864 X 1483711 42566 224587 ARMADA SMALL CAP VALUE FUND #616 042086843 437997929 21780106 X 21272099 114768 393238 ARMADA SMALL CAP VALUE FUND #616 042086843 70393291 3500412 X 3018596 264676 217141 ARMADA LARGE CAP VALUE FUND #614 042086868 377671909 24830500 X 24476950 149024 204526 ARMADA LARGE CAP VALUE FUND #614 042086868 54727994 3598159 X 3073604 221915 302639 ARMADA EQUITY GROWTH FUND 042086884 326143009 17999062 X 17826028 33561 139473 ARMADA EQUITY GROWTH FUND 042086884 52506889 2897731 X 2437783 263797 196151 ARMSTRONG HLDGS INC 042384107 2193 1225 X 1225 0 0 ARMSTRONG HLDGS INC 042384107 94082 52560 X 0 0 52560 ARROW ELECTRS INC COM 042735100 180525 8700 X 3600 0 5100 ARROW ELECTRS INC COM 042735100 53950 2600 X 1000 0 1600 ARTISAN FDS INC 04314H204 694234 39267 X 17404 0 21863 ARTISAN FDS INC 04314H204 145787 8246 X 8246 0 0 ARVINMERITOR INC 043353101 145241 6052 X 6052 0 0 ARVINMERITOR INC 043353101 840984 35041 X 33108 0 1933 ASCENTIAL SOFTWARE CORP 04362P108 837 300 X 300 0 0 ASCENTIAL SOFTWARE CORP 04362P108 58032 20800 X 20800 0 0 ASHLAND INC COM 044204105 717377 17713 X 10351 0 7362 ASHLAND INC COM 044204105 135068 3335 X 1882 0 1453 ASHMAN ENTERPRISES INC 0448199B8 1478515 17406 X 17406 0 0 ASHTABULA RUBBER CO CAP 0448829A8 2599695 4050 X 4050 0 0 ASSOCIATED BANC CORP COM 045487105 295307 7831 X 3483 0 4348 AT HOME CORP COM 045919107 8 3778 X 3725 0 53 AT HOME CORP COM 045919107 20 10178 X 10144 0 34 ASTORIA FINANCIAL CORP 046265104 14065431 438859 X 72294 0 366565 ASTRAZENECA PLC 046353108 4689416 114376 X 1821 0 112555 ASTRAZENECA PLC 046353108 50430 1230 X 1230 0 0 ASYST TECHNOLOGIES INC COM 04648X107 6282656 308730 X 22080 0 286650 JARVIS PLC ORD (GBP) 0471350S8 505726 102400 X 1450 0 100950 KERRY GROUP PLC-A (EUR) 0490656S9 1130817 75700 X 750 0 74950 ATMEL CORP COM 049513104 7444079 1189150 X 270650 0 918500 ATMEL CORP COM 049513104 25040 4000 X 0 0 4000 HILTON GROUP PLC ORD (GBP) 0500254S1 6193853 1780247 X 17900 0 1762347 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 2272930013 167231538 158601904 2193377 6436257
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ AUSTRALIA & NEW ZEALAND BKG GROUP 052528304 406875 7500 X 0 0 7500 AUTODESK INC COM 052769106 136329 10289 X 1497 0 8792 AUTODESK INC COM 052769106 1776 134 X 134 0 0 AUTOMATIC DATA PROCESSING INC COM 053015103 93403863 2144750 X 1985539 2955 156256 AUTOMATIC DATA PROCESSING INC COM 053015103 118482130 2720600 X 2415214 160885 144501 AUTONATION INC 05329W102 2175 150 X 150 0 0 AUTONATION INC 05329W102 4353263 300225 X 300225 0 0 AUTOZONE INC COM 053332102 8851082 114503 X 28136 0 86367 AUTOZONE INC COM 053332102 9894 128 X 128 0 0 AVALONBAY CMNTYS INC 053484101 1674335 35853 X 35853 0 0 AVALONBAY CMNTYS INC 053484101 3667538 78534 X 67731 3881 6922 AVAYA INC 053499109 259880 52501 X 11628 0 40873 AVAYA INC 053499109 52623 10631 X 8614 514 1503 AVENTIS -SPON ADR 053561106 2885799 40974 X 1514 0 39460 AVENTIS -SPON ADR 053561106 314259 4462 X 4012 0 450 AVERY DENNISON CORP COM 053611109 48274579 769316 X 537046 790 231480 AVERY DENNISON CORP COM 053611109 1642168 26170 X 24070 1100 1000 AVNET INC COM 053807103 186035 8460 X 1860 0 6600 AVNET INC COM 053807103 92358 4200 X 600 0 3600 AVON PRODS INC COM 054303102 11743395 224797 X 82544 0 142253 AVON PRODS INC COM 054303102 338776 6485 X 2285 3000 1200 AXCELIS TECHNOLOGIES INC 054540109 371702 32894 X 32894 0 0 AXCELIS TECHNOLOGIES INC 054540109 613760 54315 X 48078 0 6237 AXCAN PHARMA INC 054923107 4398336 294400 X 10700 0 283700 BB&T CORP 054937107 4004441 103742 X 66756 0 36986 BB&T CORP 054937107 520675 13489 X 13489 0 0 BJ SVCS CO COM 055482103 3426860 101147 X 83587 0 17560 BP PLC SPONSORED ADR 055622104 160624852 3181320 X 2990063 6320 184937 BP PLC SPONSORED ADR 055622104 168404762 3335408 X 2772323 171473 391612 BMC SOFTWARE INC COM 055921100 3399929 204815 X 3538 0 201277 BMC SOFTWARE INC COM 055921100 40238 2424 X 1254 150 1020 BABSON VALUE FD INC COM 056177108 275097 6420 X 6420 0 0 BAKER HUGHES INC COM 057224107 1176369 35337 X 8391 0 26946 BAKER HUGHES INC COM 057224107 88418 2656 X 1956 0 700 BALL CORP 058498106 214078 5161 X 765 0 4396 BALL CORP 058498106 2904 70 X 70 0 0 BANCO SANTANDER CENT HISPANO 05964H105 130311 16728 X 14280 2448 0 BANK OF AMER CORP 060505104 38988657 554131 X 344196 0 209935 BANK OF AMER CORP 060505104 6776301 96309 X 82426 2141 11742 BANK NEW YORK INC COM 064057102 42914543 1271542 X 739325 845 531372 BANK NEW YORK INC COM 064057102 2350215 69636 X 68116 1150 370 BANK ONE CORP COM 06423A103 29115757 756646 X 653613 900 102133 BANK ONE CORP COM 06423A103 19547340 507987 X 400442 16735 90810 BARCLAYS US EQUITY MARKET R 0669049A3 153339 15603 X 15603 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 784318016 17222842 13867065 375287 2980490
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ BARCLAYS S & P 500 INDEX I 0669059A0 761945 24669 X 24669 0 0 BARCLAYS GLOBAL INVS FDS INC 066922808 205070 18036 X 18036 0 0 BARCLAYS GLOBAL INVS FDS INC 066922873 170588 13379 X 13379 0 0 BARBER GROCERY CO INC COM 067132100 797667 1170 X 1170 0 0 BARCLAYS EQUITY GROWTH O 0673649A9 158146 17513 X 17513 0 0 BARD C R INC 067383109 384574 6797 X 2698 0 4099 BARD C R INC 067383109 636638 11252 X 9077 0 2175 BARRICK GOLD CORP 067901108 1028005 54134 X 11132 0 43002 BARRICK GOLD CORP 067901108 116542 6137 X 5819 318 0 BARON ASSET FD#585 068278100 1299098 29961 X 29961 0 0 BARON ASSET FD#585 068278100 352684 8134 X 7021 0 1113 BARON ASSET FD 068278308 157540 9641 X 9641 0 0 BARON ASSET FD 068278308 29193 1787 X 1787 0 0 BARRY COUNTY SERVICE COMPANY 068810894 210000 3000 X 3000 0 0 PILKINGTON PLC ORD (GBP) 0688462S2 14138 10000 X 10000 0 0 SCOTTISH POWER PLC ORD (GBP) 0690070S2 3354955 623949 X 8300 0 615649 BAUSCH & LOMB INC COM 071707103 170299 5031 X 729 0 4302 BAUSCH & LOMB INC COM 071707103 83474 2466 X 2466 0 0 BAXTER INTL INC COM 071813109 17309719 389420 X 168584 0 220836 BAXTER INTL INC COM 071813109 2940145 66145 X 53347 7300 5498 VODAFONE GROUP PLC ORD (GBP) 0719210S0 4964053 3618457 X 14000 0 3604457 BEARGRASS CORP COM 073000606 10000 20000 X 20000 0 0 BAYOU STL CORP LA PLACE CL A 073051104 7000 10000 X 10000 0 0 BAYOU STL CORP LA PLACE CL A 073051104 700 1000 X 1000 0 0 BRITISH ENERGY PLC ORD (GBP) 0738293S0 1503475 744405 X 7238 0 737167 BEAR STEARNS COS INC COM 073902108 574423 9386 X 1375 0 8011 BEAR STEARNS COS INC COM 073902108 7344 120 X 120 0 0 ROYAL BK OF SCOTLAND GROUP ORD (GBP) 0754783S4 7026811 247842 X 2550 0 245292 BECKMAN COULTER INC 075811109 95608 1916 X 1916 0 0 BECKMAN COULTER INC 075811109 134431 2694 X 2694 0 0 BECTON DICKINSON & CO COM 075887109 2149680 62400 X 41648 0 20752 BECTON DICKINSON & CO COM 075887109 657513 19086 X 16686 2400 0 BED BATH & BEYOND INC COM 075896100 1117217 29603 X 6304 0 23299 BED BATH & BEYOND INC COM 075896100 132090 3500 X 2900 0 600 BELLSOUTH CORP COM 079860102 47217144 1498957 X 1041832 650 456475 BELLSOUTH CORP COM 079860102 31247402 991981 X 896051 42549 53381 SHIRE PHARMACEUTICALS GROUP PLC ORD 0799803S5 2246483 254100 X 2500 0 251600 BELO A H CORP SER A 080555105 15076190 666793 X 65483 0 601310 BEMIS INC COM 081437105 730313 15375 X 9640 0 5735 BEMIS INC COM 081437105 140600 2960 X 2960 0 0 BENICORP COM 0820469A3 0 21000 X 0 0 21000 SOMERFIELD PLC ORD (GBP) 0821869S8 4186421 2327509 X 26057 0 2301452 BERGER SMALL CAP VALUE FUND 083902106 4297827 151545 X 151545 0 0 BERGER SMALL CAP VALUE FUND 083902106 187729 6619 X 6619 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 153890874 12009869 2729447 53217 9227205
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 083902205 29420551 1033025 X 1025710 176 7139 BERGER SMALL CAP VALUE FUND 083902205 6626654 232677 X 202213 21174 9290 BERGER SMALL COMPANY GROWTH FUND 084045103 1561853 697256 X 679050 0 18205 BERGER SMALL COMPANY GROWTH FUND 084045103 58837 26267 X 0 20919 5348 BERGER INVT PORTFOLIO TR 084045608 399981 24023 X 24023 0 0 BERGER INVT PORTFOLIO TR 084045608 9338 561 X 561 0 0 BERKSHIRE HATHAWAY INC DEL 084670108 13567500 201 X 196 4 1 BERKSHIRE HATHAWAY INC DEL 084670108 9450000 140 X 73 31 36 BERKSHIRE HATHAWAY INC DEL 084670207 13490568 6039 X 5973 66 0 BERKSHIRE HATHAWAY INC DEL 084670207 45938301 20563 X 17346 2088 1129 BERNSTEIN SANFORD C, FD INC 085568707 27008852 1608627 X 1525017 5663 77947 BERNSTEIN SANFORD C, FD INC 085568707 4893387 291447 X 254233 4471 32742 BEST BUY INC COM 086516101 2452718 67568 X 5045 0 62523 BEST BUY INC COM 086516101 70785 1950 X 1800 0 150 BEVERLY ENTERPRISES INC 087851309 6488735 852659 X 70251 0 782408 BIG LOTS INC 089302103 334619 17003 X 4181 0 12822 BIG LOTS INC 089302103 7872 400 X 400 0 0 BIGMAR INC 089893101 84083 336333 X 336333 0 0 BILOXI MARSH LANDS CORP CAP 090203100 140010 10770 X 10770 0 0 BIOGEN INC COM 090597105 853748 20607 X 4002 0 16605 BIOGEN INC COM 090597105 106558 2572 X 2572 0 0 BIOMEC INC 0906099A8 125000 12500 X 12500 0 0 BIOMET INC COM 090613100 3403072 125482 X 73518 0 51964 BIOMET INC COM 090613100 1390578 51275 X 46055 0 5220 BLACK & DECKER CORP 091797100 361693 7504 X 1097 0 6407 BLACK & DECKER CORP 091797100 366272 7599 X 5599 2000 0 BLACKROCK FDS 091927103 412824 412824 X 412824 0 0 BLACKROCK INTERNATIONAL EQUITY PTF 091927780 105749 12141 X 12141 0 0 BLACKROCK INTERNATIONAL EQUITY PTF 091927780 21680 2489 X 2489 0 0 BLACKROCK FDS 091927806 346282 34251 X 34251 0 0 BLACKROCK FDS 091928101 5276565 492217 X 492217 0 0 BLACKROCK FDS 091928861 101152 13800 X 13800 0 0 BLACKROCK FDS 091929877 871166 88175 X 88175 0 0 BLACKROCK INCOME TR INC COM 09247F100 179859 22971 X 22971 0 0 BLACKROCK INCOME TR INC COM 09247F100 15660 2000 X 2000 0 0 BLOCK H & R INC 093671105 4163284 90212 X 68596 345 21271 BLOCK H & R INC 093671105 1415374 30669 X 28659 0 2010 BOB EVANS FARMS INC COM 096761101 2108814 66989 X 66989 0 0 BOB EVANS FARMS INC COM 096761101 1139545 36199 X 33311 0 2888 BOEING CO 097023105 6560775 145795 X 70605 0 75190 BOEING CO 097023105 2876670 63926 X 55314 7000 1612 BOISE CASCADE CORP COM 097383103 187912 5442 X 787 0 4655 BOISE CASCADE CORP COM 097383103 35911 1040 X 1040 0 0 THE BOND FUND OF AMERICA A 097873103 134431 10832 X 10832 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 194565218 6987020 5725519 63937 1197562
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ BORG WARNER INC 099724106 8820299 152706 X 15226 0 137480 BORG WARNER INC 099724106 30324 525 X 225 0 300 BOSTON SCIENTIFIC CORP COM 101137107 1221823 41672 X 8313 0 33359 BOSTON SCIENTIFIC CORP COM 101137107 317741 10837 X 5263 0 5574 BOYKIN LODGING CO COM 103430104 91812 8400 X 8400 0 0 BOYKIN LODGING CO COM 103430104 91757 8395 X 8395 0 0 BRACKNELL CORP 10382K102 8302 1037788 X 1037788 0 0 BOYLE BANCORP INC 103990107 754000 13000 X 13000 0 0 BRADY CORP CL A 104674106 52500 1500 X 1500 0 0 BRADY CORP CL A 104674106 157500 4500 X 4500 0 0 BRANDYWINE FD INC COM 10532D107 281987 12818 X 12818 0 0 BRANDYWINE FD INC COM 10532D107 130661 5939 X 5939 0 0 BRINKER INTL INC 109641100 1685925 53100 X 200 0 52900 BRINKER INTL INC 109641100 48578 1530 X 390 0 1140 BRISTOL MYERS SQUIBB CO COM 110122108 78961111 3072417 X 2541222 1345 529850 BRISTOL MYERS SQUIBB CO COM 110122108 100758118 3920549 X 3734902 66772 118875 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 608024 34665 X 5214 0 29451 BROADCOM CORP 111320107 27450 1565 X 1565 0 0 BROADWING INC 111620100 43940 16900 X 16900 0 0 BROADWING INC 111620100 30472 11720 X 5520 0 6200 BROOKS-PRI AUTOMATION INC 11442E102 2351520 92000 X 3850 0 88150 BROTHERHOOD BANCSHARES INC 114816101 368500 6700 X 0 6700 0 BROWN FORMAN CORP CL A 115637100 159110316 2269762 X 67676 0 2202086 BROWN FORMAN CORP CL A 115637100 830772765 11851252 X 311177 0 11540075 BROWN FORMAN CORP CL B 115637209 8805987 127623 X 90712 0 36911 BROWN FORMAN CORP CL B 115637209 618365856 8961824 X 269977 0 8691847 BRUNSWICK CO COM 117043109 2848328 101726 X 34918 0 66808 BRUNSWICK CO COM 117043109 210140 7505 X 7505 0 0 BUCA INC 117769109 3395663 178250 X 7200 0 171050 BURLINGTON NORTHERN SANTA FE CORP 12189T104 2148240 71608 X 40780 0 30828 BURLINGTON NORTHERN SANTA FE CORP 12189T104 1132650 37755 X 27577 6000 4178 BURLINGTON RES INC COM 122014103 15877996 417842 X 370420 1500 45922 BURLINGTON RES INC COM 122014103 8232928 216656 X 185907 18070 12679 W S BUTTERFIELD THEATRES 124160995 0 107804 X 107804 0 0 CDC NVEST FDS TR I 12506R542 84559 11275 X 11275 0 0 C D I CORP 125071100 8447474 259523 X 19363 0 240160 CDW COMPUTER CTRS INC COM 125129106 763003 16300 X 0 0 16300 CEC ENTMT INC 125137109 2205420 53400 X 0 0 53400 C H ROBINSON WORLDWIDE INC 12541W100 4868556 145200 X 8950 0 136250 CIGNA CORP COM 125509109 4168212 42786 X 26083 0 16703 CIGNA CORP COM 125509109 3822274 39235 X 37886 253 1096 CLECO CORP NEW 12561W105 65700 3000 X 3000 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1873079421 33429674 9059462 100640 24269572
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ CLECO CORP NEW 12561W105 144299 6589 X 6589 0 0 CMA MONEY FD 125670109 354422 354422 X 354422 0 0 CMS ENERGY CORP COM 125896100 241362 21982 X 11314 0 10668 CMS ENERGY CORP COM 125896100 92353 8411 X 2911 4500 1000 CNET NETWORKS INC 12613R104 6368 3200 X 3200 0 0 CNET NETWORKS INC 12613R104 20895 10500 X 100 0 10400 CNB CORP COM 12613T100 1095420 18257 X 18257 0 0 CSX CORP COM 126408103 3238971 92410 X 62751 0 29659 CSX CORP COM 126408103 1669291 47626 X 31400 1500 14726 CUNO INC 126583103 535464 14800 X 14800 0 0 CUNO INC 126583103 596970 16500 X 16500 0 0 CVS CORPORATION (DEL) 126650100 10758501 351585 X 317748 0 33837 CVS CORPORATION (DEL) 126650100 1178651 38518 X 33613 775 4130 CABLE DESIGN CORP COM 126924109 186550 18200 X 12700 700 4800 CAL DIVE INTL INC 127914109 238700 10850 X 5450 0 5400 CALAMOS INV TR NEW 128119302 198260 5512 X 5512 0 0 CALAMOS INV TR NEW 128119302 27955 777 X 777 0 0 CALGON CARBON CORP COM 129603106 126000 15000 X 15000 0 0 CALPINE CORP 131347106 351289 49970 X 6328 0 43642 CALPINE CORP 131347106 247983 35275 X 30800 0 4475 CAMBREX CORP COM 132011107 6125676 152760 X 11900 0 140860 CAMCO FINL CORP 132618109 238995 16950 X 16950 0 0 CAMPBELL SOUP CO COM 134429109 1418211 51273 X 18407 0 32866 CAMPBELL SOUP CO COM 134429109 1100757 39796 X 26196 8400 5200 CAPITAL INCOME BUILDER FUND A 140193103 424401 9505 X 9505 0 0 CAPITAL INCOME BUILDER FUND A 140193103 103111 2309 X 2309 0 0 CAPITAL ONE FINL CORP COM 14040H105 2514833 41193 X 22754 0 18439 CAPITAL ONE FINL CORP COM 14040H105 173748 2846 X 2426 0 420 CAPITAL PRESERVATION FD UNIT PARTN 140411109 312658 31266 X 31266 0 0 CAPITAL WORLD GROWTH & INCOME FD A 140543109 346338 14389 X 14389 0 0 CARDINAL ALUMINUM CO 140991100 423500 550 X 550 0 0 CARDIAC SCIENCE INC 141410209 4082484 1100400 X 41500 0 1058900 CARDINAL HEALTH INC COM 14149Y108 9485474 154461 X 116398 0 38063 CARDINAL HEALTH INC COM 14149Y108 6830143 111222 X 47539 5561 58122 CAREER EDUCATION CORP 141665109 1503000 33400 X 0 0 33400 CAREER EDUCATION CORP 141665109 319500 7100 X 7100 0 0 CAREMARK RX INC 141705103 1852422 112268 X 6568 0 105700 CAREMARK RX INC 141705103 33182 2011 X 211 0 1800 CARNIVAL CORP COM 143658102 44274344 1598929 X 915798 0 683131 CARNIVAL CORP COM 143658102 1720490 62134 X 61254 680 200 CARPENTER TECHNOLOGY CORP 144285103 5762 200 X 200 0 0 CARPENTER TECHNOLOGY CORP 144285103 244885 8500 X 2500 6000 0 CASELLA WASTE SYS INC 147448104 7985137 664874 X 54478 0 610396 CASELLA WASTE SYS INC 147448104 4804 400 X 400 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 112833559 5339120 2360770 28116 2950234
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ CATERPILLAR INC COM 149123101 12165495 248529 X 155175 0 93354 CATERPILLAR INC COM 149123101 7286501 148856 X 120312 6210 22334 CATHARON PRODUCTIONS INC 149145906 10000 20000 X 0 0 20000 CEDAR FAIR LP DEPOSITARY UNITS 150185106 1083997 45623 X 44023 400 1200 CEDAR FAIR LP DEPOSITARY UNITS 150185106 3402184 143190 X 114790 6900 21500 CEMEX S A 151290889 2683448 101800 X 1400 0 100400 CENDANT CORP 151313103 1853799 116738 X 32266 0 84472 CENDANT CORP 151313103 515465 32460 X 4260 16000 12200 CENTEX CONSTRUCTION PRODS INC 15231R109 4311070 118436 X 9576 0 108860 CENTEX CORP COM 152312104 345931 5986 X 1075 0 4911 CENTEX CORP COM 152312104 3930 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 5661864 1737301 X 1737301 0 0 CENTURY INSTRUMENT CORPORATION CLASS 156573107 256500 9500 X 9500 0 0 CENTURYTEL INC 156700106 555692 18837 X 7517 0 11320 CENTURYTEL INC 156700106 128650 4361 X 4207 0 154 CERES GROUP INC 156772105 5840609 1497592 X 114627 0 1382965 CERTEGY INC 156880106 14844 400 X 400 0 0 CERTEGY INC 156880106 202250 5450 X 3050 0 2400 CHAGNON REALTY CORP COM CLASS B 157430307 399600 54 X 54 0 0 CHAMPION INDUSTRIES INC/WV COM 158520106 44240 15800 X 15800 0 0 CHARITABLE TEMPORARY INVESTMENT FD 1596409A1 589071 589071 X 589071 0 0 CHARLES RIV LABS INTL INC 159864107 2222170 63400 X 0 0 63400 CHARTER ONE FINL INC COM 160903100 1316685 38298 X 13065 0 25233 CHARTER ONE FINL INC COM 160903100 1113568 32390 X 32390 0 0 CHARMING SHOPPES INC 161133103 11562877 1338296 X 107326 0 1230970 CHECKERS DRIVE-IN RESTAURANT 162809305 19709 1659 X 1659 0 0 CHECKERS DRIVE-IN RESTAURANT 162809305 362447 30509 X 30509 0 0 CHEMFIRST INC 16361A106 3453843 120553 X 11353 0 109200 CHEMICAL FINL CORP 163731102 157167 4190 X 4190 0 0 CHEMICAL FINL CORP 163731102 154804 4127 X 4127 0 0 CHESAPEAKE ENERGY CORP COM 165167107 7912368 1098940 X 86960 0 1011980 CHESTNUT STREET EXCHANGE 166668103 3680776 12864 X 12864 0 0 CHEVRONTEXACO CORP 166764100 152819588 1726775 X 1349661 1555 375559 CHEVRONTEXACO CORP 166764100 64681199 730861 X 552710 62946 115205 CHICOS FAS INC 168615102 6356 175 X 175 0 0 CHICOS FAS INC 168615102 1169504 32200 X 32200 0 0 CHIPPAC INC 169657103 4364656 706255 X 55250 0 651005 CHIQUITA BRANDS INTL INC 170032809 8725770 487201 X 46461 0 440740 CHIRON CORP 170040109 882230 24957 X 3693 0 21264 CHIRON CORP 170040109 2651 75 X 75 0 0 CHUBB CORP COM 171232101 17785243 251204 X 182682 0 68522 CHUBB CORP COM 171232101 20492706 289445 X 286066 450 2929 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 350241460 11898176 5787888 94461 6015827
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ CHURCH & DWIGHT INC COM 171340102 1416335 45207 X 45207 0 0 CHURCH & DWIGHT INC COM 171340102 1424418 45465 X 44715 750 0 CHURCHILL DOWNS INC COM 171484108 1444782 35824 X 35224 0 600 CHURCHILL DOWNS INC COM 171484108 417819 10360 X 10360 0 0 AQUILA CHURCHILL 171562101 612757 58525 X 58525 0 0 AQUILA CHURCHILL 171562101 470439 44932 X 44932 0 0 CHURCHILL TAX FREE FD KY 171562408 2625338 250509 X 250509 0 0 CIENA CORP 171779101 180551 43091 X 6234 0 36857 CIENA CORP 171779101 19425 4636 X 3215 0 1421 CINCINNATI FINL CORP COM 172062101 7824904 168169 X 151460 0 16709 CINCINNATI FINL CORP COM 172062101 9622823 206809 X 204118 0 2691 CINDERELLA INCORPORATED CLASS B 172398950 371280 4800 X 4800 0 0 CINERGY CORP COM 172474108 1424376 39577 X 18734 0 20843 CINERGY CORP COM 172474108 406471 11294 X 9078 0 2216 CIRCUIT CITY STORES-CIRCUIT CITY 172737108 404963 21598 X 4853 0 16745 CIRCUIT CITY STORES-CIRCUIT CITY 172737108 4313 230 X 230 0 0 CISCO SYS INC COM 17275R102 99371374 7123396 X 5984486 18453 1120457 CISCO SYS INC COM 17275R102 50575544 3625487 X 3237177 170393 217917 CINTAS CORP COM 172908105 37179813 752171 X 689718 1450 61003 CINTAS CORP COM 172908105 18531060 374895 X 328736 17014 29145 CITIGROUP INC COM 172967101 157914383 4075210 X 2730829 5577 1338804 CITIGROUP INC COM 172967101 49287598 1271938 X 1118830 73657 79451 CITIZENS BKG CORP MICH 174420109 657324 22682 X 22682 0 0 CITIZENS BKG CORP MICH 174420109 614376 21200 X 21200 0 0 CITIZENS COMMUNICATIONS CO 17453B101 326383 39041 X 7596 0 31445 CITIZENS COMMUNICATIONS CO 17453B101 59406 7106 X 7106 0 0 CITRIX SYS INC COM 177376100 295241 48881 X 25065 0 23816 CITRIX SYS INC COM 177376100 13077 2165 X 2165 0 0 CLARCOR INC COM 179895107 213638 6750 X 6750 0 0 CLARCOR INC COM 179895107 167745 5300 X 5300 0 0 CLASSIC BANCSHARES INC COM 18272M104 1587838 73750 X 0 0 73750 CLEAR CHANNEL COMMUNICATIONS INC COM 184502102 11318718 353489 X 105901 0 247588 CLEAR CHANNEL COMMUNICATIONS INC COM 184502102 1041579 32529 X 31399 100 1030 CLEVELAND IGNITION CO COM 1861809A5 1 10045 X 10045 0 0 CLIFFORD JACOBS FORGING COMPANY 187995105 533900 281 X 281 0 0 CLIPPER FUND INC COM 188850101 1086263 13118 X 13118 0 0 CLIPPER FUND INC COM 188850101 72941 881 X 881 0 0 CLOROX CO COM 189054109 3605720 87200 X 68321 0 18879 CLOROX CO COM 189054109 2824825 68315 X 59090 1775 7450 COCA-COLA CO COM 191216100 96599944 1724999 X 1476805 175 248019 COCA-COLA CO COM 191216100 99571840 1778069 X 1689037 18248 70784 COCA COLA ENTERPRISE INC COM 191219104 918484 41598 X 5917 0 35681 COCA COLA ENTERPRISE INC COM 191219104 15147 686 X 686 0 0 COHEN FURNITURE COMPANY 191995109 336660 93 X 0 0 93 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 663391816 22552301 18541315 307592 3703394
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ COHEN FURNITURE COMPANY 191995109 14480 4 X 0 0 4 COLGATE-PALMOLIVE CO COM 194162103 9220912 184234 X 138778 240 45216 COLGATE-PALMOLIVE CO COM 194162103 6762356 135112 X 118940 11772 4400 COMCAST CORP CL A SPL 200300200 20552392 862097 X 482453 230 379414 COMCAST CORP CL A SPL 200300200 6499666 272637 X 244746 19452 8439 COMERICA INC COM 200340107 25185052 410180 X 77293 0 332887 COMERICA INC COM 200340107 415678 6770 X 6770 0 0 COMMERCE BANCSHARES INC COM 200525103 2359452 53333 X 44121 9212 0 COMMSCOPE INC 203372107 51250 4100 X 4100 0 0 COMMSCOPE INC 203372107 107500 8600 X 8600 0 0 COMMUNITY BK NATL ASSN CARMICHAELS 203564109 533953 35896 X 35896 0 0 COMPANHIA DE BEBIDAS DAS AME 20441W203 2195802 141300 X 1300 0 140000 COMPASS BANCSHARES INC COM 20449H109 4161494 123854 X 111154 350 12350 COMPASS BANCSHARES INC COM 20449H109 2350824 69965 X 60970 4425 4570 COMPUTER ASSOC INTL INC COM 204912109 952208 59925 X 13599 0 46326 COMPUTER ASSOC INTL INC COM 204912109 61463 3868 X 3193 675 0 COMPUTER SCIENCES CORP COM 205363104 4828469 101014 X 87185 0 13829 COMPUTER SCIENCES CORP COM 205363104 221266 4629 X 4629 0 0 COMPUWARE CORP COM 205638109 288908 47596 X 17641 0 29955 COMPUWARE CORP COM 205638109 12189 2008 X 408 0 1600 COMVERSE TECHNOLOGY INC COM PAR 0.10 205862402 220703 23834 X 2948 0 20886 COMVERSE TECHNOLOGY INC COM PAR 0.10 205862402 52319 5650 X 50 0 5600 CONAGRA FOODS INC 205887102 21953188 793967 X 222470 0 571497 CONAGRA FOODS INC 205887102 4247234 153607 X 152607 1000 0 CONCORD EFS INC COM 206197105 55103907 1828265 X 1324880 600 502785 CONCORD EFS INC COM 206197105 2184246 72470 X 71220 550 700 CONCURRENT COMPUTER CORP (NEW) 206710204 2351505 505700 X 20700 0 485000 CONEXANT SYSTEMS INC 207142100 83215 51367 X 22542 0 28825 CONEXANT SYSTEMS INC 207142100 266250 164352 X 153695 0 10657 CONOCO INC 208251504 20931287 752924 X 244399 120 508405 CONOCO INC 208251504 3226746 116070 X 73441 13909 28720 CONSECO INC COM 208464107 136616 68308 X 40651 0 27657 CONSECO INC COM 208464107 37498 18749 X 5747 0 13002 CONSOLIDATED EDISON INC 209115104 2560068 61319 X 39708 0 21611 CONSOLIDATED EDISON INC 209115104 1398667 33501 X 21801 1800 9900 CONSTELLATION BRANDS INC CL A 21036P108 2732800 85400 X 0 0 85400 CONSTELLATION BRANDS INC CL A 21036P108 22400 700 X 0 0 700 CONSTELLATION ENERGY CORP 210371100 841002 28664 X 13430 0 15234 CONSTELLATION ENERGY CORP 210371100 371180 12651 X 11101 1550 0 CONTINENTAL AIRLINES INC 210795308 2259380 143180 X 11130 0 132050 CONTINENTAL AIRLINES INC 210795308 316 20 X 20 0 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 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 207993308 7512133 3958629 65885 3487619
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ CONVERGYS CORP 212485106 850497 43660 X 24340 0 19320 CONVERGYS CORP 212485106 329173 16898 X 16898 0 0 COOPER COMPANIES INC 216648402 10253670 217700 X 16648 0 201052 COOPER TIRE & RUBBER CO 216831107 258108 12560 X 4238 0 8322 COOPER TIRE & RUBBER CO 216831107 94057 4577 X 2477 0 2100 COORS ADOLPH CO COM 217016104 216368 3473 X 575 0 2898 COORS ADOLPH CO COM 217016104 21307 342 X 42 0 300 COORSTEK INC 217020106 1383223 44750 X 1800 0 42950 COPPER MOUNTAIN NETWORKS INC 217510106 4260 5071 X 4811 0 260 COPPER MOUNTAIN NETWORKS INC 217510106 20769 24725 X 24725 0 0 CORNING INC COM 219350105 848725 239077 X 162469 0 76608 CORNING INC COM 219350105 348099 98056 X 91906 2850 3300 CORPORATE EXECUTIVE BOARD CO 21988R102 366475 10700 X 4350 0 6350 CORPORATE OFFICE PROPERTIES 22002T108 6099991 418094 X 31434 0 386660 CORTLAND BANCORP 220587109 256457 10067 X 0 10067 0 COST PLUS INC CALIFORNIA 221485105 4048001 132900 X 5050 0 127850 COSTCO WHSL CORP NEW 22160K105 4451843 115273 X 66226 0 49047 COSTCO WHSL CORP NEW 22160K105 744980 19290 X 18465 525 300 COUNTRYWIDE CR INDS INC COM 222372104 602884 12495 X 2649 0 9846 COUNTRYWIDE CR INDS INC COM 222372104 30349 629 X 129 500 0 COX COMMUNICATION INC NEW 224044107 20690 751 X 751 0 0 COX COMMUNICATION INC NEW 224044107 232798 8450 X 6450 2000 0 COX TECHNOLOGIES INC 224056101 1100 10000 X 10000 0 0 CRANE CO COM 224399105 141874 5590 X 804 0 4786 CRANE CO COM 224399105 237151 9344 X 9344 0 0 CREDIT SUISSE INCOME FD 224916106 53521 11104 X 9202 0 1902 CROMPTON CORP 227116100 11030624 865147 X 67562 0 797585 CROMPTON CORP 227116100 147900 11600 X 11600 0 0 CROWN AMERN RLTY TR SH BEN INT 228186102 3323088 353520 X 27700 0 325820 THE CROWN GROUP INC. 228360103 4438430 89000 X 0 0 89000 CRYSTALLEX INTL CORP 22942F101 196900 110000 X 110000 0 0 CUMBERLAND VALLEY MUSIC CO COM 230002149 214398 329 X 329 0 0 CYTATION CORP 23281Y107 346 23060 X 0 0 23060 CYTYC CORP COM 232946103 1114806 146300 X 200 0 146100 CYTYC CORP COM 232946103 6706 880 X 880 0 0 D A F CORP 233026905 253878 50 X 50 0 0 DCB FINL CORP 233075100 196560 10080 X 10080 0 0 DCB FINL CORP 233075100 19500 1000 X 1000 0 0 DFA INVT DIMENSIONS GROUP INC 233203843 1047648 78358 X 78358 0 0 DELAWARE GROUP TAX FREE PA CL A 233216100 604725 76547 X 76547 0 0 DELAWARE GROUP TAX FREE PA CL A 233216100 301408 38153 X 17939 12682 7532 DNP SELECT INCOME FD 23325P104 526469 51716 X 51716 0 0 DNP SELECT INCOME FD 23325P104 233305 22918 X 22918 0 0 DQE INC COM 23329J104 292880 20920 X 20920 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 55865941 3375154 1013582 28624 2332948
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ DQE INC COM 23329J104 171948 12282 X 8412 0 3870 DPL INC COM 233293109 23412543 885162 X 834077 4025 47060 DPL INC COM 233293109 9729553 367847 X 330683 26244 10920 D R HORTON INC 23331A109 549545 21112 X 21112 0 0 DST SYS INC DEL COM 233326107 9073435 198500 X 53200 0 145300 DST SYS INC DEL COM 233326107 13896 304 X 304 0 0 DTE ENERGY INC COM 233331107 1416963 31742 X 18693 0 13049 DTE ENERGY INC COM 233331107 1043772 23382 X 21546 0 1836 DANA CORP COM 235811106 494362 26679 X 9461 0 17218 DANA CORP COM 235811106 249062 13441 X 11641 300 1500 DANAHER CORPORATION COM 235851102 4945265 74533 X 60324 375 13834 DANAHER CORPORATION COM 235851102 572932 8635 X 8485 0 150 DARDEN RESTAURANTS INC COM 237194105 677151 27415 X 13329 0 14086 DARDEN RESTAURANTS INC COM 237194105 1063162 43043 X 40793 0 2250 DART BANK MASON MICH 237412101 501000 10020 X 10020 0 0 DAVIS 239080104 495697 21789 X 21789 0 0 DAVIS 239080104 1044506 45912 X 45912 0 0 DEANS FOODS CO 242370104 1245074 33380 X 33380 0 0 DEAN WITTER SELECT EQUITY TR 24241X262 19121 21245 X 21245 0 0 DEEP VEIN COAL CO INC 2437899A4 21523 495 X 495 0 0 DEEP VEIN COAL CO INC 2437899A4 2751197 63275 X 39600 23675 0 DEERE & CO COM 244199105 21278186 444221 X 74030 0 370191 DEERE & CO COM 244199105 710165 14826 X 11799 2300 727 DELAWARE GROUP DELCHESTER FUND 245908405 87880 32548 X 32548 0 0 DELAWARE GROUP TAX FREE FD INC 245909106 79852 7181 X 7181 0 0 DELAWARE GROUP TAX FREE FD INC 245909106 154596 13903 X 0 5195 8707 DELL COMPUTER CORP COM 247025109 19630931 750992 X 516519 4500 229973 DELL COMPUTER CORP COM 247025109 7109609 271982 X 235237 4850 31895 DELPHI CORP 247126105 1623899 123023 X 74998 0 48025 DELPHI CORP 247126105 664250 50322 X 37782 10222 2318 DELTA AIR LINES INC DEL COM 247361108 314500 15725 X 5838 0 9887 DELTA AIR LINES INC DEL COM 247361108 11200 560 X 560 0 0 DELUXE CORP COM 248019101 608045 15635 X 10312 0 5323 DELUXE CORP COM 248019101 73385 1887 X 1887 0 0 KIMBERLY-CLARK DE MEXICO, S.A. 2491914S3 47680 17893 X 17893 0 0 DEVELOPERS DIVERSIFIED REALTY CORP 251591103 7404165 329074 X 44294 0 284780 DEVELOPERS DIVERSIFIED REALTY CORP 251591103 954270 42412 X 29912 1500 11000 DEVELOPMENTAL VENTURE CAPITAL CORP 251612107 10000 10000 X 10000 0 0 DEVON ENERGY CORPORATION NEW 25179M103 1099880 22319 X 4868 0 17451 DEVON ENERGY CORPORATION NEW 25179M103 81509 1654 X 705 849 100 DIAMONDS TR 252787106 10641 115 X 115 0 0 DIAMONDS TR 252787106 194313 2100 X 2100 0 0 DIANON SYS INC 252826102 2716407 50850 X 1900 0 48950 DIASENSE INC 252834106 1 25000 X 25000 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 124357071 4174415 2749979 84035 1340400
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ DIEBOLD INC COM 253651103 767725 20616 X 15523 0 5093 DIEBOLD INC COM 253651103 1030989 27685 X 27485 0 200 DIESEL INJECTION OF LOUISVILLE INC 253706907 436000 109 X 109 0 0 DIGITAL CREATIVE DEV CORP 25384B108 13125 75000 X 75000 0 0 DIME CMNTY BANCSHARES 253922108 226900 10000 X 10000 0 0 DILGARD FROZEN FOODS INC 253990105 507100 200 X 200 0 0 DILLARD'S INC 254067101 223623 8506 X 1790 0 6716 DILLARD'S INC 254067101 22925 872 X 672 200 0 DISNEY WALT CO 254687106 14566985 770740 X 590577 450 179713 DISNEY WALT CO 254687106 15590950 824918 X 744846 38074 41998 DISPATCH PRINTING CO CAP VTC 254991102 17208000 956 X 956 0 0 DISPATCH PRINTING CO CAP VTC 254991102 24219000 1346 X 0 300 1046 DODGE & COX BALANCED FD COM 256201104 17742805 274784 X 274784 0 0 DODGE & COX STOCK FD COM 256219106 48850196 497963 X 491591 248 6124 DODGE & COX STOCK FD COM 256219106 631973 6442 X 6442 0 0 DOLLAR GEN CORP COM 256669102 985450 51784 X 25103 0 26681 DOLLAR GEN CORP COM 256669102 67728 3559 X 3559 0 0 DOMINION RES INC VA NEW 25746U109 34026204 513991 X 123836 2558 387597 DOMINION RES INC VA NEW 25746U109 10490509 158467 X 112633 34728 11106 DONNELLEY R R & SONS CO COM 257867101 998632 36248 X 27186 0 9062 DONNELLEY R R & SONS CO COM 257867101 3547283 128758 X 128658 100 0 DOVER CORP COM 260003108 1362935 38941 X 22681 0 16260 DOVER CORP COM 260003108 370580 10588 X 10588 0 0 DOW CHEM CO COM 260543103 80875798 2352408 X 2252121 900 99387 DOW CHEM CO COM 260543103 30311505 881661 X 822197 9400 50064 DOW JONES & CO INC COM 260561105 534888 11040 X 1872 0 9168 DOW JONES & CO INC COM 260561105 350826 7241 X 4941 2100 200 DREYFUS CASH MANAGEMENT INSTL. 26188J206 240038 240038 X 240038 0 0 DREYFUS STRATEGIC 261932107 116019 11684 X 11684 0 0 DREYFUS / LAUREL FDS INC 261978209 127712 127712 X 127712 0 0 DREYFUS/LAUREL FDS INC 261978381 271656 18696 X 18696 0 0 DREYFUS/LAUREL FDS INC 261978456 160263 13864 X 13864 0 0 DREYFUS 26200C502 2476467 76505 X 76505 0 0 DREYFUS INTERNATIONAL VALUE FUND 26200C601 183555 12453 X 12453 0 0 DREYFUS INTERNATIONAL VALUE FUND 26200C601 175587 11912 X 11912 0 0 DREYFUS MUN BD FD INC COM 26201Q104 471053 39886 X 39886 0 0 DREYFUS MUN BD FD INC COM 26201Q104 2392813 202609 X 141154 61455 0 DREYFUS PREMIER ST MUN BD FD 26202D672 16730 1333 X 1333 0 0 DREYFUS PREMIER ST MUN BD FD 26202D672 296268 23607 X 23607 0 0 DREYFUS PREMIER 26202D813 221159 14560 X 14560 0 0 DU PONT E I DE NEMOURS & CO COM 263534109 29347734 660985 X 579558 550 80877 DU PONT E I DE NEMOURS & CO COM 263534109 26555773 598103 X 504359 43385 50359 DUKE ENERGY CORP COM 264399106 24147160 776436 X 674870 1900 99666 DUKE ENERGY CORP COM 264399106 10075384 323967 X 237121 25300 61546 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 403236005 9869173 8504662 221648 1142863
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ DUKE REALTY CORP 264411505 2277960 78686 X 77386 0 1300 DUKE REALTY CORP 264411505 1401151 48399 X 39469 4900 4030 DUN & BRADSTREET CORP DEL NE 26483E100 192781 5833 X 5833 0 0 DUN & BRADSTREET CORP DEL NE 26483E100 779055 23572 X 19622 200 3750 DUPONT PHOTOMASKS INC 26613X101 5716480 176000 X 3900 0 172100 DUPREE MUT FDS 266155100 1198927 160284 X 160284 0 0 DUPREE MUT FDS 266155100 350154 46812 X 46812 0 0 DYCOM INDS INC COM 267475101 116900 10000 X 10000 0 0 DYNAMICS RESH CORP 268057106 4415993 182630 X 13785 0 168845 DYNEGY INC CL A 26816Q101 381629 53004 X 13625 0 39379 DYNEGY INC CL A 26816Q101 43200 6000 X 0 0 6000 E M C CORP MASS COM 268648102 9828311 1301763 X 1079708 3250 218805 E M C CORP MASS COM 268648102 7296916 966479 X 871504 25270 69705 EOG RES INC 26875P101 625474 15755 X 2789 0 12966 EOG RES INC 26875P101 47640 1200 X 1200 0 0 EPIQ SYS INC 26882D109 3900133 229150 X 8450 0 220700 EV CLASS C SR FLOATING-RATE 269261103 155376 17150 X 17150 0 0 EAST WEST BANCORP INC 27579R104 2561384 74200 X 3900 0 70300 EASTMAN CHEMICAL CO COM 277432100 616594 13147 X 3161 0 9986 EASTMAN CHEMICAL CO COM 277432100 48166 1027 X 759 100 168 EASTMAN KODAK CO COM 277461109 1628999 55845 X 32422 0 23423 EASTMAN KODAK CO COM 277461109 416139 14266 X 10600 2041 1625 EATON VANCE 277911848 247084 13757 X 13757 0 0 EATON CORP COM 278058102 3781254 51976 X 46417 0 5559 EATON CORP COM 278058102 4194329 57654 X 54224 0 3430 EATON VANCE NATIONAL MUNICIPAL FUND 27826L108 216253 22480 X 22480 0 0 EATON VANCE NATIONAL MUNICIPAL FUND 27826L108 81527 8475 X 8475 0 0 EATON VANCE PA MUNS FD CL B 27826L504 133783 13168 X 13168 0 0 EATON VANCE MUNS TR OHIO TAX FREE FD 27826L801 74940 7311 X 7311 0 0 EATON VANCE MUNS TR OHIO TAX FREE FD 27826L801 124994 12194 X 12194 0 0 EBAY INC COM 278642103 404042 6557 X 6457 0 100 EBAY INC COM 278642103 113011 1834 X 1770 0 64 ECOLAB INC COM 278865100 5669000 122626 X 103769 0 18857 ECOLAB INC COM 278865100 3657325 79112 X 72146 5235 1731 EDISON INTL COM 281020107 695300 40900 X 14762 0 26138 EDISON INTL COM 281020107 123097 7241 X 3269 0 3972 EDWARDS INDS INC COM 2817679A3 239830 414 X 414 0 0 EIMO PUB LTD CO 282567106 177760 14452 X 14452 0 0 EL PASO CORPORATION 28336L109 18097620 878099 X 798796 2575 76728 EL PASO CORPORATION 28336L109 6629887 321683 X 276702 31865 13116 EL PASO ELEC CO COM NEW 283677854 5561606 401560 X 33251 0 368309 EL PASO ENERGY PARTNERS L P 28368B102 95610 3000 X 3000 0 0 EL PASO ENERGY PARTNERS L P 28368B102 156163 4900 X 4900 0 0 ELAN PLC ADR 284131208 19473 3560 X 3560 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 94493250 5554155 3937633 75436 1541086
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ ELAN PLC ADR 284131208 64809 11848 X 4400 0 7448 ELCOR CORP COM 284443108 4650868 170050 X 6550 0 163500 ELECTRONIC DATA SYS CORP NEW COM 285661104 9517384 256188 X 209243 0 46945 ELECTRONIC DATA SYS CORP NEW COM 285661104 6868961 184898 X 179799 167 4932 GENERAL ELECTRIC 286275102 12892 12892 X 12892 0 0 ELFUN TRS UNIT CTF 286281100 799431 15242 X 14071 0 1170 ELFUN TRS UNIT CTF 286281100 469715 8955 X 8955 0 0 EMAGIN CORP 29076N107 3745 10700 X 10700 0 0 EMBRAER-EMPRESA BRASILEIRA D 29081M102 3554925 166118 X 739 0 165379 EMBRAER-EMPRESA BRASILEIRA D 29081M102 42158 1970 X 1970 0 0 EMERSON ELEC CO COM 291011104 25442025 475463 X 424213 6050 45200 EMERSON ELEC CO COM 291011104 39421941 736721 X 605188 87715 43818 EMMIS COMMUNICATIONS CORP COM 291525103 8446080 398588 X 30878 0 367710 ENCANA CORPORATION 292505104 245932 8037 X 8037 0 0 ENERGY EAST CORP 29266M109 77902 3447 X 3447 0 0 ENERGY EAST CORP 29266M109 288466 12764 X 12764 0 0 ENERGIZER HLDGS INC 29266R108 51413 1875 X 1875 0 0 ENERGIZER HLDGS INC 29266R108 684650 24969 X 4400 400 20169 ENGELHARD CORP COM 292845104 883556 31199 X 20786 0 10413 ENGELHARD CORP COM 292845104 157714 5569 X 5269 0 300 ENRON CORP COM 293561106 668 5964 X 5964 0 0 ENRON CORP COM 293561106 5048 45071 X 37146 4325 3600 ENTEGRIS INC 29362U104 8308495 569075 X 44945 0 524130 ENTERCOM COMMUNICATIONS CORP 293639100 3912975 85250 X 3500 0 81750 ENTERGY CORP NEW COM 29364G103 1138326 26822 X 9089 0 17733 ENTERGY CORP NEW COM 29364G103 73464 1731 X 1731 0 0 EQUIFAX INC COM 294429105 388638 14394 X 2772 0 11622 EQUIFAX INC COM 294429105 115128 4264 X 4264 0 0 EQUITABLE RESOURCES INC COM 294549100 13149214 383359 X 39431 0 343928 EQUITABLE RESOURCES INC COM 294549100 1197756 34920 X 25948 6274 2698 EQUITY INCOME FD UNIT 294700703 167870 1968 X 1968 0 0 EQUITY INCOME FD UNIT 294700703 257606 3020 X 1200 0 1820 EQUITY OFFICE PROPERTIES TR 294741103 1756576 58358 X 11839 0 46519 EQUITY OFFICE PROPERTIES TR 294741103 853756 28364 X 27141 723 500 EQUITY RESIDENTIAL 29476L107 1081690 37624 X 4769 0 32855 EQUITY RESIDENTIAL 29476L107 616803 21454 X 20500 954 0 ERICO HOLDINGS 2948209B3 678600 936 X 936 0 0 ERICSSON L M TEL CO 294821400 699160 485528 X 482328 0 3200 ERICSSON L M TEL CO 294821400 572761 397751 X 266991 113560 17200 EQUITY FOCUS TR 294933403 39630 58973 X 58973 0 0 EQUITY FOCUS TRS 294944749 24141 21946 X 21946 0 0 ERIE INDEMNITY COMPANY-CL A 29530P102 121587889 3001429 X 2946579 0 54850 ERIE INDEMNITY COMPANY-CL A 29530P102 72297387 1784680 X 0 0 1784680 ESAR CORP OHIO COM 296990252 215908 7711 X 7711 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 330824056 9618085 5593847 220168 3804069
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ EUROPACIFIC GROWTH FD A 298706102 1113616 42651 X 42651 0 0 EUROPACIFIC GROWTH FD A 298706102 1427530 54674 X 54674 0 0 EVERGREEN SELECT FIXED INCOM 299908806 122661 20410 X 20410 0 0 EVERGREEN HIGH YIELD BOND FUND 299923102 69195 21897 X 21897 0 0 EVERGREEN FDS 300237443 2536455 2536455 X 2536455 0 0 EVERGREEN FDS 300237658 283267 30167 X 30167 0 0 EVERGREEN/ KEYSTONE FDS 300250404 3794519 3794519 X 3794519 0 0 EVERGREEN MUN TR 300258696 112916 10247 X 10247 0 0 EVERGREEN MUNICIPAL BOND FUND 300258746 117169 16251 X 16251 0 0 EVERGREEN MUNICIPAL BOND FUND 300258746 80347 11144 X 5849 0 5295 EXCALIBUR HOLDINGS INC 3006499A0 1 100000 X 100000 0 0 EXELON CORP 30161N101 20236323 386928 X 67702 0 319226 EXELON CORP 30161N101 368297 7042 X 5442 600 1000 EXELIXIS INC 30161Q104 477914 63468 X 57706 725 5037 EXELIXIS INC 30161Q104 448231 59526 X 56825 106 2595 EXPRESS SCRIPTS INC CL A 302182100 40088 800 X 800 0 0 EXPRESS SCRIPTS INC CL A 302182100 230506 4600 X 4600 0 0 EXTR@CT INC 302258108 161 32250 X 32250 0 0 EXXON MOBIL CORP 30231G102 470655963 11501856 X 9353068 42102 2106686 EXXON MOBIL CORP 30231G102 480290132 11737295 X 8712012 1387069 1638214 FNB FINL CORP OHIO 30252M103 270530 3502 X 3502 0 0 F N B CORP COM 302520101 1218290 44366 X 44366 0 0 F N B CORP COM 302520101 477859 17402 X 8031 9371 0 FPIC INS GROUP INC 302563101 9208478 611859 X 58139 0 553720 FPL GROUP INC COM 302571104 9159933 152691 X 137701 0 14990 FPL GROUP INC COM 302571104 5430595 90525 X 76090 1028 13407 F S BANCORP 30262T106 111592 2368 X 2368 0 0 F S BANCORP 30262T106 155513 3300 X 3300 0 0 FRIENDS PROVIDENT PLC (GBP) 3055977S9 3109728 1409400 X 15000 0 1394400 HBOS PLC ORD (GBP) 3058750S6 3942648 364300 X 3500 0 360800 FAMILY DOLLAR STORES INC 307000109 8141904 230976 X 73220 0 157756 BANK OF IRELAND (EURO) 3070732S4 3090599 248754 X 3200 0 245554 FARMERS CAPITAL BANCORP COM 309562106 549900 15600 X 10100 0 5500 FARMERS CAPITAL BANCORP COM 309562106 18506 525 X 525 0 0 FARMERS NATL BANC CORP COM 309627107 1236962 104385 X 104385 0 0 FARMERS NATL BANC CORP COM 309627107 928187 78328 X 61223 17105 0 RYANAIR HOLDINGS PLC (EUR) 3111761S0 75768 12600 X 0 0 12600 RYANAIR HOLDINGS PLC (IRE) 3113864S2 2690945 447400 X 5600 0 441800 FASTLANE FOOTWEAR INC 31187C103 40 10000 X 10000 0 0 FREDDIE MAC 313400301 51157753 835911 X 522884 665 312362 FREDDIE MAC 313400301 3505169 57274 X 54359 1105 1810 BARCLAYS PLC (GBP) 3134865S7 5544211 658916 X 6600 0 652316 FANNIE MAE COM 313586109 42241788 572770 X 474810 250 97710 FANNIE MAE COM 313586109 34110481 462515 X 372681 65955 23879 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1168782670 36867847 26975109 1526081 8366657
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ FEDERAL SIGNAL CORP COM 313855108 216000 9000 X 9000 0 0 FEDERAL SIGNAL CORP COM 313855108 14400 600 X 600 0 0 FEDERATED 313900102 318702 10267 X 10267 0 0 FEDERATED 313900102 301069 9699 X 9699 0 0 FEDERATED SHORT TERM MUNI 313907107 2676500 258599 X 258599 0 0 FEDERATED SHORT TERM MUNI 313907107 1151909 111296 X 91038 20257 0 FEDERATED STK & BD FD INC NE 313911109 175153 10577 X 10577 0 0 FEDERATED GOVT INCOME SECS INC CL F 313912107 204566 23115 X 23115 0 0 FEDERATED GOVT INCOME SECS INC CL F 313912107 191496 21638 X 4387 17251 0 FEDERATED MUN SECS FD INC CL A 313913105 95262 9064 X 9064 0 0 FEDERATED MUN SECS FD INC CL A 313913105 68115 6481 X 6481 0 0 FEDERATED MUN SECS FD INC 313913204 150755 14344 X 14344 0 0 FEDERATED EQUITY INCOME FUND 313915100 4663461 323178 X 319290 3699 190 FEDERATED EQUITY INCOME FUND 313915100 775593 53749 X 25613 21572 6563 FEDERATED MUNICIPAL INCOME TR 313923609 22788 2017 X 2017 0 0 FEDERATED MUNICIPAL INCOME TR 313923609 116930 10348 X 10348 0 0 FEDERATED MUN SECS INCOME TR 313923807 247963 21581 X 21581 0 0 FEDERATED DEPT STORES INC DEL NEW 31410H101 1121565 28251 X 2673 0 25578 FEDERATED DEPT STORES INC DEL NEW 31410H101 37239 938 X 938 0 0 FEDERATED FIXED INCOME SECS 31417P882 50249 24876 X 24876 0 0 FEDERATED KAUFMANN FD 314172644 205336 51463 X 41414 0 10049 FEDERATED EQUITY FDS 314172701 702403 31913 X 31913 0 0 FEDERATED EQUITY FDS 314172701 19868 903 X 0 0 903 FEDERATED FD U S GOVT SECS INC CL A 314182106 36142 4563 X 2891 0 1673 FEDERATED FD U S GOVT SECS INC CL A 314182106 57872 7307 X 7307 0 0 FEDERATED 314184102 940824 82384 X 82031 0 353 FEDERATED 314184102 486430 42595 X 39597 0 2997 FEDERATED INCOME TRUST 314199100 8827773 839142 X 835630 3512 0 FEDERATED INCOME TRUST 314199100 8409019 799336 X 510071 225976 63290 FEDERATED 31420C209 10 1 X 1 0 0 FEDERATED 31420C209 278840 31977 X 31977 0 0 FEDERATED INCOME SECS TR 31420C407 374750 37854 X 37854 0 0 FEDERATED INCOME SECS TR 31420C407 184736 18660 X 18660 0 0 FEDERATED INDEX TR 31420E205 1670034 102771 X 102771 0 0 FEDERATED BD FD CL F 31420F400 32574 3828 X 3828 0 0 FEDERATED BD FD CL F 31420F400 432339 50804 X 50804 0 0 FEDERATED INVS INC PA 314211103 1744057 50450 X 750 0 49700 FEDERATED INVS INC PA 314211103 364714 10550 X 10050 500 0 FEDERATED U S GOVT SECURITIES FUND 31428M100 24475445 2281029 X 2271434 7119 2477 FEDERATED U S GOVT SECURITIES FUND 31428M100 4456227 415305 X 277242 104072 33992 FEDERATED U S GOVT SECURITIES FUND 31428P103 181356 16135 X 15454 0 681 FEDERATED U S GOVT SECURITIES FUND 31428P103 20000 1779 X 1779 0 0 FEDERATED TOTAL RETURN SERS 31428Q606 49745 25510 X 25510 0 0 FEDEX CORP 31428X106 2350294 44013 X 10525 0 33488 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 68900503 5899890 5264000 403958 231934
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ FEDEX CORP 31428X106 513388 9614 X 5552 3000 1062 FERRO CORP COM 315405100 5070929 168190 X 12840 0 155350 FERRO CORP COM 315405100 106972 3548 X 3548 0 0 FIDELITY ADVISOR FDS 315805101 5474014 134795 X 130429 559 3806 FIDELITY ADVISOR FDS 315805101 2037666 50176 X 25425 22474 2277 FIDELITY ADVISOR SER I 315805200 2874072 73281 X 73281 0 0 FIDELITY ADVISOR SER I 315805598 158085 15699 X 15699 0 0 FIDELITY ADVISOR SER II 315807206 451103 18124 X 18124 0 0 FIDELITY ADVISOR SER II 315807206 42338 1701 X 1701 0 0 FIDELITY ADVISOR SER II 315807305 499964 70616 X 70616 0 0 FIDELITY ADVISOR SER II 315807701 54823 7776 X 7776 0 0 FIDELITY ADVISOR SER II 315807701 28093 3985 X 3985 0 0 FIDELITY MASS TAX FREE FD 315902205 137792 11435 X 9008 0 2427 FIDELITY DIVERSIFIED INTERNATIONAL 315910802 218029 11079 X 11079 0 0 FIDELITY DIVERSIFIED INTERNATIONAL 315910802 476383 24206 X 24206 0 0 FIDELITY SPARTAN 500 INDEX FD 315912204 1764194 25876 X 25876 0 0 FIDELITY SPARTAN 500 INDEX FD 315912204 40865 599 X 0 0 599 FIDELITY FEDERAL BANCORP COM 315921106 250710 103173 X 103173 0 0 FIDELITY CAPITAL & INCOME FD 316062108 65376 11194 X 11194 0 0 FIDELITY CASH RESERVES FD #55 316067107 25317 25317 X 25317 0 0 FIDELITY CASH RESERVES FD #55 316067107 26982 26982 X 0 0 26982 FIDELITY ASSET MANAGER FUND 316069103 90186 6383 X 6383 0 0 FIDELITY ASSET MANAGER FUND 316069103 75754 5361 X 5361 0 0 FIDELITY CONGRESS STR FD INC 316070101 1394797 4123 X 4123 0 0 FIDELITY CONTRAFUND 316071109 1896104 44741 X 44741 0 0 FIDELITY CONTRAFUND 316071109 173615 4097 X 594 0 3503 FIDELITY SPARTAN MUNICIPAL INCOME 316089507 365779 28137 X 28137 0 0 FIDELITY SPARTAN MUNICIPAL INCOME 316089507 358798 27600 X 27600 0 0 FIDELITY MID CAP STOCK FUND 316128404 223519 12095 X 12095 0 0 FIDELITY MID CAP STOCK FUND 316128404 89420 4839 X 2078 0 2760 FIDELITY EQUITY INCOME FUND 316138106 20069369 444111 X 431442 1042 11627 FIDELITY EQUITY INCOME FUND 316138106 3511462 77704 X 58541 9732 9431 FIDELITY REAL ESTATE INVESTMENT FD 316138205 910450 44391 X 43895 0 496 FIDELITY REAL ESTATE INVESTMENT FD 316138205 82857 4040 X 4040 0 0 FIDELITY EXCHANGE FUND 316141100 7670207 36000 X 36000 0 0 FIDELITY EXCHANGE FUND 316141100 3512277 16485 X 16485 0 0 FIDELITY EQUITY INCOME II 316145101 642561 33855 X 33855 0 0 FIDELITY EQUITY INCOME II 316145101 14533 766 X 766 0 0 FIDELITY INDEPENDENCE 316145309 294329 20640 X 20640 0 0 FIDELITY FIXED INCOME TR 316146109 223783 30405 X 30405 0 0 FIDELITY FIXED INCOME TR 316146109 620 84 X 84 0 0 FIDELITY FUND 316153105 772839 30877 X 30877 0 0 FIDELITY FUND 316153105 250767 10019 X 10019 0 0 FIDELITY HEREFORD STR TR 31617H201 68614 68614 X 68614 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 63009735 1752733 1495604 36807 220320
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ FIDELITY SPARTAN U S TREAS 31617H300 143456 143456 X 143456 0 0 FIDELITY FDS 316176106 630429 630429 X 630429 0 0 FIDELITY MAGELLAN 316184100 14116960 159748 X 159748 0 0 FIDELITY MAGELLAN 316184100 1291635 14616 X 14616 0 0 FIDELITY NATIONAL SOLTNS INC 31620P109 1428600 59525 X 2175 0 57350 FIDELITY FUND #404 316203207 422361 40573 X 40573 0 0 FIDELITY NEW YORK MUN TR 316337104 695051 695051 X 105665 589386 0 FIDELITY PURITAN FUND 316345107 162662 9671 X 9671 0 0 FIDELITY PURITAN FUND 316345107 154136 9164 X 9164 0 0 FIDELITY LOW PRICE STOCK 316345305 72002 2462 X 1649 0 813 FIDELITY LOW PRICE STOCK 316345305 247867 8474 X 8474 0 0 FIDELITY SCH STR TR 31638R204 79194 7864 X 7864 0 0 FIDELITY SCH STR TR 31638R204 220151 21862 X 10891 0 10971 FIDELITY GROWTH & INCOME 316389204 2118705 63038 X 63038 0 0 FIDELITY GROWTH & INCOME 316389204 114455 3405 X 1079 0 2327 FIDELITY DIVIDEND GROWTH 316389402 123449 5114 X 5114 0 0 FIDELITY DIVIDEND GROWTH 316389402 242784 10057 X 8402 0 1655 FIDELITY SELECT BIOTECHNOLOGY 316390772 1038723 27220 X 27220 0 0 FIDELITY SELECT BIOTECHNOLOGY 316390772 355078 9305 X 9305 0 0 FIDELITY SELECT ELECTRONICS 316390863 23463 688 X 688 0 0 FIDELITY SELECT ELECTRONICS 316390863 241912 7092 X 7092 0 0 FIDELITY SPARTAN OHIO MUNI INCOME FD 316412105 489956 41451 X 41451 0 0 FIDELITY SPARTAN OHIO MUNI INCOME FD 316412105 424108 35881 X 35881 0 0 FIDELITY SPARTAN MICHIGAN 316412204 52363 4453 X 4453 0 0 FIDELITY SPARTAN MICHIGAN 316412204 90042 7657 X 7657 0 0 FIDELITY VALUE 316464106 104365 1974 X 1974 0 0 FIDELITY VALUE 316464106 100902 1909 X 0 1909 0 FIFTH THIRD BANCORP 316773100 104019322 1560680 X 1022613 750 537317 FIFTH THIRD BANCORP 316773100 74276493 1114426 X 1097946 720 15760 FILENET CORP COM 316869106 9379963 646894 X 53504 0 593390 FINISH LINE INC CL A 317923100 4771200 266250 X 10150 0 256100 FIRST BLANCHESTER BANCSHARES INC COM 319320982 205920 1584 X 1584 0 0 FIRST COMWLTH FINL CORP PA 319829107 641382 47545 X 38277 0 9268 FIRST COMWLTH FINL CORP PA 319829107 86066 6380 X 0 6380 0 FIRST FEDERAL CAPITAL CORP 319960100 7070497 319932 X 25366 0 294566 FIRST DATA CORP COM 319963104 81573797 2192844 X 1391172 1430 800242 FIRST DATA CORP COM 319963104 2956768 79483 X 78043 840 600 FIRST EASTERN EQUITIES INC 32007L307 11 11000 X 0 0 11000 FIRST FINL BANCORP COM 320209109 100746 5148 X 5148 0 0 FIRST FINL BANCORP COM 320209109 419542 21438 X 21438 0 0 FIRST FINL CORP IND COM 320218100 1062080 20655 X 20655 0 0 FIRST FINL CORP IND COM 320218100 32064689 623584 X 0 623584 0 FIRST FRANKLIN CORP COM 320272107 319640 24400 X 24400 0 0 FIRST INDUSTRIAL REALTY TR 32054K103 6413765 195244 X 18664 0 176580 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 350546690 9159626 5166689 1224999 2767939
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ FIRST INVESTORS INSURED TAX EXEMPT 32060M101 227175 21781 X 21781 0 0 FIRST MIDWEST BANCORP INC/IL 320867104 9011276 324380 X 28095 0 296285 FIRST HEALTH GROUP CORP 320960107 4947658 176450 X 0 0 176450 FIRST HEALTH GROUP CORP 320960107 815964 29100 X 29100 0 0 FIRST TENN NATL CORP COM 337162101 701503 18316 X 4087 0 14229 FIRST TENN NATL CORP COM 337162101 69783 1822 X 1400 0 422 FISERV INC COM 337738108 1311758 35733 X 14450 0 21283 FISERV INC COM 337738108 113801 3100 X 1250 0 1850 FIRSTMERIT CORP COM 337915102 2659153 96416 X 96416 0 0 FIRSTMERIT CORP COM 337915102 6425687 232984 X 223984 0 9000 FIRSTENERGY CORP 337932107 1784573 53462 X 29587 0 23875 FIRSTENERGY CORP 337932107 657085 19685 X 17654 0 2031 FIRSTMERIT GOVT MONEY MARKET 337944201 138767 138767 X 138767 0 0 FISHER SCIENTIFIC INTL INC 338032204 4488120 160290 X 12100 0 148190 FISHER SCIENTIFIC INTL INC 338032204 72800 2600 X 0 0 2600 FLEETBOSTON FINL CORP 339030108 38949238 1203995 X 586870 0 617125 FLEETBOSTON FINL CORP 339030108 6823747 210935 X 201018 0 9917 FLEETWOOD ENTERPRISES INC COM 339099103 4982194 572666 X 45207 0 527459 FLEET FDS 339099905 159876 159876 X 159876 0 0 FLUOR CORP 343412102 405976 10423 X 1428 0 8995 FLUOR CORP 343412102 83275 2138 X 1418 0 720 FLOWSERVE CORP 34354P105 2982712 100091 X 73581 0 26510 FOMENTO ECONOMICO MEXICANO S 344419106 6283358 160208 X 1000 0 159208 FOOT LOCKER INC 344849104 5101009 353011 X 30361 0 322650 FORD MONEY MARKET ACCOUNT 3453329A0 699826 699826 X 699826 0 0 FORD MTR CO DEL 345370860 7244149 452759 X 247655 458 204646 FORD MTR CO DEL 345370860 2459856 153741 X 122480 15505 15756 FOREIGN SECURITIES MANAGED BY 3454579A5 665056 1000 X 1000 0 0 FOREST CITY ENTERPRISES CL A 345550107 5195507 149511 X 15851 0 133660 FOREST CITY ENTERPRISES CL A 345550107 568163 16350 X 16350 0 0 FOREST LABS INC CL A COM 345838106 4373741 61776 X 41741 0 20035 FOREST LABS INC CL A COM 345838106 23718 335 X 35 0 300 FOREST OIL CORP 346091705 7256473 255240 X 19235 0 236005 FORTUNE BRANDS INC 349631101 25024328 446863 X 190392 0 256471 FORTUNE BRANDS INC 349631101 6099968 108928 X 84077 9566 15285 GCM VENTURES 2000, LLC 3515619A5 56000 56000 X 56000 0 0 FRANKLIN CUSTODIAN FDS INC 353496300 86842 42156 X 42156 0 0 FRANKLIN CUSTODIAN FDS INC 353496607 322225 46699 X 45699 1000 0 FRANKLIN CUSTODIAN FDS INC 353496607 112174 16257 X 5084 0 11173 FRANKLIN CUSTODIAN FDS INC 353496847 149030 72698 X 72698 0 0 FRANKLIN ELEC INC 353514102 621795 13210 X 13210 0 0 FRANKLIN ELEC INC 353514102 215204 4572 X 4572 0 0 FRANKLIN FED TAX FREE INCOME FD 353519101 676913 56931 X 56931 0 0 FRANKLIN FED TAX FREE INCOME FD 353519101 939485 79015 X 79015 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 161986941 6822096 3533437 26529 3262130
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ FRANKLIN GOLD & PRECIOUS METALS FD 353535107 197580 15998 X 15998 0 0 FRANKLIN 353538101 8841 5140 X 5140 0 0 FRANKLIN 353538101 20619 11988 X 0 0 11988 FRANKLIN HIGH INCOME TR 353538200 44071 25474 X 25474 0 0 FRANKLIN RES INC COM 354613101 10993530 257822 X 43277 0 214545 FRANKLIN RES INC COM 354613101 587835 13786 X 13286 500 0 FRANKLIN SMALL-MID CAP GROWTH A 354713109 2739308 108402 X 107669 0 733 FRANKLIN SMALL-MID CAP GROWTH A 354713109 14177 561 X 561 0 0 FRANKLIN SMALL-MID CAP GROWTH FUND 354713869 26354361 1037165 X 1018286 1665 17214 FRANKLIN SMALL-MID CAP GROWTH FUND 354713869 4919536 193606 X 170847 9385 13375 FRANKLIN TEMPLETON FD ALLOCA 35472P604 221929 21652 X 21652 0 0 FRANKLIN TAX FREE TR 354723108 133095 11018 X 11018 0 0 FRANKLIN TAX FREE TR 354723108 40890 3385 X 3385 0 0 FRANKLIN MICHIGAN INSURED 354723306 555722 45551 X 45551 0 0 FRANKLIN MICHIGAN INSURED 354723306 1163576 95375 X 84879 0 10496 FRANKLIN TAX FREE TR 354723504 548508 44486 X 44486 0 0 FRANKLIN TAX FREE TR 354723504 846352 68642 X 64837 3804 0 FRANKLIN TAX FREE TR 354723702 48832 4637 X 4637 0 0 FRANKLIN TAX FREE TR 354723702 268397 25489 X 25489 0 0 FRANKLIN PENNSYLVANIA TAX-FREE 354723801 72915 7107 X 7107 0 0 FRANKLIN PENNSYLVANIA TAX-FREE 354723801 510759 49782 X 49782 0 0 FRANKLIN TAX FREE TR 354723850 28124 2410 X 2410 0 0 FRANKLIN TAX FREE TR 354723850 205012 17567 X 17567 0 0 FRANKLIN BALANCE SHEET INVESTMENT FD 355148107 338225 8049 X 8049 0 0 FREEMARKETS INC 356602102 529239 37455 X 37455 0 0 FREEMARKETS INC 356602102 631498 44692 X 44692 0 0 FREEPORT-MCMORAN COPPER & GOLD 35671D857 277282 15534 X 3984 0 11550 FREEPORT-MCMORAN COPPER & GOLD 35671D857 57477 3220 X 3220 0 0 FRONTIER OIL CORP 35914P105 3659216 207910 X 15400 0 192510 FRONTIER OIL CORP 35914P105 8800 500 X 500 0 0 FULTON FINL CORP PA 360271100 21281087 1124199 X 613838 0 510361 FUNDAMENTAL INVESTORS FD A 360802102 370373 14513 X 14513 0 0 FUNDAMENTAL INVESTORS FD A 360802102 368413 14436 X 14436 0 0 FURNITURE BRANDS INTL INC COM 360921100 5124501 169405 X 13520 0 155885 FUSION INCORPORATED 3611209A8 1289861 902 X 902 0 0 GATX CORP COM 361448103 48160 1600 X 1600 0 0 GATX CORP COM 361448103 216720 7200 X 0 4200 3000 GCM-DOLL III, LLC 3615559A5 16901 17500 X 17500 0 0 GCM DOLL LLC 3615619A3 35000 35000 X 35000 0 0 GCM - COMPASS, LCC 3615619B1 71186 70000 X 70000 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 88925 10437 X 10437 0 0 GABELLI 362395105 690671 22446 X 22446 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 85696304 3940541 2779330 19554 1141657
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ GABELLI 362395105 27655 899 X 899 0 0 GABELLI 362398109 972827 45823 X 45823 0 0 GABELLI 362398109 20449 963 X 963 0 0 GABELLI VALUE FUND INC COM 36240H106 3164690 219313 X 218150 0 1163 GABELLI VALUE FUND INC COM 36240H106 517237 35845 X 35845 0 0 GABLES RESIDENTIAL TRUST 362418105 10183275 318925 X 27375 0 291550 GALLAHER GROUP PLC 363595109 1226201 32830 X 32830 0 0 GALLAHER GROUP PLC 363595109 2009953 53814 X 39548 3766 10500 GANNETT CO INC COM 364730101 25719398 338859 X 116910 0 221949 GANNETT CO INC COM 364730101 9680286 127540 X 111827 14323 1390 GAP INC COM 364760108 1259810 88719 X 19334 0 69385 GAP INC COM 364760108 192240 13538 X 8673 0 4865 GARTMORE TOTAL RETURN D FD #22 366648434 163220 9601 X 9601 0 0 GARTMORE TOTAL RETURN D FD #22 366648434 8330 490 X 490 0 0 GATEWAY INC 367626108 138013 31084 X 5093 0 25991 GATEWAY INC 367626108 888 200 X 200 0 0 GATEWAY TR INDEX PLUS FD 367829207 43990 2109 X 2109 0 0 GATEWAY TR INDEX PLUS FD 367829207 871821 41794 X 41794 0 0 GEMSTAR-TV GUIDE INTL INC 36866W106 21932 4069 X 1619 0 2450 GEMSTAR-TV GUIDE INTL INC 36866W106 32340 6000 X 800 0 5200 GENERAL DYNAMICS CORP COM 369550108 9139400 85937 X 32149 0 53788 GENERAL DYNAMICS CORP COM 369550108 685745 6448 X 5423 0 1025 GENERAL ELEC CO COM 369604103 385344242 13264862 X 11881309 53225 1330328 GENERAL ELEC CO COM 369604103 329093262 11328512 X 9318843 1084941 924728 GENERAL GROWTH PPTYS INC COM 370021107 11865660 232660 X 21125 0 211535 GENERAL GROWTH PPTYS INC COM 370021107 102000 2000 X 2000 0 0 GENERAL MILLS INC COM 370334104 14789373 335512 X 295907 0 39605 GENERAL MILLS INC COM 370334104 25205120 571804 X 558842 4350 8612 GENERAL MTRS CORP COM 370442105 9490956 177567 X 128468 0 49099 GENERAL MTRS CORP COM 370442105 4424431 82777 X 77205 2255 3317 GENERAL MTRS CORP 370442832 139287 13393 X 12645 0 748 GENERAL MTRS CORP 370442832 190778 18344 X 17852 0 492 GENESEE & WYOMING INC-CLA 371559105 3317922 147071 X 11249 0 135822 GENTEX CORP COM 371901109 675899 24605 X 23005 0 1600 GENTEX CORP COM 371901109 232946 8480 X 6180 2000 300 GENTA INC (NEW) 37245M207 2174882 262350 X 11600 0 250750 GENUINE PARTS CO COM 372460105 2330153 66824 X 44380 0 22444 GENUINE PARTS CO COM 372460105 850072 24378 X 24378 0 0 GENZYME CORP COM-GEN DIV 372917104 599134 31140 X 7318 0 23822 GENZYME CORP COM-GEN DIV 372917104 72439 3765 X 3665 0 100 GEORGIA GULF CORP COM PAR $.001 373200203 2130006 80560 X 6170 0 74390 GEORGIA GULF CORP COM PAR $.001 373200203 35430 1340 X 0 0 1340 GEORGIA PACIFIC CORP COM 373298108 1475513 60029 X 39719 0 20310 GEORGIA PACIFIC CORP COM 373298108 1293006 52604 X 47454 2500 2650 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 861912211 28255377 23296769 1167360 3791248
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ GIBRALTAR STL CORP 37476F103 3395070 153000 X 10830 0 142170 GILLETTE CO COM 375766102 8054662 237811 X 152545 0 85266 GILLETTE CO COM 375766102 9553711 282070 X 263004 8358 10708 GLAXO WELLCOME PLC 37733W105 10592682 245542 X 144912 0 100630 GLAXO WELLCOME PLC 37733W105 10978397 254483 X 232377 7085 15021 GLOBAL PAYMENTS INC 37940X102 2248446 75578 X 75578 0 0 GOLDMAN SACHS 2000 EXCHANGE PLACE 3809809A2 971662 9717 X 9717 0 0 GOLDEN WEST FINL CORP 381317106 1195534 17382 X 4737 0 12645 GOLDEN WEST FINL CORP 381317106 24692 359 X 359 0 0 GOLDMAN SACHS GROUP INC 38141G104 44228772 602983 X 293968 265 308750 GOLDMAN SACHS GROUP INC 38141G104 633891 8642 X 8292 350 0 GOLDMAN FINANCIAL SQUARE TREASURY 38141W323 3088694 3088694 X 3088694 0 0 GOLDMAN SACHS TR 38141W364 20091446 20091446 X 0 0 20091446 GOLDMAN SACHS RESEARCH SEL-B 38143M208 88126 16754 X 0 0 16754 GOLDMAN SACHS RESEARCH SEL-B 38143M208 13627 2591 X 2591 0 0 GOODRICH CORP COM 382388106 290439 10631 X 2471 0 8160 GOODRICH CORP COM 382388106 256671 9395 X 8395 1000 0 GOODYEAR TIRE & RUBBER CO COM 382550101 561562 30014 X 6946 0 23068 GOODYEAR TIRE & RUBBER CO COM 382550101 283064 15129 X 14403 726 0 GOVERNMENT SECS INCOME FD 383743499 180 10000 X 10000 0 0 GOVERNMENT SECS INCOME FD 383743523 719 34233 X 34233 0 0 GOVERNMENT SECS INCOME FD 383743523 2801 133401 X 9803 0 123598 GOVERNMENT SECS INCOME FD 383743580 836 39787 X 39787 0 0 GOVERNMENT SECS INCOME FD UNIT GNMA 383744240 903 20071 X 20071 0 0 GRAFTECH INTL LTD 384313102 12225942 993979 X 92909 0 901070 GRAFTECH INTL LTD 384313102 24600 2000 X 0 0 2000 GRAINGER W W INC COM 384802104 515830 10296 X 2792 0 7504 GRAINGER W W INC COM 384802104 10371 207 X 207 0 0 GREAT LAKES CHEM CORP COM 390568103 211231 7974 X 3948 0 4026 GREAT LAKES CHEM CORP COM 390568103 99788 3767 X 3567 0 200 GREAT LAKES REIT INC 390752103 1155882 60900 X 21930 0 38970 GREAT PLAINS ENERGY INC 391164100 55759 2740 X 2740 0 0 GREAT PLAINS ENERGY INC 391164100 221408 10880 X 6850 0 4030 GREATER BAY BANCORP 391648102 5267558 171247 X 13427 0 157820 GREENPOINT FINL CORP 395384100 108020 2200 X 2200 0 0 GREENPOINT FINL CORP 395384100 699675 14250 X 13800 450 0 GREIF BROS CORP CL A 397624107 600498 18000 X 18000 0 0 GREIF BROS CORP CL A 397624107 66722 2000 X 2000 0 0 GRIFFON CORP COM 398433102 199100 11000 X 11000 0 0 THE GROWTH FUND OF AMERICA A 399874106 22779156 1137820 X 1137820 0 0 THE GROWTH FUND OF AMERICA A 399874106 262058 13090 X 13090 0 0 NV UNION MINIERE SA (EURO) 4005001S3 2872590 66558 X 820 0 65738 GUIDANT CORP COM 401698105 4311886 142636 X 53329 0 89307 GUIDANT CORP COM 401698105 1388373 45927 X 38519 900 6508 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 169633034 28107184 5872661 19134 22215389
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ GYMBOREE CORP 403777105 2469483 154150 X 7050 0 147100 H & Q LIFE SCIENCES INVS 404053100 2908 200 X 200 0 0 H & Q LIFE SCIENCES INVS 404053100 151943 10450 X 0 1000 9450 HCA INC 404119109 6645060 139896 X 82071 0 57825 HCA INC 404119109 361143 7603 X 7603 0 0 HT INSIGHT FDS INC 404299778 236056 22269 X 22269 0 0 HT INSIGHT FDS INC 404299778 53559 5053 X 2568 2135 350 HAEMONETICS CORP COM 405024100 243820 8350 X 7550 0 800 HALLIBURTON CO COM 406216101 1349178 84641 X 50194 0 34447 HALLIBURTON CO COM 406216101 390705 24511 X 14774 9637 100 INTESABCI SPA ORD (ITL) 4076836S5 5274287 1728277 X 22300 0 1705977 HANCOCK JOHN INVT TR II 409905205 216842 5282 X 5282 0 0 HANCOCK JOHN INVT TR II 409905205 29533 719 X 0 719 0 HANCOCK JOHN FINL SVCS INC 41014S106 1508355 42851 X 9317 0 33534 HANCOCK JOHN FINL SVCS INC 41014S106 99510 2827 X 2512 315 0 HANOVER COMPRESSOR CO 410768105 1960875 145250 X 6100 0 139150 HANOVER COMPRESSOR CO 410768105 37800 2800 X 0 0 2800 HANSEN-DAYTON INC COM 411340904 7573011 722 X 0 722 0 HARBOR BOND FUND 411511108 5007055 430529 X 429575 0 954 HARBOR BOND FUND 411511108 204928 17621 X 17621 0 0 HARBOR 411511306 14055766 447209 X 439268 1755 6186 HARBOR 411511306 945454 30081 X 30081 0 0 HARBOR FD CAPITAL APPRECIATION 411511504 36147417 1520716 X 1502118 2180 16418 HARBOR FD CAPITAL APPRECIATION 411511504 2388073 100466 X 74228 19269 6968 HARBOR FD 411511603 473368 35943 X 35943 0 0 HARBOR FUNDS 411511801 107103 13125 X 13125 0 0 HARLAND JOHN H CO COM 412693103 3993120 141600 X 5350 0 136250 HARLEY DAVIDSON INC COM 412822108 56873914 1109302 X 1036638 2480 70184 HARLEY DAVIDSON INC COM 412822108 26065565 508398 X 470464 12559 25375 HARLEYSVILLE GROUP INC COM 412824104 1787995 64502 X 22352 0 42150 HARMAN INTL INDS INC NEW COM 413086109 4486675 91100 X 3150 0 87950 HARRAH'S ENTERTAINMENT INC 413619107 473569 10678 X 1675 0 9003 HARRAH'S ENTERTAINMENT INC 413619107 40891 922 X 922 0 0 HARRIS ASSOC INVT TR 413838608 214119 8341 X 726 0 7615 HARRIS ASSOC INVT TR 413838608 65031 2533 X 75 0 2458 HARRIS CORP COM 413875105 263392 7268 X 7268 0 0 HARRIS CORP COM 413875105 90600 2500 X 2500 0 0 HARRIS INSIGHT FDS TR 414548701 275335 13583 X 13583 0 0 HARSCO CORP COM 415864107 750038 20001 X 20001 0 0 HARTE-HANKS INC NEW COM 416196103 255848 12450 X 12450 0 0 HARTFORD FINL SVCS GROUP INC COM 416515104 2066285 34745 X 14875 0 19870 HARTFORD FINL SVCS GROUP INC COM 416515104 1174354 19747 X 16447 900 2400 HASBRO INC COM 418056107 233924 17251 X 3392 0 13859 HASBRO INC COM 418056107 3010 222 X 222 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 187046897 7046684 4413839 53671 2579173
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ HAVERTY FURNITURE INC 419596101 3245281 164318 X 13953 0 150365 HAWAIIAN ELEC INDS INC 419870100 14562227 342238 X 26613 0 315625 HAWAIIAN ELEC INDS INC 419870100 501452 11785 X 1300 0 10485 HEALTH CARE PPTY INVS INC 421915109 212527 4954 X 4954 0 0 HEALTH CARE PPTY INVS INC 421915109 87945 2050 X 1077 0 973 HEALTHSOUTH CORP COM 421924101 2688266 210185 X 7462 0 202723 HEALTHSOUTH CORP COM 421924101 9260 724 X 724 0 0 HEALTH MGMT ASSOC INC NEW CL A 421933102 1505004 74690 X 45921 0 28769 HEALTH MGMT ASSOC INC NEW CL A 421933102 269748 13387 X 11575 0 1812 HEALTH CARE REIT INC 42217K106 109318 3650 X 3650 0 0 HEALTH CARE REIT INC 42217K106 1072270 35802 X 35802 0 0 HEALTH NET INC 42222G108 10676063 398807 X 32687 0 366120 HEALTH NET INC 42222G108 227545 8500 X 8500 0 0 HEARST-ARGYLE TELEVISION INC 422317107 2664283 118150 X 4350 0 113800 HEARST-ARGYLE TELEVISION INC 422317107 24602 1091 X 0 0 1091 HEARTLAND VALUE FD INC 422359109 14123345 368852 X 366607 1221 1024 HEARTLAND VALUE FD INC 422359109 2047292 53468 X 27558 21259 4651 HEIGHTS BUILDING CO COM 4228199A2 216900 9 X 9 0 0 HEINZ H J CO COM 423074103 18503729 450212 X 414334 2800 33078 HEINZ H J CO COM 423074103 33345951 811337 X 606937 127654 76746 HELMERICH & PAYNE INC COM 423452101 1355824 37957 X 13507 0 24450 HELMERICH & PAYNE INC COM 423452101 28576 800 X 800 0 0 HERCULES INC COM 427056106 127032 10951 X 2246 0 8705 HERCULES INC COM 427056106 1404 121 X 121 0 0 HERITAGE PROPERTY INVESTMENT TRUST 42725M107 8216263 307610 X 23640 0 283970 HERSHEY FOODS CORP 427866108 2429625 38874 X 26594 0 12280 HERSHEY FOODS CORP 427866108 987625 15802 X 9652 4500 1650 HEWLETT PACKARD CO COM 428236103 11196663 732766 X 448110 1131 283525 HEWLETT PACKARD CO COM 428236103 10724771 701883 X 607689 54264 39930 HI / FN INC 428358105 1040795 158900 X 6300 0 152600 HI-VISION AMERICA INC 4284059A4 3068336 6666 X 6666 0 0 HIGHWOODS PROPERTIES INC COM 431284108 7344350 282475 X 25585 0 256890 HILLENBRAND INDS INC COM 431573104 29057288 517494 X 517494 0 0 HILLENBRAND INDS INC COM 431573104 410793 7316 X 2116 5000 200 HILLERICH & BRADSBY CO COM 431999101 1781250 18750 X 18750 0 0 BAYERISCHE VEREINSBANK AG ORD (EUR) 4325419S1 4532753 139500 X 1400 0 138100 HILTON HOTELS CORP COM 432848109 36893144 2654183 X 1504046 1200 1148937 HILTON HOTELS CORP COM 432848109 1037691 74654 X 70724 3930 0 HOME DEPOT INC COM 437076102 131347472 3576027 X 3198228 6975 370824 HOME DEPOT INC COM 437076102 102088836 2779440 X 2576866 97752 104822 HON INDUSTRIES INC COM 438092108 674620 24784 X 24784 0 0 HON INDUSTRIES INC COM 438092108 8166 300 X 0 0 300 HONEYWELL INTL INC 438516106 7051038 200143 X 104251 0 95892 HONEYWELL INTL INC 438516106 3430874 97385 X 76423 11062 9900 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 470928197 15458990 10880005 338748 4240237
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ HONG KONG & CHINA GAS LTD ADR 438550303 23287 15950 X 15950 0 0 HONG KONG & CHINA GAS LTD ADR 438550303 78755 53942 X 0 0 53942 HOUSEHOLD INTL CORP COM 441815107 9891692 199028 X 162306 0 36722 HOUSEHOLD INTL CORP COM 441815107 1348560 27134 X 24734 0 2400 HOVNANIAN ENTERPRISES INC CL A 442487203 240396 6700 X 6700 0 0 HUBBELL INC CL B 443510201 5842041 171070 X 159970 0 11100 HUBBELL INC CL B 443510201 6705967 196368 X 187358 4860 4150 HUGHS SUPPLY INC 444482103 3814255 84950 X 3200 0 81750 HUGHS SUPPLY INC 444482103 89800 2000 X 2000 0 0 HULMAN & COMPANY 444839906 18372052 45454 X 30087 15367 0 HUMANA INC COM 444859102 5316982 340178 X 320146 650 19382 HUMANA INC COM 444859102 515290 32968 X 26575 4775 1618 HUMAN GENOME SCIENCES INC 444903108 354671 26468 X 24383 300 1785 HUMAN GENOME SCIENCES INC 444903108 347918 25964 X 22968 0 2996 HUNTINGTON BANCSHARES INC COM 446150104 3831488 197296 X 177142 0 20154 HUNTINGTON BANCSHARES INC COM 446150104 4054042 208756 X 198921 8400 1435 HUTTON TEL TR 447900101 290410 113000 X 113000 0 0 HUTTON TEL TR 447900101 32382 12600 X 12600 0 0 HUTTON E F INVESTMENT TRUST GNMA 448903799 3075 23650 X 23650 0 0 HYPERION SOLUTIONS CORP 44914M104 9070537 497370 X 40890 0 456480 ICNB FINANCIAL CORPORATION 449286103 736283 29334 X 29334 0 0 ICON FDS 44929K887 88647 11053 X 11053 0 0 IDEC PHARMACEUTICALS CORP 449370105 2331724 65775 X 1625 0 64150 IDEC PHARMACEUTICALS CORP 449370105 81358 2295 X 45 0 2250 VINTAGE GOVT ASSET ACCOUNT 44968F724 823580 823580 X 823580 0 0 ING PRECIOUS METALS FD INC 44977T103 121590 24865 X 24865 0 0 I / NET INC 449775105 1300 10000 X 10000 0 0 ING EQUITY TR 44978A863 97321 10012 X 10012 0 0 ING INVT FDS INC 44980G601 145272 15405 X 15405 0 0 ING MAYFLOWER TR 44980J506 1708584 136142 X 136142 0 0 ING SER FD INC 44981M664 188477 14771 X 14771 0 0 IMS HEALTH INC 449934108 2543371 141692 X 47284 0 94408 IMS HEALTH INC 449934108 2687941 149746 X 143118 200 6428 ITT INDUSTRIES INC COM 450911102 704659 9981 X 2790 0 7191 ITT INDUSTRIES INC COM 450911102 384417 5445 X 5213 100 132 IDENTIX INC 451906101 4554991 624057 X 23941 0 600116 ILLINOIS TOOL WORKS INC COM 452308109 62481182 914805 X 850457 945 63403 ILLINOIS TOOL WORKS INC COM 452308109 15267304 223533 X 159712 36239 27582 IMAGISTICS INTERNATIONAL INC 45247T104 646311 30103 X 17863 0 12240 IMAGISTICS INTERNATIONAL INC 45247T104 970058 45182 X 43522 64 1596 IMMUNEX CORP NEW 452528102 1553501 69539 X 8391 0 61148 IMMUNEX CORP NEW 452528102 33510 1500 X 1300 0 200 IMPERIAL OIL LTD COMMON NEW 453038408 96689 3100 X 3100 0 0 IMPERIAL OIL LTD COMMON NEW 453038408 689299 22100 X 22100 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 169160969 5664861 3958203 71900 1634758
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ INCO LTD COM 453258402 387438 17113 X 2493 0 14620 INCO LTD COM 453258402 4958 219 X 219 0 0 THE INCOME FUND OF AMERICA A 453320103 836955 54525 X 54525 0 0 THE INCOME FUND OF AMERICA A 453320103 556789 36273 X 29746 6526 0 INDEPENDENT BK CORP MICH COM 453838104 2956478 93678 X 92099 0 1579 INDEPENDENT BK CORP MICH COM 453838104 150099 4756 X 4756 0 0 INDEVUS PHARMACEUTICALS INC 454072109 19720 17000 X 17000 0 0 INDYMAC BANCORP INC 456607100 7364173 324699 X 24019 0 300680 INDYMAC BANCORP INC 456607100 38556 1700 X 1000 700 0 INFORMATION RESOURCES INC COM 456905108 105063 11190 X 11190 0 0 INFORMATION RESOURCES INC COM 456905108 359599 38300 X 38300 0 0 INSIGHT ENTERPRISES INC 45765U103 5283603 209750 X 8100 0 201650 INSIGHT ENTERPRISES INC 45765U103 25492 1012 X 1012 0 0 T.ROWE PRICE INSTITUTIONAL 457759108 2928103 231471 X 231471 0 0 T.ROWE PRICE INSTITUTIONAL 457759108 101390 8015 X 3775 0 4240 INSURCOM FINL CORP 458075108 336 12000 X 12000 0 0 INSYNQ INC 45809X105 6 2000 X 2000 0 0 INSYNQ INC 45809X105 87 29000 X 29000 0 0 INTERGRATED SILICON SOLUTION COM 45812P107 1566798 175650 X 6700 0 168950 INTEGRA BK CORP 45814P105 311786 13919 X 13919 0 0 INTEL CORP COM 458140100 125441992 6866009 X 5853873 14025 998111 INTEL CORP COM 458140100 61729583 3378740 X 2871411 256908 250421 INTEGRATED DEFENSE TECHNOLOGY INC 45819B101 2532952 86067 X 5537 0 80530 INTERMEDIATE BOND FUND OF AMERICA 458809100 57804 4232 X 4232 0 0 INTERMEDIATE BOND FUND OF AMERICA 458809100 600186 43938 X 29292 0 14646 REST WTS INTER ALLIANCE SVCS 458875952 1 111111 X 111111 0 0 DANSKE BANK A/S ORD (DKK) 4588825S2 3597616 195380 X 1850 0 193530 INTERNATIONAL BUSINESS MACHS CORP 459200101 135220151 1878058 X 1604519 1790 271749 INTERNATIONAL BUSINESS MACHS CORP 459200101 77294890 1073540 X 871886 51991 149663 INTERNATIONAL FLAVORS & 459506101 317037 9758 X 2151 0 7607 INTERNATIONAL FLAVORS & 459506101 215116 6621 X 5221 1200 200 INTERNATIONAL GAME TECHNOLOGY COM 459902102 2840613 50099 X 2806 0 47293 INTERNATIONAL PAPER CO COM 460146103 3068599 70413 X 31246 0 39167 INTERNATIONAL PAPER CO COM 460146103 1381007 31689 X 20483 4000 7206 INTERNATIONAL RESEARCH AND 460263106 10550 42200 X 42200 0 0 INTERPUBLIC GROUP COS INC COM 460690100 9132231 368830 X 333694 0 35136 INTERPUBLIC GROUP COS INC COM 460690100 17750048 716884 X 694770 0 22114 INTERSTATE BAKERIES CORP NEW COM 46072H108 6966145 241210 X 15790 0 225420 SCUDDER GROWTH & INCOME FUND 460965882 174212 9525 X 9525 0 0 SCUDDER GROWTH & INCOME FUND 460965882 56992 3116 X 2527 0 589 INTRADO INC 46117A100 2482920 128250 X 5100 0 123150 INTUIT INC COM 461202103 1402502 28208 X 4150 0 24058 INTUIT INC COM 461202103 207830 4180 X 580 3600 0 INVACARE CORP COM 461203101 602878 16294 X 16294 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 476081284 16646622 13123572 340740 3182309
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ INVACARE CORP COM 461203101 353350 9550 X 8737 0 813 INVESCO CORE G/C FIXED FUND 4612629D1 544906 50229 X 50229 0 0 INVESCO INVESTOR CL FD#10 46127G105 85905 47200 X 47200 0 0 INVESCO DYNAMICS FUND 46127G204 2950357 245863 X 244025 0 1838 INVESCO DYNAMICS FUND 46127G204 46188 3849 X 3849 0 0 INVESCO CORE EQUITY INV 46128W109 126861 11575 X 11575 0 0 INVESCO CORE EQUITY INV 46128W109 67400 6150 X 6150 0 0 INVESCO BALANCED FUND 46128W208 7079568 535520 X 535520 0 0 THE INVESTMENT CO OF AMERICA A 461308108 3716475 142285 X 142285 0 0 THE INVESTMENT CO OF AMERICA A 461308108 548656 21005 X 21005 0 0 IONA TECHNOLOGIES PLC 46206P109 1099807 207550 X 7650 0 199900 IOSPAN WIRELESS INC 4622289A7 1 200000 X 200000 0 0 IRWIN FINL CORP COM 464119106 6930681 344810 X 72174 0 272636 ISHARES TR 464287408 848160 17100 X 17100 0 0 ISHARES TR 464287630 98528 725 X 725 0 0 ISHARES TR 464287630 638730 4700 X 4700 0 0 ISHARES TR 464287655 253367 2795 X 2795 0 0 ISHARES TR 464287655 573361 6325 X 6325 0 0 ISHARES TR 464287804 1289270 11260 X 260 0 11000 ISIS PHARMACEUTICALS COM 464330109 1807851 190100 X 10250 0 179850 ISIS PHARMACEUTICALS COM 464330109 10461 1100 X 1100 0 0 NORSK HYDRO AS ORD (NOK) 4645805S4 4931160 103362 X 1785 0 101577 ISOLYSER INC COM 464888106 6375 2500 X 2500 0 0 ISOLYSER INC COM 464888106 23078 9050 X 9050 0 0 ITRON INC COM 465741106 3057107 116550 X 4400 0 112150 JDS UNIPHASE CORP 46612J101 544205 203822 X 49282 0 154540 JDS UNIPHASE CORP 46612J101 114092 42731 X 16406 20000 6325 JHL PROPERTY MANAGEMENT CO 4661619A6 386342 107 X 0 0 107 JHL PROPERTY MANAGEMENT CO 4661619A6 1018119 443 X 0 0 443 J J CARTER & SON MOVING & STORAGE 46618C902 306000 120 X 0 0 120 JLG INDUSTRIES INC 466210101 98210 7000 X 7000 0 0 JLG INDUSTRIES INC 466210101 50508 3600 X 1245 2355 0 JPE INCORPORATED 466230109 2119 105958 X 105958 0 0 J P MORGAN CHASE & CO 46625H100 48148365 1419468 X 1150793 3685 264990 J P MORGAN CHASE & CO 46625H100 23787044 701269 X 603027 39466 58776 JABIL CIRCUIT INC 466313103 686729 32531 X 4315 0 28216 JABIL CIRCUIT INC 466313103 12666 600 X 0 0 600 JANUS ADVISOR SER 47102R405 254911 12778 X 12778 0 0 JANUS ADVISOR SER 47102R876 1717850 67420 X 67420 0 0 JANUS FUND INCORPORATED 471023101 9820321 476946 X 472105 0 4842 JANUS FUND INCORPORATED 471023101 986780 47925 X 32000 0 15925 JANUS INVT FD 471023200 247674 9276 X 9276 0 0 JANUS INVT FD 471023200 71596 2682 X 2682 0 0 JANUS WORLDWIDE FUND 471023309 7804190 205427 X 205427 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 133145324 5631256 4151103 65506 1414648
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ JANUS WORLDWIDE FUND 471023309 461724 12154 X 9953 378 1822 JANUS 471023408 2313766 72170 X 69699 0 2470 JANUS 471023408 121192 3780 X 3780 0 0 JANUS INVT FD 471023846 253935 14030 X 14030 0 0 JANUS INVT FD 471023846 493193 27248 X 5533 19723 1993 JEFFERSON-PILOT CORP COM 475070108 758768 16144 X 4074 0 12070 JEFFERSON-PILOT CORP COM 475070108 624912 13296 X 13296 0 0 INTERBREW ORD (BEL) 4755317S2 6123896 213300 X 3100 0 210200 COMPAGNIE DE SAINT-GOBAIN ORD (FRF) 4768371S8 833517 18569 X 220 0 18349 SAIPEM ORD (ITL) 4768768S9 1945547 270594 X 2500 0 268094 JOHN HANCOCK SER TR 478032105 44536 5595 X 5595 0 0 JOHN HANCOCK SER TR 478032105 227263 28551 X 28551 0 0 JOHNSON & JOHNSON 478160104 139342354 2666329 X 2216290 29270 420769 JOHNSON & JOHNSON 478160104 104349544 1996738 X 1222180 522751 251807 JOHNSON CTLS INC COM 478366107 55111641 675305 X 372192 705 302408 JOHNSON CTLS INC COM 478366107 3348785 41034 X 35949 2750 2335 JONES APPAREL GROUP INC COM 480074103 634088 16909 X 2825 0 14084 JONES APPAREL GROUP INC COM 480074103 22500 600 X 600 0 0 JOS A BANK CLOTHIERS INC 480838101 457948 25700 X 25700 0 0 VINCI SA ORD (FRF) 4818083S0 4108707 60600 X 600 0 60000 KLA-TENCOR CORP COM 482480100 880328 20012 X 5005 0 15007 KLA-TENCOR CORP COM 482480100 8886 202 X 202 0 0 K MART CORP COM 482584109 20085 19500 X 19000 0 500 K MART CORP COM 482584109 10506 10200 X 9200 0 1000 KT CORPORATION SPONSORED ADR 48268K101 2901403 134014 X 1380 0 132634 KADANT INC 48282T104 4792508 290455 X 21365 0 269090 KADANT INC 48282T104 53345 3233 X 797 0 2436 VIVENDI UNIVERSAL SA ORD (FRF) 4834777S8 883515 40886 X 550 0 40336 KB HOME 48666K109 331364 6433 X 784 0 5649 KEHL FARMS INC 4875279B1 256396 135 X 135 0 0 KELLOGG CO COM 487836108 3010483 83951 X 51340 0 32611 KELLOGG CO COM 487836108 2407389 67133 X 64133 0 3000 KENILWORTH SYS CORP 489084103 16600 200000 X 200000 0 0 KENT REALTY CORPORATION COMMON 4907159A9 200000 400 X 400 0 0 ALTRAN TECHNOLOGIES SA ORD (FRF) 4907732S6 1568479 53835 X 670 0 53165 KENTUCKY ELEC STL INC 49127B100 3024 6300 X 6300 0 0 KENTUCKY ELEC STL INC 49127B100 7920 16500 X 16500 0 0 KENTUCKY RIVER COAL CORP COM 491404109 2427565 602 X 602 0 0 KERR MCGEE CORP COM 492386107 513705 9593 X 1555 0 8038 KERR MCGEE CORP COM 492386107 81235 1517 X 802 715 0 KEY MAGIC FUND 4931179A5 16783598 1094257 X 1094257 0 0 KEY3MEDIA GROUP INC 49326R104 4600 10000 X 0 0 10000 KEYCORP NEW COM 493267108 9228492 338040 X 304066 0 33974 KEYCORP NEW COM 493267108 17350515 635550 X 567004 22700 45846 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 385319757 9221394 6402714 598992 2219687
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ KEYSPAN CORPORATION 49337W100 766328 20354 X 3839 0 16515 KEYSPAN CORPORATION 49337W100 48154 1279 X 1279 0 0 E.ON AG ORD (DEM) 4942904S5 2960109 50800 X 480 0 50320 KIMBERLY-CLARK CORP COM 494368103 40563934 654257 X 534555 1600 118102 KIMBERLY-CLARK CORP COM 494368103 20890776 336948 X 259459 41178 36311 KIMCO RLTY CORP COM 49446R109 173210 5172 X 5172 0 0 KIMCO RLTY CORP COM 49446R109 195883 5849 X 3824 1275 750 KINDER MORGAN INC KANS 49455P101 620068 16309 X 2440 0 13869 KINDER MORGAN ENERGY PARTNER 494550106 398279 12680 X 6680 0 6000 KINDER MORGAN ENERGY PARTNER 494550106 25128 800 X 800 0 0 KINETICO INCORPORATED 4946099A0 3836342 307399 X 0 0 307399 KINETICO INCORPORATED 4946129A4 2771201 215323 X 0 0 215323 KING PHARMACEUTICALS INC 495582108 3701666 166367 X 3740 0 162627 KING PHARMACEUTICALS INC 495582108 12482 561 X 337 224 0 KNIGHT RIDDER INC COM 499040103 11396531 181041 X 25195 0 155846 KNIGHT RIDDER INC COM 499040103 678538 10779 X 10779 0 0 KOHLS CORP COM 500255104 6892718 98355 X 70583 0 27772 KOHLS CORP COM 500255104 1387724 19802 X 18152 0 1650 KONINKLIJKE PHILIPS ELECTRS 500472303 6004904 217569 X 12416 0 205153 KONINKLIJKE PHILIPS ELECTRS 500472303 526994 19094 X 19094 0 0 KOS PHARMACEUTICALS INC 500648100 2652623 130350 X 5050 0 125300 KRAFT FOODS INC-A 50075N104 175184 4278 X 4278 0 0 KRAFT FOODS INC-A 50075N104 146601 3580 X 1400 0 2180 KRAFT/ROYSE GENERATIONS FUNERAL 5007549A6 264000 44 X 44 0 0 KROGER CO COM 501044101 10041062 504576 X 105660 0 398916 KROGER CO COM 501044101 595906 29945 X 20245 0 9700 KRUPP INSD PLUS LTD PARTNERSHIP 501124101 38125 12500 X 12500 0 0 KRUPP INSD PLUS LTD PARTNERSHIP 501124101 1525 500 X 500 0 0 KRUPP INSURED PLUS II 501125108 28643 15075 X 15075 0 0 KUCLICKE & SOFFA INDS 501242101 5269913 425336 X 33211 0 392125 LSI LOGIC CORP COM 502161102 316829 36209 X 6778 0 29431 LSI LOGIC CORP COM 502161102 148225 16940 X 8192 1000 7748 L-3 COMMUNICATIONS HLDGS INC 502424104 24258096 449224 X 312867 700 135657 L-3 COMMUNICATIONS HLDGS INC 502424104 4439880 82220 X 70540 9860 1820 LA-Z-BOY INC COM 505336107 1013844 40200 X 40200 0 0 LABORATORY CORP AMER HLDGS 50540R409 14262430 312430 X 74430 0 238000 LAFARGE NORTH AMERICA INC 505862102 5830014 165861 X 13611 0 152250 HENKEL KGAA-VORZUG ORD (DEM) 5076705S2 5628873 81888 X 900 0 80988 LAKELAND FINL CORP 511656100 640709 22216 X 22216 0 0 LAKELAND FINL CORP 511656100 57680 2000 X 2000 0 0 LAKESIDE DAIRY FARMS INC 511991101 1247000 12233 X 12233 0 0 LAMAR ADVERTISING CO 512815101 1652124 44400 X 0 0 44400 LANCASTER COLONY CORP COM 513847103 737377 20678 X 20678 0 0 LANLY CO CORP 515908903 1633368 538 X 0 0 538 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 184931000 4753959 1761432 55837 2936690
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ FRANCE TELECOM 6/02 OPTNL RTS (EUR) 5176177R1 0 104700 X 1060 0 103640 FRANCE TELECOM SA ORD (EUR) 5176177S9 975103 104700 X 1060 0 103640 LATELO INTL INC 517939104 37500 1250000 X 1250000 0 0 NUTRECO HLDG NV ORD (NLG) 5183359S5 3109271 91306 X 780 0 90526 LAUDER ESTEE COS INC 518439104 46406589 1318369 X 780716 600 537053 LAUDER ESTEE COS INC 518439104 834768 23715 X 22245 1320 150 LAWSON SOFTWARE INC 520780107 1892272 327950 X 0 0 327950 LAWSON SOFTWARE INC 520780107 5770 1000 X 1000 0 0 LEAR CORP COM 521865105 7417483 160378 X 11943 0 148435 LEE ENTERPRISES INC CL B 523768208 794999 21931 X 21931 0 0 LEGG MASON INVT TR INC 52465G103 401170 47086 X 47086 0 0 LEGG MASON VALUE TR FD 524659109 236180 5676 X 5676 0 0 LEGG MASON VALUE TR FD 524659109 154368 3710 X 1152 1483 1075 LEGG MASON VALUE TR INC 524659208 1194379 27010 X 26530 0 480 LEGG MASON VALUE TR INC 524659208 9490 215 X 215 0 0 LEGGETT & PLATT INC 524660107 752965 32178 X 10119 0 22059 LEGGETT & PLATT INC 524660107 23400 1000 X 1000 0 0 LEGG MASON INC COM 524901105 1756849 35607 X 10457 0 25150 LEGG MASON INC COM 524901105 320710 6500 X 6500 0 0 LEHMAN BROTHERS HLDGS INC COM 524908100 2272102 36342 X 12447 0 23895 LEHMAN BROTHERS HLDGS INC COM 524908100 788127 12606 X 6702 3760 2144 ABN AMRO HLDG NV ORD (NLG) 5250769S6 2589759 142589 X 1431 0 141158 AHOLD-KONINKLIJKE NV ORD (EUR) 5252602S3 7533307 358108 X 3716 0 354392 ALTANA AG ORD (DEM) 5273131S9 3071342 60977 X 0 0 60977 LEXICON GENETICS INC 528872104 411977 84266 X 78351 1000 4915 LEXICON GENETICS INC 528872104 368596 75393 X 71790 101 3502 LEXINGTON CORPORATE PPTYS TR 529043101 16500 1000 X 1000 0 0 LEXINGTON CORPORATE PPTYS TR 529043101 151800 9200 X 9200 0 0 HUNTER DOUGLAS NV RTS (NLG) 5291810R1 0 150644 X 1350 0 149294 HUNTER DOUGLAS NV ORD (NLG) 5291810S9 4641928 150644 X 1350 0 149294 MUENCHENER RUECKVER AG-REG ORD (DEM) 5294121S7 2270747 9600 X 95 0 9505 TELECOM ITALIA SPA ORD (ITL) 5297506S5 101321 12937 X 12937 0 0 LEXMARK INTERNATIONAL INC 529771107 69723446 1281681 X 603486 800 677395 LEXMARK INTERNATIONAL INC 529771107 1931363 35503 X 34783 670 50 LIBERTY ACORN TR 53015P403 743153 43056 X 39353 3703 0 LIBERTY ACORN TR 53015P403 633338 36694 X 36694 0 0 LIBERTY ELECTRONICS INC COM 530454107 78107 42220 X 42220 0 0 LIBERTY FDS TR V 530542406 120758 15057 X 15057 0 0 LIBERTY COLONIAL TAX EXEMPT FUND 530544105 145119 11019 X 11019 0 0 LIBERTY COLONIAL TAX EXEMPT FUND 530544105 279012 21185 X 21185 0 0 LIBERTY MEDIA CORP NEW 530718105 986840 98684 X 96136 0 2548 LIBERTY MEDIA CORP NEW 530718105 718620 71862 X 29982 12000 29880 LIBERTY PPTY TR SH BEN INT 531172104 42000 1200 X 500 0 700 LIBERTY PPTY TR SH BEN INT 531172104 462875 13225 X 13225 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 166405403 6338723 3343479 25437 2969807
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ LIBERTY TAX CR PLUS L P 531280105 0 10000 X 10000 0 0 LIGAND PHARMACEUTICAL INC CL A 53220K207 163850 11300 X 11300 0 0 LIGAND PHARMACEUTICAL INC CL A 53220K207 536500 37000 X 30000 0 7000 LILLY ELI & CO COM 532457108 1308392636 23198451 X 14433576 140 8764735 LILLY ELI & CO COM 532457108 38069532 674992 X 495504 77631 101857 LIMITED BRANDS INC COM 532716107 1717568 80637 X 39150 0 41487 LIMITED BRANDS INC COM 532716107 659895 30981 X 30981 0 0 THORNBURG LTD TERM MUNI FUND NAT'L A 532723103 1023164 74957 X 74957 0 0 LINCARE HLDGS INC COM 532791100 8398 260 X 260 0 0 LINCARE HLDGS INC COM 532791100 253555 7850 X 7850 0 0 LINCOLN ELEC HLDGS INC 533900106 45730 1700 X 1700 0 0 LINCOLN ELEC HLDGS INC 533900106 3618023 134499 X 64299 0 70200 LINCOLN NATL CORP IND COM 534187109 35493100 845074 X 819226 0 25848 LINCOLN NATL CORP IND COM 534187109 27113730 645565 X 598791 15632 31142 LINCOLN NATL INCOME FD COM 534217104 905125 69625 X 69625 0 0 LINCOLN NATL INCOME FD COM 534217104 2600 200 X 200 0 0 LINEAR TECHNOLOGY CORP COM 535678106 1671447 53180 X 15577 0 37603 LINEAR TECHNOLOGY CORP COM 535678106 184180 5860 X 5860 0 0 NORDEA AB ORD (SEK) 5380031S3 4481175 823656 X 9900 0 813756 LIZ CLAIBORNE INC COM 539320101 810073 25474 X 14833 0 10641 LIZ CLAIBORNE INC COM 539320101 126882 3990 X 3740 0 250 LOCKHEED MARTIN CORP COM 539830109 79168701 1139118 X 553845 815 584458 LOCKHEED MARTIN CORP COM 539830109 2712029 39022 X 30283 2580 6159 LOEWS CORP COM 540424108 1391941 26268 X 10905 0 15363 LOEWS CORP COM 540424108 500438 9444 X 9444 0 0 LONE STAR LIQUIDATING TRUST 54229R102 716 16645 X 16645 0 0 LONGLEAF PARTNERS FDS TR 543069405 593956 49087 X 49087 0 0 LONGLEAF PARTNERS FDS TR 543069405 19613 1621 X 1621 0 0 LONGVIEW FIBRE CO COM 543213102 236207 25075 X 25075 0 0 LONGVIEW FIBRE CO COM 543213102 103620 11000 X 11000 0 0 LOOMIS SAYLES FDS 543487854 122978 15052 X 0 0 15052 LORD ABBETT TAX FREE INCOME TRUST 543912208 91001 17636 X 0 17636 0 LORD ABBETT INVT TR 543916308 72696 27960 X 27960 0 0 LORD ABBETT AFFILIATED FD INC COM 544001100 866847 69348 X 67828 0 1520 LORD ABBETT AFFILIATED FD INC COM 544001100 133317 10665 X 10665 0 0 LOUISIANA PAC CORP COM 546347105 8083707 763334 X 62742 0 700592 LOUISIANA PAC CORP COM 546347105 76619 7235 X 7235 0 0 ALSTOM ORD (FRF) 5474978S9 1071497 101300 X 1000 0 100300 LOWES COS INC COM 548661107 68253951 1503391 X 923757 1100 578534 LOWES COS INC COM 548661107 2698020 59428 X 52703 3000 3725 LUBRIZOL CORP COM 549271104 586384 17504 X 15504 0 2000 LUBRIZOL CORP COM 549271104 3899266 116396 X 114396 0 2000 LUCENT TECHNOLOGIES INC COM 549463107 856808 516150 X 240071 0 276079 LUCENT TECHNOLOGIES INC COM 549463107 396154 238647 X 208644 7307 22696 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1597213629 31516577 19177739 125841 12212997
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ BANCO BILBAO VIZCAYA ORD (ESP) 5501906S6 4179536 369599 X 5000 0 364599 LUXOTTICA GROUP SPA 55068R202 591014 31106 X 31106 0 0 M & T BK CORP 55261F104 248704 2900 X 2900 0 0 M & T BK CORP 55261F104 29501 344 X 344 0 0 MAF BANCORP INC 55261R108 7852384 208840 X 18860 0 189980 MBIA INC 55262C100 1391373 24613 X 12707 0 11906 MBIA INC 55262C100 614538 10871 X 4521 6000 350 MBNA CORP COM 55262L100 34431194 1041161 X 954519 1750 84892 MBNA CORP COM 55262L100 5569583 168418 X 162208 1480 4730 MBSL GROUP INC 55265L107 794 39700 X 39700 0 0 MDU RES GROUP INC 552690109 12626561 480280 X 43295 0 436985 MDU RES GROUP INC 552690109 242657 9230 X 8900 0 330 MGIC INVT CORP WIS 552848103 917402 13531 X 4933 0 8598 MGIC INVT CORP WIS 552848103 89835 1325 X 1325 0 0 MFS 552981300 26875669 1915586 X 1825604 0 89982 MFS 552981300 54007 3849 X 3849 0 0 MFS SER TR V 552981607 295035 20954 X 20954 0 0 MFS NEW DISCOVERY FUND- I 552983520 3064717 218908 X 218908 0 0 MFS VALUE FD 552983801 838929 45128 X 45128 0 0 MFS HIGH INCOME FUND 552984106 50057 14221 X 14221 0 0 MFS SER TR III 552984601 75856 21550 X 21550 0 0 MFS 552987505 285055 26691 X 26691 0 0 MFS 552987505 155771 14585 X 14585 0 0 MFS SER TR VII 552988305 454812 42269 X 42269 0 0 MFS SER TR VII 552988883 1837390 169814 X 169814 0 0 MFS SER TR VII 552988883 48512 4484 X 4484 0 0 SWISSCOM AG REG ORD (CHF) 5533976S4 4829996 16600 X 160 0 16440 MPS GROUP INC 553409103 15445962 1817172 X 134662 0 1682510 MPW INDUSTRIAL SVCS GROUP 553444100 1314816 547840 X 547840 0 0 MRO SOFTWARE INC 55347W105 5848979 513970 X 28980 0 484990 MRO SOFTWARE INC 55347W105 2276 200 X 200 0 0 MSC REGENOS AG 5535329A2 99964 13950 X 13950 0 0 MTR GAMING GROUP INC 553769100 9071357 543195 X 98645 0 444550 MACK CALI RLTY CORP 554489104 129809 3693 X 3193 0 500 MACK CALI RLTY CORP 554489104 86996 2475 X 1775 200 500 MAGNA INTL INC 559222401 471623 6850 X 6271 409 170 MANAGERS FDS 561717208 19997302 312458 X 310243 0 2215 MANAGERS FDS 561717208 957477 14961 X 12230 2590 140 MANOR CARE INC COM 564055101 271768 11816 X 3604 0 8212 MANOR CARE INC COM 564055101 28750 1250 X 1250 0 0 CARREFOUR SUPERMARCHE ORD (FRF) 5641567S0 3268959 60400 X 600 0 59800 MANULIFE FINL CORP 56501R106 5874840 205414 X 195434 0 9980 MANULIFE FINL CORP 56501R106 1727669 60408 X 60408 0 0 GAS NATURAL SDG-E ORD (ESP) 5650422S6 3851736 200000 X 1900 0 198100 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 176101165 9232609 5119720 12429 4100459
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ ATOS ORIGIN ORD (FRF) 5654781S3 2592344 40695 X 780 0 39915 MARATHON OIL CORP 565849106 11068486 408130 X 48593 0 359537 MARATHON OIL CORP 565849106 403980 14896 X 9852 1630 3414 MARBANC FINANCIAL CORPORATION 566099016 421200 8100 X 8100 0 0 WOLTERS KLUSWER-CVA ORD (NLG) 5671519S6 3480092 183335 X 2100 0 181235 METSO OYJ ORD (FIM) 5713422S2 4630467 357900 X 4125 0 353775 MARSH & MCLENNAN COS INC 571748102 74492027 771139 X 637750 495 132894 MARSH & MCLENNAN COS INC 571748102 50253832 520226 X 499840 2972 17414 MARSHALL & ILSLEY CORP COM 571834100 899444 29080 X 3138 0 25942 MARSHALL & ILSLEY CORP COM 571834100 2455842 79400 X 79400 0 0 MARRIOTT INTL INC 571903202 33965523 892655 X 520522 0 372133 MARRIOTT INTL INC 571903202 624362 16409 X 15989 420 0 AGUAS DE BARCELONA ORD (ESP) 5729065S0 5408329 459404 X 4340 0 455064 TELEFONICA S A ORD (ESP) 5732524S9 2284253 272103 X 6629 0 265474 MASCO CORP 574599106 16828478 620748 X 402586 1375 216787 MASCO CORP 574599106 6278703 231601 X 213955 6325 11321 MASSACHUSETTS INVESTORS GROWTH STK 575719109 4745047 449768 X 449221 0 546 MASSACHUSETTS INVESTORS GROWTH STK 575719109 552223 52343 X 52343 0 0 MASSACHUSETTS INVS GROWTH ST 575719208 81621 8312 X 8312 0 0 MASSACHUSETTS INVS GROWTH ST 575719208 37150 3783 X 3783 0 0 MASSACHUSETTS INVS GROWTH ST 575719406 12233579 1149772 X 1137929 0 11843 MFS 575736103 169125 11680 X 10619 0 1061 MFS 575736103 107692 7437 X 2360 0 5077 MASSACHUSETTS INVS TR 575736202 162649 11511 X 11511 0 0 MASTERS SELECT FDS 576417109 287862 26004 X 26004 0 0 MASTERS SELECT FDS 576417208 98996 7656 X 7656 0 0 MASTERS SELECT FDS 576417208 404423 31278 X 31278 0 0 MATTEL INC 577081102 1150589 54582 X 19954 0 34628 MATTEL INC 577081102 171191 8121 X 4174 397 3550 MAXIM INTEGRATED PRODS INC 57772K101 11986174 312710 X 246035 700 65975 MAXIM INTEGRATED PRODS INC 57772K101 6896947 179936 X 163551 4605 11780 MAXTOR CORP 577729205 4150915 918344 X 71884 0 846460 MAXTOR CORP 577729205 15969 3533 X 165 0 3368 MAY DEPT STORES CO 577778103 21059723 639530 X 188727 0 450803 MAY DEPT STORES CO 577778103 4474989 135894 X 88155 5100 42639 MAHLON MAXTON COM 577991102 2654276 285 X 285 0 0 MAYTAG CORP 578592107 479301 11238 X 5080 0 6158 MAYTAG CORP 578592107 64743 1518 X 718 0 800 MCCORMICK & CO INC 579780206 310030 12040 X 12040 0 0 MCCORMICK & CO INC 579780206 20600 800 X 0 0 800 MCDONALD TAX EXEMPT MTG TRUST 580125102 17143 17143 X 0 0 17143 MCDONALDS CORP 580135101 24270893 853107 X 722344 0 130763 MCDONALDS CORP 580135101 32969148 1158845 X 1002065 85500 71280 MCGRAW-HILL COS INC 580645109 44556856 746346 X 482460 600 263286 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 390217216 11719337 7206352 110119 4402865
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ MCGRAW-HILL COS INC 580645109 7960995 133350 X 127603 1340 4407 MCKEE REALTY CO COMMON 5813339A1 327618 875 X 875 0 0 MCKESSON CORP 58155Q103 1113827 34062 X 11000 0 23062 MCKESSON CORP 58155Q103 108335 3313 X 3313 0 0 MEAD PROPERTIES INC NON-VOTING COM 582840997 299706 402 X 402 0 0 MEADWESTVACO CORP 583334107 14085803 419720 X 55121 0 364599 MEADWESTVACO CORP 583334107 1088955 32448 X 30258 2190 0 DEUTSCHE TELEKOM AG-REG ORD (DEM) 5842359S6 2374053 252500 X 2500 0 250000 MEDICAL STAFFING NETWK HLDGS 58463F104 3120075 127350 X 5250 0 122100 MEDIMMUNE INC COM 584699102 8617831 326433 X 276210 450 49773 MEDIMMUNE INC COM 584699102 2816194 106674 X 101888 2789 1997 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 106800068 2492417 X 2224822 3885 263710 MEDTRONIC INC 585055106 47555411 1109811 X 1007099 44551 58161 MELLON FINL CORP 58551A108 5449993 173401 X 107981 0 65420 MELLON FINL CORP 58551A108 2507643 79785 X 54586 6958 18241 MERCER COUNTY STATE BANCORP, INC. 588003103 720300 4200 X 4200 0 0 MERCK & CO INC 589331107 152915453 3019657 X 2600350 2825 416482 MERCK & CO INC 589331107 161197070 3183196 X 2753193 215187 214816 MERCURY GEN CORP NEW 589400100 5424725 111850 X 6150 0 105700 MERCURY INTERACTIVE CORP 589405109 243537 10607 X 1320 0 9287 MERCURY INTERACTIVE CORP 589405109 4868 212 X 212 0 0 MEREDITH CORP 589433101 347144 9052 X 5094 0 3958 MEREDITH CORP 589433101 2263 59 X 59 0 0 MERIDIAN MED TECHNOLOGIES IN 589658103 4689390 129900 X 4600 0 125300 MERIDIAN NATL CORP 589774405 1 500 X 500 0 0 MERIDIAN NATL CORP 589774405 21 20633 X 20633 0 0 MERRILL LYNCH & CO INC 590188108 7813868 192935 X 122766 0 70169 MERRILL LYNCH & CO INC 590188108 3855155 95189 X 34364 150 60675 MERRILL LYNCH 590193207 113296 11042 X 11042 0 0 METALS USA INC 591324108 4839 219944 X 219944 0 0 METLIFE INC 59156R108 3630908 126073 X 44700 0 81373 METLIFE INC 59156R108 197856 6870 X 3959 2911 0 METRO ONE TELECOMMUNICATIONS 59163F105 476734 34150 X 1450 0 32700 AEGON NV ORD (NLG) 5927375S5 6809584 326618 X 3258 0 323360 MICHAELS STORES INC 594087108 780000 20000 X 20000 0 0 MICROSOFT CORP 594918104 187263864 3423471 X 2786309 5370 631792 MICROSOFT CORP 594918104 82595414 1509971 X 1338539 63925 107507 MICROCHIP TECHNOLOGY INC 595017104 2355688 85880 X 180 0 85700 MICROCHIP TECHNOLOGY INC 595017104 27759 1012 X 1012 0 0 MICRON TECHNOLOGY INC 595112103 13951375 689979 X 133249 0 556730 MICRON TECHNOLOGY INC 595112103 86845 4295 X 2965 1330 0 MID STATE FINANCIAL 5954509A7 5356240 11644 X 11644 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 845090708 19291480 14890600 353861 4047019
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ MIDCAP SPDR TR 595635103 2362777 26385 X 1385 0 25000 MIDCAP SPDR TR 595635103 443093 4948 X 4948 0 0 METROCORP INCORPORATED 595990904 401615 1709 X 1709 0 0 SANDVIK AB ORD (SEK) 5963108S4 4267964 170908 X 1810 0 169098 ZURICH FINCL SVCS ORD (CHF) 5983816S5 2867369 14200 X 150 0 14050 MILLENNIUM PHARMACEUTICALS INC 599902103 447606 36840 X 240 0 36600 MILLENNIUM PHARMACEUTICALS INC 599902103 25515 2100 X 0 0 2100 MILLIPORE CORP 601073109 153888 4812 X 983 0 3829 MILLIPORE CORP 601073109 267065 8351 X 8351 0 0 MINE SAFETY APPLIANCES CO 602720104 240000 6000 X 0 0 6000 MINERALS TECHNOLOGIES INC 603158106 7383648 149709 X 11680 0 138029 MIRANT CORP 604675108 547891 75054 X 30066 0 44988 MIRANT CORP 604675108 140394 19232 X 11665 79 7488 CHINA MOBILE(HONG KONG)LTD ORD (HKD) 6073556S8 2223444 750745 X 26611 0 724134 MOCON INC 607494101 207480 22800 X 22800 0 0 MOLEX INC 608554101 844822 25196 X 3338 0 21858 MOLEX INC 608554101 446955 13330 X 13330 0 0 MOLEX INC 608554200 81604 2975 X 2975 0 0 MOLEX INC 608554200 288591 10521 X 9189 0 1332 FEDERATED MONEY MARKET MANAGEMENT 60934N211 13735 13735 X 13735 0 0 FEDERATED CA MUNI CASH TR FD #800 60934N369 1169000 1169000 X 1169000 0 0 MONEY MKT OBLIGS TR 60934N427 22501 22501 X 22501 0 0 FEDERATED TREASURY OBLIGATIONS FUND 60934N500 846452 846452 X 846452 0 0 FEDERATED U.S. TREASURY OBLIGATIONS 60934N799 1350001 1350001 X 1350001 0 0 HUANENG POWER INTL INC-H ORD (HKD) 6099671S3 4591742 5596000 X 65000 0 5531000 SEMBCORP INDS LTD ORD (SGD) 6128713S0 1785913 2320000 X 23300 0 2296700 NTT MOBILE COMMUNICATIONS ORD (JPY) 6129277S6 3396574 1380 X 55 0 1325 SHANDONG INTL POWER DEVE-H ORD (HKD) 6142780S9 2692 10000 X 10000 0 0 MONTREAL RIVER INTL SILVER MINES LTD 614990901 22500 75000 X 75000 0 0 MONY GROUP INC 615337102 181477 5336 X 5336 0 0 MONY GROUP INC 615337102 41526 1221 X 1221 0 0 MOODYS CORP 615369105 1840004 36985 X 19471 0 17514 MOODYS CORP 615369105 3175941 63838 X 55938 400 7500 MOORE LTD 615785102 8109013 706360 X 53440 0 652920 HSBC HLDGS PLC $.5 ORD (HKD) 6158163S2 6210380 541220 X 18763 0 522457 MSDW DIVIDEND GROWTH SECS IN 616938205 100484 2359 X 2359 0 0 MSDW DIVIDEND GROWTH SECS IN 616938205 657512 15438 X 15438 0 0 MORGAN STANLEY DEAN WITTER 616969200 48758 5358 X 5358 0 0 MORGAN STANLEY DEAN WITTER 616969200 266730 29311 X 29311 0 0 MSDW TAX EXEMPT SECURITIES TRUST 616977401 273030 23396 X 23396 0 0 CANON INC (JPY) 6172323S0 4886936 129300 X 1850 0 127450 MORGAN STANLEY DEAN WITTER INSTL FD 61744J408 20216310 1211283 X 1203762 0 7521 MORGAN STANLEY 617446448 39198750 909906 X 505994 800 403112 MORGAN STANLEY 617446448 10816481 251079 X 226416 11072 13591 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 132866163 16682274 5894327 12351 10775596
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ 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 2632711 375100 X 4500 0 370600 CHINA RARE EARTH HLDGS LTD ORD (HKD) 6181006S5 2723 12000 X 12000 0 0 MOTOROLA INC 620076109 55114775 3777572 X 1954250 525 1822797 MOTOROLA INC 620076109 5579420 382414 X 370770 4440 7204 CARRY WEALTH HLDGS LTD ORD (HKD) 6220556S5 6154 32000 X 32000 0 0 MOVIE GALLERY INC 624581104 3590400 170000 X 6500 0 163500 MULTI-COLOR CORP 625383104 157353 10500 X 10500 0 0 MUNICIPAL INVT TR FD 626229702 10251 10251 X 10251 0 0 MUNIYIELD MICHIGAN INSURED FUND II 626300107 85375 6250 X 6250 0 0 MUNIYIELD MICHIGAN INSURED FUND II 626300107 133595 9780 X 9780 0 0 MURPHY OIL CORP 626717102 26813 325 X 325 0 0 MURPHY OIL CORP 626717102 492113 5965 X 4800 200 965 JP MORGAN TAX-FREE MONEY MARKET 628269920 16369682 16369682 X 0 0 16369682 FRANKLIN MUTUAL SHARES FUND 628380107 131029 7094 X 7094 0 0 FRANKLIN MUTUAL SHARES FUND 628380107 57115 3092 X 3092 0 0 MUTUAL SER FD INC 628380206 378054 24003 X 24003 0 0 MUTUAL SER FD INC 628380206 58488 3714 X 3714 0 0 FRANKLIN MUTUAL BEACON FUND 628380305 1523362 121577 X 121577 0 0 FRANKLIN MUTUAL BEACON FUND 628380305 81381 6495 X 6495 0 0 FRANKLIN MUTUAL DISCOVERY FUND 628380404 212123 11655 X 11655 0 0 FRANKLIN MUTUAL DISCOVERY FUND 628380404 15261 839 X 839 0 0 MYERS INDS INC 628464109 3566028 208053 X 208053 0 0 MYKOLIS CORP 62852P103 8231157 696965 X 52910 0 644055 MYKOLIS CORP 62852P103 35147 2976 X 2976 0 0 MYLAN LABS INC 628530107 243370 7763 X 7463 0 300 MYLAN LABS INC 628530107 362563 11565 X 5950 0 5615 NBTY INC 628782104 3242286 209450 X 7950 0 201500 NCR CORP NEW 62886E108 474677 13719 X 2813 0 10906 NCR CORP NEW 62886E108 77746 2247 X 1746 15 486 NVR INC 62944T105 1841100 5700 X 5700 0 0 N-VIRO INTERNATIONAL CORPORATION 62944W9A8 23421 10128 X 10128 0 0 NABORS INDS INC 629568106 6586839 186596 X 179876 1300 5420 NABORS INDS INC 629568106 2796360 79217 X 68817 2950 7450 NACCO INDS INC 629579103 2538970 43700 X 1700 0 42000 NACCO INDS INC 629579103 5565399 95790 X 63790 0 32000 NACCO INDUSTRIES INC CL B 629579202 992250 21000 X 0 0 21000 NASDAQ 100 TR 631100104 383279 14685 X 13985 0 700 NASDAQ 100 TR 631100104 647228 24798 X 22998 1000 800 FAST RETAILING CO LTD ORD (JPY) 6332439S1 2169269 100000 X 900 0 99100 NATIONAL CITY CORP 635405103 797238028 23977084 X 17488863 25188 6463033 NATIONAL CITY CORP 635405103 444973046 13382648 X 9186469 861950 3334229 FUJI PHOTO FILM CO LTD (JPY) 6356525S5 3261162 101000 X 1000 0 100000 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1372266345 60560521 29952446 897568 29710507
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ NATIONAL FRUIT & VEGETABLE 636156101 1 30000 X 30000 0 0 NATIONAL FUEL GAS CO N J 636180101 824384 36623 X 36623 0 0 NATIONAL FUEL GAS CO N J 636180101 1051487 46712 X 42912 3800 0 NATIONAL INST COS AMER 636500100 900 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 82560 3200 X 3200 0 0 NATIONAL PROCESSING INC 637229105 294249 11405 X 11405 0 0 NATIONAL SEMICONDUCTOR CORP COM 637640103 4197067 143883 X 2781 0 141102 NATIONAL SEMICONDUCTOR CORP COM 637640103 23103 792 X 792 0 0 MIDAMERICA NATIONAL BANCSHARES 637995101 1423800 40680 X 40680 0 0 NATIONS FD TR 638582106 190813 17783 X 17783 0 0 NATIONWIDE FINL SVCS INC 638612101 234038 5925 X 5925 0 0 NATIONWIDE FINL SVCS INC 638612101 186638 4725 X 4725 0 0 NAUTICA ENTERPRISES INC 639089101 109584 8436 X 8436 0 0 NAUTICA ENTERPRISES INC 639089101 77940 6000 X 0 0 6000 NAUTILUS GROUP INC 63910B102 238680 7800 X 7800 0 0 NAVIGATOR MONEY MKT FD 639341106 51149 51149 X 51149 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 136040 10000 X 10000 0 0 NESTLE S A 641069406 6353696 108994 X 108914 0 80 NESTLE S A 641069406 17824382 305767 X 302717 0 3050 NETSCOUT SYSTEMS INC 64115T104 14322 2100 X 1993 0 107 NETSCOUT SYSTEMS INC 64115T104 69946 10256 X 10256 0 0 NETWORK APPLIANCE INC 64120L104 433920 34881 X 7996 0 26885 NETWORK APPLIANCE INC 64120L104 10201 820 X 720 0 100 NEUBERGER BERMAN FDS 641224506 131389 4679 X 4679 0 0 NEUBERGER BERMAN FDS 641224506 238094 8479 X 8479 0 0 ALUMINUM CORP OF CHINA LTD (HKD) 6425395S5 528013 2860000 X 30100 0 2829900 HONDA MOTOR CO LTD ORD (JPY) 6435145S7 4079193 100600 X 900 0 99700 NEW CENTY EQUITY HLDGS CORP 64353J107 4925 10944 X 10944 0 0 NEW CENTY EQUITY HLDGS CORP 64353J107 7020 15600 X 15600 0 0 THE NEW ECONOMY FUND A 643822109 168206 10972 X 10972 0 0 THE NEW ECONOMY FUND A 643822109 23610 1540 X 0 0 1540 HUTCHISON WHAMPOA ORD (HKD) 6448068S3 158700 21250 X 3200 0 18050 JOHN FAIRFAX HLDGS LTD ORD (AUD) 6467074S5 3762531 2024880 X 22500 0 2002380 NEW PERSPECTIVE FUND A 648018109 797475 39499 X 39499 0 0 NEW PERSPECTIVE FUND A 648018109 364763 18066 X 18066 0 0 KANSAI ELECTRIC POWER ORD (JPY) 6483489S1 3837240 242700 X 2950 0 239750 NEW YORK TIMES CO 650111107 35291920 685280 X 389443 0 295837 NEW YORK TIMES CO 650111107 760192 14761 X 14201 360 200 NEWELL RUBBERMAID INC 651229106 3616860 103162 X 73587 7883 21692 NEWELL RUBBERMAID INC 651229106 3012355 85920 X 67700 8413 9807 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 91854980 7563896 1845790 20456 5697650
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ NEWFIELD EXPL CO 651290108 6781295 182440 X 14430 0 168010 NEWMONT MINING CORPORATION 651639106 988323 37536 X 6109 0 31427 NEWMONT MINING CORPORATION 651639106 628313 23863 X 9284 14000 579 NEXTEL COMMUNICATIONS INC 65332V103 262305 81715 X 17268 0 64447 NEXTEL COMMUNICATIONS INC 65332V103 18098 5638 X 838 600 4200 NICHOLAS FD INC COM 653735100 456461 9656 X 8867 0 789 NICHOLAS FD INC COM 653735100 37310 789 X 0 0 789 NICHOLAS LIMITED EDITION 653738104 153744 11021 X 11021 0 0 NICOR INC 654086107 202764 4432 X 878 0 3554 NICOR INC 654086107 168635 3686 X 3686 0 0 NIKE INC 654106103 1454988 27120 X 5617 0 21503 NIKE INC 654106103 194267 3621 X 3221 400 0 NISOURCE INC 65473P105 1992926 91293 X 68018 0 23275 NISOURCE INC 65473P105 1429385 65478 X 58438 3600 3440 NOKIA CORP 654902204 2738255 189106 X 58897 0 130209 NOKIA CORP 654902204 879761 60757 X 53557 900 6300 100% OWNERSHIP OF 50% OF NORAG 655416907 616000 1 X 1 0 0 NORDSON CORP 655663102 3970556 161012 X 12787 0 148225 NORDSON CORP 655663102 151215 6132 X 6132 0 0 NORDSTROM INC 655664100 694743 30673 X 19890 0 10783 NORDSTROM INC 655664100 1109986 49006 X 48606 0 400 NORFOLK SOUTHN CORP 655844108 5972538 255455 X 195208 0 60247 NORFOLK SOUTHN CORP 655844108 3994590 170855 X 136455 17000 17400 EDWARD A NORMAN INVESTMENT CO COM 656139904 300150 690 X 690 0 0 NORTEL NETWORKS CORPORATION 656568102 879679 606675 X 78804 0 527871 NORTEL NETWORKS CORPORATION 656568102 177877 122674 X 115504 4000 3170 MEITEC CORP ORD (JPY) 6576356S2 4001099 121100 X 1200 0 119900 NORTH FORK BANCORPORATION INC N Y 659424105 51827086 1301861 X 754585 700 546576 NORTH FORK BANCORPORATION INC N Y 659424105 1482047 37228 X 35978 950 300 NORTH PITTSBURGH SYSTEMS INC COM 661562108 215606 13400 X 0 0 13400 NORTH PITTSBURGH SYSTEMS INC COM 661562108 2539774 157848 X 16360 21608 119880 NORTH TRACK FDS INC 663038107 23185 2551 X 2551 0 0 NORTH TRACK FDS INC 663038107 188875 20778 X 20778 0 0 NEC CORP ORD (JPY) 6640400S2 2214488 318249 X 10335 0 307914 NISSAN MOTOR CO LTD ORD (JPY) 6642860S1 2444514 353000 X 4000 0 349000 NIPPON FIRE & MARINE INS ORD (JPY) 6643380S0 3990832 1007000 X 10600 0 996400 NORTHERN FDS 665162103 1049880 76971 X 76971 0 0 NORTHERN FDS 665162863 396251 36861 X 36861 0 0 NORTHERN FDS 665162871 268454 25494 X 25494 0 0 NORTHERN INST DIVS ASSETS PT 665278107 732441 732441 X 732441 0 0 NORTHERN TR CORP 665859104 9072042 205902 X 186097 0 19805 NORTHERN TR CORP 665859104 12354116 280393 X 262933 1500 15960 NORTHERN TRUST 66586G9A7 94781 94781 X 94781 0 0 ORIX CORP ORD (JPY) 6661144S9 4614902 57200 X 520 0 56680 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 133764537 7044382 3206691 65258 3772433
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ NORTHPOINT COMMUNICATIONS GROUP INC 666610100 2341 14185 X 12987 0 1198 NORTHPOINT COMMUNICATIONS GROUP INC 666610100 10105 61240 X 61240 0 0 NORTHROP GRUMMAN CORP 666807102 23510625 188085 X 138052 460 49573 NORTHROP GRUMMAN CORP 666807102 10134875 81079 X 73185 4895 2999 NORTHWEST BANCORP INC PA 667328108 255614 19350 X 19350 0 0 NOVELL INC 670006105 117248 36526 X 7032 0 29494 NOVELL INC 670006105 11180 3483 X 483 0 3000 NOVELLUS SYS INC 670008101 717094 21091 X 5001 0 16090 NOVELLUS SYS INC 670008101 17000 500 X 500 0 0 NSTAR 67019E107 339701 7586 X 7586 0 0 NSTAR 67019E107 50378 1125 X 1125 0 0 PROMISE CO LTD ORD (JPY) 6703295S6 3678746 73000 X 770 0 72230 NUCOR CORP 670346105 686692 10558 X 4318 0 6240 NUCOR CORP 670346105 581458 8940 X 5850 3000 90 NURESCELL INC 67057R101 320 40000 X 40000 0 0 NUVEEN PA PREMIUM INCOME MUNICIPAL 67061F101 110422 7466 X 7466 0 0 NUVEEN PA PREMIUM INCOME MUNICIPAL 67061F101 56054 3790 X 0 3790 0 NUVEEN INVT QUALITY MUNICIPAL 67062E103 227 15 X 15 0 0 NUVEEN INVT QUALITY MUNICIPAL 67062E103 219041 14506 X 14506 0 0 NUVEEN SELECT TAX-FREE INCOME 67062F100 184320 12800 X 12800 0 0 NUVEEN SELECT TAX-FREE INCOME 67062F100 110520 7675 X 3000 0 4675 NUVEEN MUN ADVANTAGE FD INC COM 67062H106 30220 2000 X 2000 0 0 NUVEEN MUN ADVANTAGE FD INC COM 67062H106 140840 9321 X 9321 0 0 NUVEEN PERFORMANCE PLUS MUN FD 67062P108 101844 6900 X 6900 0 0 NUVEEN PERFORMANCE PLUS MUN FD 67062P108 108486 7350 X 7350 0 0 NUVEEN PREMIUM INCOME MUN FD 67062T100 120449 8307 X 8307 0 0 NUVEEN PREMIUM INCOME MUN FD 67062T100 431114 29732 X 23066 0 6666 NUVEEN MUN MKT OPPORTUNITY FD 67062W103 157063 10743 X 10743 0 0 NUVEEN MUN MKT OPPORTUNITY FD 67062W103 38012 2600 X 2600 0 0 NUVEEN PREM INCOME MUN FD 2 INC COM 67063W102 151572 10304 X 10304 0 0 NUVEEN PREM INCOME MUN FD 2 INC COM 67063W102 46572 3166 X 3166 0 0 NUVEEN FLAGSHIP MULTISTATE I 67065N886 238062 22395 X 22395 0 0 NUVEEN 67065Q400 502367 53902 X 53902 0 0 NUVEEN 67065Q400 568907 61042 X 61042 0 0 NUVEEN FLAGSHIP MUN TR 67065Q806 15159 1402 X 1402 0 0 NUVEEN FLAGSHIP MUN TR 67065Q806 203628 18837 X 9292 0 9545 NUVEEN FLAGSHIP MUN TR 67065Q830 337918 31405 X 31405 0 0 NUVEEN FLAGSHIP 67065Q848 15878 1473 X 1473 0 0 NUVEEN FLAGSHIP 67065Q848 785129 72832 X 72832 0 0 NUVEEN FLAGSHIP 67065R507 702104 64002 X 60564 0 3438 NUVEEN FLAGSHIP 67065R507 134130 12227 X 12227 0 0 NUVEEN FLAGSHIP MULTISTATE TR IV 67065R747 255077 22754 X 22754 0 0 NUVEEN FLAGSHIP MULTISTATE TR IV 67065R747 33354 2975 X 2975 0 0 NUVEEN FLAGSHIP MULTISTATE TR IV 67065R762 55218 4921 X 4921 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 45967064 1073590 856207 12145 205238
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ NUVEEN FLAGSHIP MULTISTATE TR IV 67065R762 464264 41378 X 41378 0 0 NVIDIA CORP 67066G104 315030 18337 X 2106 0 16231 NVIDIA CORP 67066G104 3436 200 X 200 0 0 OGE ENERGY CORP 670837103 176571 7724 X 7724 0 0 OGE ENERGY CORP 670837103 196870 8612 X 8612 0 0 OM GROUP INC 670872100 573500 9250 X 8700 550 0 NUVEEN MUNICIPAL VALUE FD 670928100 274219 28654 X 28654 0 0 NUVEEN MUNICIPAL VALUE FD 670928100 297015 31036 X 30331 705 0 NUVEEN SELECT 670973106 95106 6483 X 5983 0 500 NUVEEN SELECT 670973106 215209 14670 X 14670 0 0 NUVEEN MICH QUALITY INCOME MUN FD 670979103 198331 12205 X 12205 0 0 NUVEEN MICH QUALITY INCOME MUN FD 670979103 47450 2920 X 2920 0 0 NUVEEN MICH QUALITY INCOME PFD 670979202 2400000 96 X 96 0 0 NUVEEN MICH QUALITY INCOME PFD 670979301 1100000 44 X 44 0 0 NUVEEN OHIO QUALITY INCM MUNI 670980101 76241 4099 X 4099 0 0 NUVEEN OHIO QUALITY INCM MUNI 670980101 367573 19762 X 9712 350 9700 NUVEEN INSD MUN OPPORTUNITY FD 670984103 128868 8298 X 8298 0 0 NUVEEN INSD MUN OPPORTUNITY FD 670984103 124551 8020 X 8020 0 0 NUVEEN TXFR UNIT TR INSD NAT 6710A7549 225248 2332 X 0 0 2332 NUVEEN MICH PREMIER INCOME PFD 67101Q208 325000 13 X 13 0 0 OSI PHARMACEUTICALS INC 671040103 2100549 87450 X 1650 0 85800 OAK ASSOCIATES FDS 671081107 2674781 98628 X 97857 0 770 OAK ASSOCIATES FDS 671081107 199039 7339 X 4611 0 2728 PIN OAK AGGRESSIVE STOCK FUND 671081206 95332 6251 X 6251 0 0 PIN OAK AGGRESSIVE STOCK FUND 671081206 156481 10261 X 7723 0 2539 OAK ASSOCS FDS 671081305 85198 15519 X 14007 0 1512 OAK TECHNOLOGY INC COM 671802106 1231028 271750 X 10150 0 261600 OAKLEY INC COM 673662102 2023620 116300 X 0 0 116300 OAKLEY INC COM 673662102 20880 1200 X 1200 0 0 OCCIDENTAL PETE CORP 674599105 14118992 470790 X 71918 0 398872 OCCIDENTAL PETE CORP 674599105 1637904 54615 X 53587 0 1028 OCWEN FINL CORP 675746101 64169 11667 X 11667 0 0 ODD JOB STORES INC 67575J102 2583000 630000 X 630000 0 0 ODYSSEY RE HOLDINGS CORP 67612W108 5301689 304870 X 23120 0 281750 ODYSSEY RE HOLDINGS CORP 67612W108 87472 5030 X 0 0 5030 OFFICE DEPOT INC 676220106 588991 35059 X 10430 0 24629 OFFICE DEPOT INC 676220106 16632 990 X 990 0 0 SMC CORP ORD (JPY) 6763965S9 2883156 24387 X 827 0 23560 OGLEBAY NORTON CO 677007106 8946 700 X 700 0 0 OGLEBAY NORTON CO 677007106 409267 32024 X 26600 0 5424 OHIO CAS CORP 677240103 252974 12104 X 12104 0 0 OHIO CAS CORP 677240103 261501 12512 X 11512 0 1000 OHIO ELECTRONIC ENGRAVERS INC 6773599A1 429000 2200 X 2200 0 0 OHIO MACHINERY CO COM 6774009A3 6618220 236365 X 236365 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 51453303 2672144 1429234 1605 1241305
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ 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 1088471 42769 X 42769 0 0 OLD NATL BANCORP IND 680033107 9762264 383586 X 0 383057 529 OLD REP INTL CORP 680223104 9627377 305631 X 305631 0 0 OLD REP INTL CORP 680223104 3145653 99862 X 88389 0 11473 SHIN-ETSU CHEMICAL CO ORD 6804585S1 6943663 161600 X 1600 0 160000 OLIN CORP 680665205 11605493 523950 X 41190 0 482760 OLIN CORP 680665205 33225 1500 X 1500 0 0 SINGAPORE AIRLINES LTD ORD 6811734S6 94922 13000 X 7000 0 6000 OLYMPIC STEEL INC 68162K106 126000 21000 X 5000 0 16000 OMNICARE INC 681904108 3551665 135250 X 0 0 135250 OMNICOM GROUP INC 681919106 3745158 81772 X 65428 0 16344 OMNICOM GROUP INC 681919106 1173671 25626 X 21596 0 4030 ONE GROUP PRIME MONEY MKT FD CL I 681937405 5574431 5574431 X 5574431 0 0 ONE GROUP PRIME MONEY MKT FD CL I 681937405 159450 159450 X 159450 0 0 ONE GROUP GOVT MONEY MKT FD 681937520 407424 407424 X 0 0 407424 ONE GROUP 681937595 253477 22939 X 22939 0 0 OMEGA FINL CORP 682092101 2883304 78973 X 78973 0 0 OMEGA INTL SPORTS & ENTERTAINMENT 6821019A0 1 488334 X 488334 0 0 OMNIVISION TECHNOLOGIES INC 682128103 7256704 509600 X 19100 0 490500 ONE GROUP 68231N651 542083 42055 X 42055 0 0 ONE GROUP 68231N685 1110899 86049 X 0 0 86049 OPENWAVE SYSTEMS INC 683718100 57272 10209 X 9769 0 440 OPENWAVE SYSTEMS INC 683718100 213180 38000 X 38000 0 0 OPPENHEIMER MAIN STREET FUNDS,INC. 68380D108 178857 5960 X 5960 0 0 OPPENHEIMER MAIN STREET FUNDS,INC. 68380D108 58455 1948 X 1948 0 0 OPPENHEIMER QUEST FOR VALUE FDS 68380E106 229065 7837 X 7837 0 0 OPPENHEIMER STRATEGIC INC FD CL B 68380K201 50262 13548 X 13548 0 0 OPTIMAL ROBOTICS CORP 68388R208 1700757 233300 X 9850 0 223450 ORACLE CORP 68389X105 21896250 2312170 X 1670958 1600 639612 ORACLE CORP 68389X105 8891459 938908 X 806458 54844 77606 OPPENHEIMER CHAMPION INCOME FUND B 683944300 89548 10461 X 10461 0 0 OPPENHEIMER 683977102 368522 39163 X 39163 0 0 OPPENHEIMER 683977102 17765 1888 X 1888 0 0 O REILLY AUTOMOTIVE INC 686091109 3230032 117200 X 9200 0 108000 O REILLY AUTOMOTIVE INC 686091109 13780 500 X 500 0 0 TAKEDA CHEMICAL INDUSTRIES (JPY) 6870445S2 3137847 71500 X 700 0 70800 TAKEDA CHEMICAL INDUSTRIES (JPY) 6870445S2 43886 1000 X 0 0 1000 TANABE SEIYAKU CO LTD ORD (JPY) 6870984S9 4021074 459000 X 2200 0 456800 TOKYO GAS CO LTD ORD (JPY) 6895448S6 2808892 1011000 X 10700 0 1000300 TOSHIBA CORP ORD (JPY) 6897217S1 2878586 707000 X 7200 0 699800 OWEN FUNERAL HOME COM 690006184 258884 465 X 465 0 0 TOYO INK MFG CO LTD ORD (JPY) 6900104S9 1489285 500000 X 4500 0 495500 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 120758993 15675858 9646690 439501 5589667
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ OVERBROOK CORP 690181904 11573477 100 X 100 0 0 OWEN & MINOR INC NEW 690732102 6469029 327380 X 24490 0 302890 OWENS ILLINOIS INC 690768403 293926 21392 X 11892 0 9500 OWENS ILLINOIS INC 690768403 70390 5123 X 5123 0 0 PDG ENVIRONMENTAL INC 693283103 3300 10000 X 10000 0 0 PG&E CORP COM 69331C108 687996 38457 X 7335 0 31122 PG&E CORP COM 69331C108 58107 3248 X 2239 0 1009 PFF BANCORP INC 69331W104 6326400 164750 X 13135 0 151615 PIMCO FDS MULTI MANAGER SER 693389207 744179 38639 X 38639 0 0 PIMCO FDS MULTI MANAGER SER 693389215 218083 11400 X 11400 0 0 PIMCO FDS PAC INVT MGMT SER 693390700 102398889 9633009 X 9503135 4324 125550 PIMCO FDS PAC INVT MGMT SER 693390700 6746308 634648 X 554776 22236 57637 PIMCO 693390726 25765341 2423833 X 2367687 0 56145 PIMCO 693390726 57956 5452 X 5452 0 0 PIMCO FDS 693390841 575080 67182 X 67182 0 0 PIMCO 693391633 3481 338 X 338 0 0 PIMCO 693391633 212980 20658 X 20658 0 0 PMC-SIERRA INC 69344F106 201391 21725 X 3191 0 18534 PMC-SIERRA INC 69344F106 22739 2453 X 2353 0 100 PNC FINANCIAL SVCS GROUP 693475105 38139933 729532 X 692594 0 36938 PNC FINANCIAL SVCS GROUP 693475105 18832824 360230 X 293968 17643 48619 POSCO 693483109 3990855 146346 X 1900 0 144446 PPG INDS INC 693506107 8763988 141583 X 125841 1400 14342 PPG INDS INC 693506107 15122975 244313 X 142358 39632 62323 PPL CORPORATION 69351T106 1207618 36506 X 20053 0 16453 PPL CORPORATION 69351T106 417734 12628 X 5750 3778 3100 PAC LIFE WRAP 6937009A6 13935241 1406180 X 0 0 1406180 PACCAR INC COM 693718108 559758 12610 X 3375 0 9235 PACCAR INC COM 693718108 5904 133 X 133 0 0 PACKAGING CORP OF AMERICA 695156109 12479981 627450 X 48960 0 578490 PACKAGING CORP OF AMERICA 695156109 19890 1000 X 1000 0 0 PACTIV CORP 695257105 500062 21011 X 3125 0 17886 PACTIV CORP 695257105 73375 3083 X 2598 0 485 PALL CORP 696429307 389581 18775 X 8976 0 9799 PALL CORP 696429307 455566 21955 X 18155 0 3800 PALM INC 696642107 146849 83437 X 18613 0 64824 PALM INC 696642107 23700 13466 X 11616 0 1850 PAN WORLD MINERALS INTL INC 698070109 56 432000 X 432000 0 0 PANERA BREAD CO 69840W108 6640646 192650 X 7350 0 185300 PANERA BREAD CO 69840W108 6894 200 X 200 0 0 PARAMETRIC TECHNOLOGY CORP 699173100 85997 25072 X 4214 0 20858 PARAMETRIC TECHNOLOGY CORP 699173100 9974 2908 X 2908 0 0 GUARDIAN 700159106 31154 1121 X 1121 0 0 GUARDIAN 700159106 188737 6794 X 6794 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 284458344 17970770 14502727 89013 3379030
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ PARK NATIONAL CORP 700658107 1326980 15430 X 15430 0 0 PARK NATIONAL CORP 700658107 674068 7838 X 7838 0 0 ARMADA ADVANTAGE SMALL 700910201 1729081 226024 X 226024 0 0 ARMADA ADVANTAGE BOND FD 700910409 1566975 157169 X 157169 0 0 ARMADA ADVANTAGE INTERNATIONAL 700910508 5595769 763406 X 763406 0 0 ARMADA ADVANTAGE EQUITY GROWTH FD 700910706 2976717 400096 X 400096 0 0 PARKER HANNIFIN CORP 701094104 1268633 26546 X 17147 0 9399 PARKER HANNIFIN CORP 701094104 1972293 41270 X 41270 0 0 PATHMARK STORES INC 70322A101 5223499 277698 X 21058 0 256640 PATTERSON DENTAL CO COM 703412106 315368 6266 X 6266 0 0 PATTERSON UTI ENERGY INC 703481101 2127131 75350 X 4500 0 70850 PAW CLUB LLC CLASS B 7038739A9 3 55080 X 55080 0 0 PAX WORLD FD INC 704222108 51551 2738 X 2738 0 0 PAX WORLD FD INC 704222108 992169 52691 X 45570 7121 0 PAYCHEX INC 704326107 4878393 155909 X 110694 0 45215 PAYCHEX INC 704326107 1806215 57725 X 47175 130 10420 PEABODY ENERGY CORP COM 704549104 9430268 333225 X 51590 0 281635 NORSKE SKOGINDUSTRIER ORD A (NOK) 7070396S7 4048470 216999 X 2250 0 214749 PENN NATL GAMING INC 707569109 2295975 126500 X 4500 0 122000 PENN NATL GAMING INC 707569109 206910 11400 X 11400 0 0 NOVO NORDISK A/S-B ORD (DKK) 7077524S7 3111308 93985 X 1500 0 92485 PENN VIRGINIA CORP 707882106 230762 5920 X 1200 0 4720 PENNEY J C CO INC 708160106 890225 40428 X 19264 0 21164 PENNEY J C CO INC 708160106 1981954 90007 X 7277 76530 6200 AXA ORD (FRF) 7088429S0 2330121 127393 X 2200 0 125193 PEOPLES BANCORP INC 709789101 314105 10569 X 10569 0 0 PEOPLES BANCORP INC 709789101 1085481 36524 X 11540 0 24983 NOVARTIS AG-REG SHS ORD (CHF) 7103065S6 7160954 162821 X 2180 0 160641 FRAPORT AG ORD (DEM) 7107551S8 2358594 100132 X 900 0 99232 PEOPLES ENERGY CORP 711030106 2711348 74365 X 28591 0 45774 PEOPLES ENERGY CORP 711030106 451338 12379 X 8193 1100 3086 SUEZ ORD (FRF) 7118047S7 2703919 101400 X 1000 0 100400 NESTLE SA CHAM ET VEVEY ORD (CHF) 7123870S9 7660235 32852 X 470 0 32382 UBS AG - REGD - ORD 7126114S8 7722108 153530 X 1580 0 151950 PEOPLESOFT INC COM 712713106 1753891 117869 X 4471 0 113398 PEOPLESOFT INC COM 712713106 57228 3846 X 3846 0 0 PEP BOYS MANNY MOE & JACK 713278109 11946482 708990 X 53435 0 655555 PEP BOYS MANNY MOE & JACK 713278109 42125 2500 X 0 0 2500 PEPSI BOTTLING GROUP INC 713409100 1150626 37358 X 5373 0 31985 PEPSI BOTTLING GROUP INC 713409100 18172 590 X 0 0 590 PEPSICO INC 713448108 148072754 3072049 X 2731967 5280 334802 PEPSICO INC 713448108 184275608 3823145 X 3475476 200830 146839 PERFORMANCE FOOD GROUP CO 713755106 8683262 256446 X 14681 0 241765 PERKINELMER INC 714046109 327367 29626 X 15828 0 13798 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 445526435 12104084 8392742 290991 3420350
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ PERKINELMER INC 714046109 15824 1432 X 500 0 932 ENI SPA ORD (ITL) 7145056S8 3218314 202400 X 2000 0 200400 ING GROEP NV (EURO) 7154182S7 6599231 256997 X 3440 0 253557 PETROLEO BRASILEIRO S.A. ADR 71654V408 2549947 135204 X 1200 0 134004 PETSMART INC 716768106 6247580 389500 X 11000 0 378500 PFIZER INC 717081103 262994288 7514123 X 6417739 7980 1088404 PFIZER INC 717081103 168937528 4826787 X 4448332 166522 211933 PHARMACEUTICAL RESOURCES INC 717125108 3937815 141750 X 5500 0 136250 PHARMACIA CORP 71713U102 224429049 5992765 X 5002231 4960 985574 PHARMACIA CORP 71713U102 39596287 1057311 X 989298 43204 24809 CREDIT SUISSE GROUP ORD (CHF) 7171589S0 3113977 98076 X 1070 0 97006 PHELPS DODGE CORP 717265102 361942 8785 X 2471 0 6314 PHELPS DODGE CORP 717265102 22042 535 X 451 0 84 CORTEFIEL SA ORD (ESP) 7181414S0 1689889 277770 X 3380 0 274390 PHILIP MORRIS COS INC 718154107 60020018 1374085 X 1149068 3175 221842 PHILIP MORRIS COS INC 718154107 33029855 756178 X 683455 26556 46167 THE SWATCH GROUP AG-B- ORD (CHF) 7184725S8 3028122 34010 X 170 0 33840 PHILLIPS PETE CO 718507106 16347973 277649 X 69895 0 207754 PHILLIPS PETE CO 718507106 1660534 28202 X 19930 1923 6349 PHOENIX ENGEMANN CAPITAL GROWTH 718900103 19165 1556 X 1556 0 0 PHOENIX ENGEMANN CAPITAL GROWTH 718900103 303292 24618 X 24618 0 0 PHYSICIAN WEBLINK 7189559A7 125000 30782 X 30782 0 0 SWISS RE ORD (CHF) 7189816S7 5023517 51380 X 300 0 51080 PHOENIX COMPANIES INC NEW 71902E109 5171874 281846 X 35266 0 246580 PHOENIX COMPANIES INC NEW 71902E109 37654 2052 X 1746 306 0 PHOTRONICS INC 719405102 3869840 204321 X 17061 0 187260 PHOTRONICS INC 719405102 11364 600 X 600 0 0 JULIUS BAER HLDG AG-B ORD (CHF) 7194177S0 3289216 11450 X 205 0 11245 PIER 1 IMPORTS INC 720279108 2774100 132100 X 5700 0 126400 PIER 1 IMPORTS INC 720279108 85050 4050 X 4050 0 0 PIMCO FD #1805 72200P549 3406581 408463 X 400620 0 7842 PIMCO FD #1805 72200P549 1259298 150995 X 120962 12440 17594 PINNACLE BUSINESS MGMT INC 72345F109 1000 200000 X 200000 0 0 PINNACLE WEST CAP CORP 723484101 476528 12064 X 5274 0 6790 PIONEER FD INC CL A 723682100 70659 2008 X 2008 0 0 PIONEER FD INC CL A 723682100 446593 12695 X 8095 4600 0 PIONEER NAT RES CO 723787107 15289240 586919 X 48024 0 538895 PIONEER NAT RES CO 723787107 3230 124 X 124 0 0 PIONEER RAILCORP CLASS A WARRANT 723839114 1 16386 X 16386 0 0 PIONEER RAILCORP CLASS A WARRANT 723839114 1 1000 X 1000 0 0 PIONEER STANDARD ELECTRONICS 723877106 6132718 590252 X 50382 0 539870 PIONEER STANDARD ELECTRONICS 723877106 462854 44548 X 44548 0 0 PITNEY BOWES INC 724479100 20455721 514998 X 494047 250 20701 PITNEY BOWES INC 724479100 49369021 1242926 X 1213320 6650 22956 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 955883732 27901692 21537804 278566 6085322
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ PITTSBURGH TUBE CO COM 725378103 1318212 9858 X 9858 0 0 PLACER DOME INC 725906101 445071 39703 X 13357 0 26346 PLACER DOME INC 725906101 55456 4947 X 4947 0 0 PLUM CREEK TIMBER CO INC 729251108 1280067 41696 X 17344 0 24352 PLUM CREEK TIMBER CO INC 729251108 469894 15306 X 7978 2740 4588 BNP PARIBAS (EUR) 7309681S3 5912316 106900 X 1010 0 105890 POLYCOM INC 73172K104 2974851 248111 X 244209 350 3552 POLYCOM INC 73172K104 1530104 127615 X 114900 9000 3715 POLYONE CORP 73179P106 94500 8400 X 8400 0 0 POLYONE CORP 73179P106 120611 10721 X 10721 0 0 POLYMER TECHNOLOGY SYSTEMS INC 731929907 60000 30000 X 30000 0 0 KONINKLIJKE AHOLD NV-STK DIV (EUR) 7325955R0 0 337000 X 0 0 337000 POTOMAC ELEC PWR CO 737679100 108603 5056 X 4954 0 102 POTOMAC ELEC PWR CO 737679100 195597 9106 X 6149 700 2257 POWERGEN PLC 738905405 1797927 38319 X 38319 0 0 POWERGEN PLC 738905405 1642 35 X 35 0 0 POWER INTEGRATIONS INC 739276103 2970339 165950 X 7900 0 158050 POWER INTEGRATIONS INC 739276103 17899 1000 X 1000 0 0 POWER-ONE INC 739308104 62169 9995 X 1142 0 8853 POWER-ONE INC 739308104 1244 200 X 200 0 0 PRAECIS PHARMACEUTICALS INC 739421105 10513 3021 X 2871 0 150 PRAECIS PHARMACEUTICALS INC 739421105 76908 22100 X 8100 0 14000 PRAXAIR INC 74005P104 12542344 220157 X 28152 0 192005 PRAXAIR INC 74005P104 371103 6514 X 5164 0 1350 PREFORMED LINE PRODUCTS CO COM 740444104 642470 34730 X 34730 0 0 PREFORMED LINE PRODUCTS CO COM 740444104 158351 8560 X 3160 0 5400 PREMIER BANCORP INC PA 74046J109 556356 45885 X 45885 0 0 PREMIER FINL BANCORP INC 74050M105 143640 16800 X 16800 0 0 PREMIER FARNELL PLC 74050U206 267044 13220 X 13220 0 0 PREMIER FARNELL PLC 74050U206 13736 680 X 680 0 0 PRICE T ROWE GROUP INC 74144T108 2811174 85498 X 9398 0 76100 PRICE T ROWE GROUP INC 74144T108 188074 5720 X 4920 0 800 T ROWE PRICE 741479109 374953 18498 X 16093 0 2405 T ROWE PRICE 741479109 159589 7873 X 6538 0 1335 T ROWE PRICE 741481105 287516 45350 X 45350 0 0 T ROWE PRICE 741486104 171788 14964 X 14964 0 0 T ROWE PRICE 741486104 288799 25157 X 25157 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 PRINCIPAL FINANCIAL GROUP 74251V102 44526509 1436339 X 977985 1420 456934 PRINCIPAL FINANCIAL GROUP 74251V102 1338859 43189 X 40387 2802 0 PROCTER & GAMBLE CO COM 742718109 203222332 2275726 X 2094295 840 180591 PROCTER & GAMBLE CO COM 742718109 162538681 1820142 X 1670429 89697 60016 PROGRESS ENERGY INC 743263AA3 11249 20640 X 10815 0 9825 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 458571435 7381557 5597984 107957 1675616
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ PROGRESS ENERGY INC 743263AA3 5685 10432 X 9632 0 800 PROGRESS ENERGY INC 743263105 2566121 49339 X 24780 0 24559 PROGRESS ENERGY INC 743263105 889683 17106 X 12905 0 4201 PROGRESS SOFTWARE CORP 743312100 312419 21168 X 21168 0 0 PROGRESSIVE CORP OHIO 743315103 6282394 108598 X 59254 0 49344 PROGRESSIVE CORP OHIO 743315103 60566115 1046951 X 1046951 0 0 PROLOGIS TR 743410102 433966 16691 X 16691 0 0 PROSPECT STR HIGH INCOME PTF 743586406 45000 10000 X 10000 0 0 PROTEIN DESIGN LABS INC COM 74369L103 279156 25705 X 24945 200 560 PROTEIN DESIGN LABS INC COM 74369L103 259826 23925 X 23045 0 880 PROVIDENT FINL GROUP INC 743866105 13307525 458722 X 211952 0 246770 PROVIDENT FINL GROUP INC 743866105 8123 280 X 280 0 0 PROVIDIAN FINL CORP 74406A102 2778335 472506 X 448176 0 24330 PROVIDIAN FINL CORP 74406A102 1971923 335361 X 320491 0 14870 PRUDENTIAL FINANCIAL INC 744320102 2683078 80428 X 74420 0 6008 PRUDENTIAL FINANCIAL INC 744320102 96811 2902 X 2483 0 419 PRUDENTIAL MUN BD FD 74435L301 122307 10959 X 0 0 10959 PRUDENTIAL UTILITY FUND 74437K814 9533 1214 X 1214 0 0 PRUDENTIAL UTILITY FUND 74437K814 77397 9859 X 9859 0 0 PUBLIC SVC ENTERPRISE GROUP INC 744573106 1395516 32229 X 15360 0 16869 PUBLIC SVC ENTERPRISE GROUP INC 744573106 806073 18616 X 18166 0 450 PUBLIC STORAGE INC 74460D109 44557 1201 X 1201 0 0 PUBLIC STORAGE INC 74460D109 170660 4600 X 4600 0 0 PULTE HOMES INC 745867101 317979 5532 X 691 0 4841 PULTE HOMES INC 745867101 2817 49 X 49 0 0 PUTNAM AMERICAN GOVT INCOME FD 74644B102 18484 2091 X 2091 0 0 PUTNAM AMERICAN GOVT INCOME FD 74644B102 161071 18221 X 7898 0 10322 PUTNAM ASSET ALLOCATION 746444827 141687 16689 X 16689 0 0 PUTNAM ASSET ALLOCATION FD 746444835 322448 34935 X 34935 0 0 PUTNAM ASSET ALLOCATION FD 746444843 512494 55766 X 55766 0 0 PUTNAM DIVERSIFIED INCOME TR 746704105 511640 56472 X 56472 0 0 PUTNAM DIVERSIFIED INCOME TR 746704204 65713 7285 X 7285 0 0 PUTNAM DIVERSIFIED INCOME TR 746704204 49071 5440 X 5440 0 0 PUTNAM GEORGE PUTNAM FUND OF BOSTON 746758101 392336 24722 X 24722 0 0 PUTNAM GEORGE PUTNAM FUND OF BOSTON 746758101 307374 19368 X 19368 0 0 PUTNAM FD FOR GROWTH & INCOME 746761105 799833 50021 X 50021 0 0 PUTNAM FD FOR GROWTH & INCOME 746761105 324844 20315 X 20315 0 0 PUTNAM FDS TR 746763853 64583 12255 X 12255 0 0 PUTNAM GLOBAL GROWTH FUND 746772102 91347 13799 X 13799 0 0 PUTNAM GLOBAL GROWTH FUND 746772102 1157 175 X 175 0 0 PUTNAM HEALTH SCIENCES FUND 746778109 274987 5142 X 5142 0 0 PUTNAM HIGH YIELD TRUST FUND 746782101 55208 7776 X 7776 0 0 PUTNAM HIGH YIELD TRUST FUND 746782101 16202 2282 X 2282 0 0 PUTNAM INTER US GOVT INCOME 74679K100 73989 14479 X 14479 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 99617467 3131606 2715223 200 416182
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ PUTNAM INVT FDS 746802602 75542 8908 X 8908 0 0 PUTNAM INVT FDS 746802602 12016 1417 X 1417 0 0 PUTNAM INVS FD INC 746809102 96694 9917 X 9917 0 0 PUTNAM INVS FD INC 746809102 196126 20115 X 20115 0 0 PUTNAM INVESTORS FUND 746809201 103981 11426 X 7529 0 3897 PUTNAM INVESTORS FUND 746809201 13711 1507 X 1507 0 0 PUTNAM MICHIGAN TAX EXEMPT INCOME 74683L300 629814 70057 X 70057 0 0 PUTNAM OHIO TAX EXEMPT INCOME FD II 746849306 78473 8778 X 8778 0 0 PUTNAM OHIO TAX EXEMPT INCOME FD II 746849306 210501 23546 X 21772 0 1774 PUTNAM PA TAX EXEMPT INCOME FD CL A 746852102 155004 17319 X 17319 0 0 PUTNAM PA TAX EXEMPT INCOME FD CL A 746852102 14751 1648 X 1648 0 0 PUTNAM PREMIER INCOME TR SH BEN INT 746853100 44517 7100 X 7100 0 0 PUTNAM PREMIER INCOME TR SH BEN INT 746853100 80099 12775 X 12775 0 0 PUTNAM TAX EXEMPT INCOME CL-A 746870104 79138 9013 X 9013 0 0 PUTNAM TAX EXEMPT INCOME CL-A 746870104 50184 5716 X 5716 0 0 PUTNAM U S GOVT INCOME TR 746885201 125886 9691 X 9691 0 0 PUTNAM U S GOVT INCOME TR 746885201 8939 688 X 688 0 0 PUTNAM MASTER INTER INCOME TR 746909100 112680 18000 X 3000 0 15000 PUTNAM MASTER INTER INCOME TR 746909100 843159 134690 X 134690 0 0 PUTNAM NEW OPPORTUNITIES FD 746916105 758335 23492 X 23492 0 0 PUTNAM NEW OPPORTUNITIES FD 746916105 3763 117 X 117 0 0 PUTNAM MUNICIPAL INCOME FUND CL A 746919109 29067 3322 X 3322 0 0 PUTNAM MUNICIPAL INCOME FUND CL A 746919109 107101 12240 X 12240 0 0 PUTNAM INTL GROWTH FD 746932102 14190708 739870 X 731802 0 8068 PUTNAM INTL GROWTH FD 746932102 262994 13712 X 13712 0 0 PUTNAM INTL GROWTH FD 746932300 465928 24652 X 24652 0 0 PUTNAM VISTA FUND 747011104 202841 29144 X 29144 0 0 PUTNAM VOYAGER FD INC 747012102 728385 50512 X 50512 0 0 PUTNAM VOYAGER FD INC 747012102 34659 2404 X 1941 0 462 PUTNAM VOYAGER FD INC 747012201 53531 4163 X 4163 0 0 PUTNAM VOYAGER FD INC 747012201 79055 6147 X 6147 0 0 QLOGIC CORP 747277101 462534 12140 X 1715 0 10425 QLOGIC CORP 747277101 1905 50 X 50 0 0 QUALCOMM INC COM 747525103 7276411 264693 X 193061 0 71632 QUALCOMM INC COM 747525103 3320545 120791 X 38689 10000 72102 QUEST DIAGNOSTICS INC 74834L100 844323 9812 X 9512 0 300 QUEST DIAGNOSTICS INC 74834L100 570339 6628 X 5278 0 1350 QUESTAR CORP COM 748356102 45201 1830 X 1830 0 0 QUESTAR CORP COM 748356102 466830 18900 X 18588 0 312 QUICKSILVER INC COM 74838C106 2762720 111400 X 4700 0 106700 QUINTILES TRANSNATIONAL CORP COM 748767100 202363 16202 X 2772 0 13430 QUINTILES TRANSNATIONAL CORP COM 748767100 133643 10700 X 10700 0 0 QWEST COMMUNICATIONS INTL INC COM 749121109 1189923 424973 X 177543 0 247430 QWEST COMMUNICATIONS INTL INC COM 749121109 528811 188861 X 179070 2303 7488 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 37653130 2469066 1896392 12303 560370
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ RPM INC OHIO COM 749685103 1698530 111379 X 111379 0 0 RPM INC OHIO COM 749685103 3800590 249219 X 233894 3400 11925 ROBERTSON STEPHENS INVT TR 74972H804 327661 19106 X 19106 0 0 ROBERTSON STEPHENS INVT TR 74972H804 42079 2454 X 2454 0 0 RTI INTL METALS INC 74973W107 1215000 100000 X 100000 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 537936 11012 X 5817 0 5195 RADIOSHACK CORP 750438103 4246486 141267 X 121168 0 20099 RADIOSHACK CORP 750438103 126252 4200 X 4200 0 0 RAINBOW DISPLAYS INC 75080Q107 10000 20000 X 20000 0 0 RAMCO-GERSHENSON PPTYS TR 751452202 3562520 176800 X 13640 0 163160 RARE HOSPITALITY INTL INC 753820109 2928761 108795 X 38920 0 69875 RATIONAL SOFTWARE CORP COM (NEW) 75409P202 226350 27570 X 3704 0 23866 RAYCOMM TRANSWORLD 754612109 20 10000 X 0 0 10000 RAYONIER INC COM 754907103 2042383 41571 X 16686 0 24885 RAYONIER INC COM 754907103 9777 199 X 166 0 33 RAYTHEON CO 755111507 3078948 75557 X 23814 7500 44243 RAYTHEON CO 755111507 3024628 74224 X 43435 28500 2289 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 181765 30965 X 28288 0 2677 RED HAT INC 756577102 675948 115153 X 115153 0 0 REEBOK INTL LTD COM 758110100 15083586 511308 X 39767 0 471541 REEBOK INTL LTD COM 758110100 1888 64 X 64 0 0 REGAL ENTERTAINMENT GROUP-A 758766109 1172296 50270 X 3900 0 46370 REGIS CORP MINN 758932107 270190 10000 X 10000 0 0 REGIONS FINL CORP COM 758940100 751191 21371 X 3125 0 18246 REGIONS FINL CORP COM 758940100 30405 865 X 556 0 309 RELIANT ENERGY INC 75952J108 860673 50927 X 27007 0 23920 RELIANT ENERGY INC 75952J108 530474 31389 X 30189 1000 200 RENAL CARE GROUP INC 759930100 212599 6825 X 6825 0 0 REPUBLIC BANCORP INC COM 760282103 202542 13557 X 2212 0 11345 REPUBLIC BANCORP INC COM 760282103 616899 41292 X 4309 0 36983 RES-CARE INC COM 760943100 214819 32450 X 32450 0 0 RESPIRONICS INC COM 761230101 4143068 121676 X 120976 0 700 RESPIRONICS INC COM 761230101 17025 500 X 500 0 0 RETEK INC 76128Q109 2376540 97800 X 0 0 97800 REUTERS GROUP PLC-SPONS ADR 76132M102 1529541 47488 X 47488 0 0 REUTERS GROUP PLC-SPONS ADR 76132M102 8922505 277019 X 272855 125 4039 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 402480 14400 X 14400 0 0 RIGHT MGMNT CONSULTANTS INC COM 766573109 675884 25700 X 25700 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 70910414 2885890 1755433 40525 1089932
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ RITE AID CORP COM 767754104 1189 506 X 506 0 0 RITE AID CORP COM 767754104 32195 13700 X 6700 2000 5000 RIVERSTONE NETWORKS INC 769320102 3853 1231 X 1231 0 0 RIVERSTONE NETWORKS INC 769320102 31460 10051 X 51 0 10000 ROADWAY CORP COM 769742107 965655 26876 X 1876 25000 0 ROBBINS & MYERS INC COM 770196103 1191461 45389 X 45389 0 0 ROBERT HALF INTL INC 770323103 523015 22447 X 2756 0 19691 ROCHELLE BROADCASTING COMPANY 771196995 257040 1904 X 1904 0 0 ROCKWELL AUTOMATION INC COM NEW 773903109 930648 46579 X 31784 0 14795 ROCKWELL AUTOMATION INC COM NEW 773903109 4835300 242007 X 223974 1900 16133 ROCKWELL COLLINS INC 774341101 1357372 49503 X 25736 1000 22767 ROCKWELL COLLINS INC 774341101 4288269 156392 X 136724 1900 17768 ROHM & HAAS CO COM 775371107 44968197 1110600 X 755132 1225 354243 ROHM & HAAS CO COM 775371107 1593241 39349 X 37807 1342 200 ROSS STORES INC COM 778296103 1719650 42200 X 0 0 42200 ROSS STORES INC COM 778296103 232275 5700 X 5700 0 0 T ROWE PRICE EQUITY INCOME FD 779547108 1471622 65318 X 63764 0 1555 T ROWE PRICE EQUITY INCOME FD 779547108 76166 3381 X 3381 0 0 T ROWE PRICE 779556109 23930141 678484 X 646608 2080 29795 T ROWE PRICE 779556109 7071582 200498 X 176457 3972 20070 T ROWE PRICE NEW ERA FUND 779559103 103782 4407 X 4407 0 0 T ROWE PRICE NEW ERA FUND 779559103 117031 4969 X 4969 0 0 T ROWE PRICE INTL STOCK FUNDS INC 77956H203 472998 44707 X 31738 0 12969 T ROWE PRICE INTL STOCK FUNDS INC 77956H203 643641 60836 X 56407 0 4429 T ROWE PRICE NEW HORIZONS FUND 779562107 138541 7354 X 7354 0 0 T ROWE PRICE NEW HORIZONS FUND 779562107 173168 9191 X 9191 0 0 T ROWE PRICE MD TAX FREE BD FD 77957R101 833361 78323 X 78323 0 0 T ROWE PRICE 779572106 10105769 410637 X 409687 0 949 T ROWE PRICE 779572106 463588 18837 X 16804 0 2033 T ROWE PRICE 779576107 54976 5615 X 5615 0 0 T ROWE PRICE 779576107 162475 16596 X 12162 4434 0 T ROWE PRICE VALUE FUND 779578103 180624 10245 X 10245 0 0 ROYAL BK SCOTLAND GROUP PLC 780097887 412432 16425 X 16425 0 0 ROYAL BK SCOTLAND GROUP PLC 780097887 5022 200 X 200 0 0 ROYAL BANK OF CANADA 780099909 876629 876629 X 876629 0 0 ROYAL DUTCH PETROLEUM CO 780257804 31440837 568859 X 338114 0 230745 ROYAL DUTCH PETROLEUM CO 780257804 16422651 297135 X 270120 18500 8515 ROYCE FD 780905840 165420 21624 X 21624 0 0 RUBICON CONTRA 781128996 1 2000 X 2000 0 0 RUBICON CONTRA 781128996 1 10000 X 0 0 10000 RUBY TUESDAY INC COM 781182100 11205906 577624 X 44874 0 532750 RYANS FAMILY STEAK HOUSES INC COM 783519101 198150 15000 X 15000 0 0 RYDER SYSTEM INC COM 783549108 6563663 242291 X 26879 0 215412 RYDER SYSTEM INC COM 783549108 2167 80 X 80 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 176223164 6061699 4426327 63353 1572019
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ RYLAND GROUP INC COM 783764103 9950 200 X 200 0 0 RYLAND GROUP INC COM 783764103 776100 15600 X 15600 0 0 S & T BANCORP INC COM 783859101 221400 8200 X 8000 0 200 SBC COMMUNICATIONS INC COM 78387G103 89959677 2949498 X 2430062 2276 517160 SBC COMMUNICATIONS INC COM 78387G103 53384821 1750322 X 1600398 43595 106329 SEI INDEX FUNDS 783924103 1445474 47191 X 47191 0 0 SEI INSTL MANAGED TR 783925407 221846 37036 X 36425 611 0 SEI INSTL MANAGED TR 783925407 204290 34105 X 20584 8114 5408 SEI INST MGD CORE FXD INC -A #64 783925506 239949 22962 X 22962 0 0 SEI DAILY INCOME TR GNMA PORT #47 783965643 173487 17383 X 17383 0 0 SEI DAILY INCOME TR 783965742 4178744 397219 X 396874 0 345 SEI DAILY INCOME TR 783965742 2802670 266414 X 104513 113172 48729 SCM MICROSYSTEMS INC COM 784018103 6107301 456450 X 16350 0 440100 S D C PROPERTIES CO COM 7840309A8 4509793 540 X 540 0 0 SEI INTL FIXED INC PORT 78411R307 264072 24588 X 24588 0 0 SEI TAX EXEMPT TR 784118507 16298644 1510532 X 1505179 5354 0 SEI TAX EXEMPT TR 784118507 21030103 1949036 X 1265035 561469 122533 SLM CORP 78442P106 20974199 216452 X 190515 670 25267 SLM CORP 78442P106 4593351 47403 X 41788 4815 800 SPDR TR 78462F103 20485215 207005 X 113225 360 93420 SPDR TR 78462F103 1111123 11228 X 8435 1350 1443 SPX CORP COM 784635104 854108 7269 X 6121 0 1148 SPX CORP COM 784635104 188588 1605 X 1605 0 0 SSS MANAGEMENT CORPORATION 7848519A7 1158360 11032 X 11032 0 0 S Y BANCORP INC COM 785060104 194922 4760 X 4760 0 0 S Y BANCORP INC COM 785060104 978705 23900 X 23900 0 0 SABRE HLDGS CORP COM 785905100 635056 17739 X 2557 0 15182 SABRE HLDGS CORP COM 785905100 57781 1614 X 1614 0 0 SAFECO CORP COM 786429100 407377 13188 X 2938 0 10250 SAFECO CORP COM 786429100 92732 3002 X 3002 0 0 SAFEGUARD SCIENTIFIC INC COM 786449108 20800 10400 X 0 0 10400 SAFEWAY INC COM NEW 786514208 3303637 113177 X 72547 365 40265 SAFEWAY INC COM NEW 786514208 571920 19593 X 14133 4000 1460 SAFECO MUNI BOND FUND 786902106 145269 10252 X 10252 0 0 ST JUDE MEDICAL INC COM 790849103 623885 8448 X 1464 0 6984 ST JUDE MEDICAL INC COM 790849103 69936 947 X 947 0 0 ST PAUL COS INC COM 792860108 20147911 517675 X 66988 0 450687 ST PAUL COS INC COM 792860108 656541 16869 X 15283 0 1586 SALOMON BROTHERS FUND 795477108 265362 24940 X 24940 0 0 SALOMON BROTHERS FUND 795477108 88723 8339 X 7706 0 633 SAMSUNG ELECTRS LTD 796050888 3746840 27400 X 280 0 27120 SANESE SERVICES, INC. 7960639A5 720176 1 X 0 1 0 SANMINA CORP COM 800907107 605564 95969 X 27148 0 68821 SANMINA CORP COM 800907107 29998 4754 X 1754 0 3000 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 284556400 10912237 8166818 746152 1999270
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ SAP AKTIENGESELLSCHAFT 803054204 3281166 135083 X 1463 0 133620 SAP AKTIENGESELLSCHAFT 803054204 17732 730 X 730 0 0 SAPPI LTD -SPONSORED ADR 803069202 12196278 869920 X 69540 0 800380 SARA LEE CORP COM 803111103 13713546 664416 X 588381 2675 73360 SARA LEE CORP COM 803111103 19710024 954943 X 880838 30815 43290 SCHERING-PLOUGH CORP COM 806605101 14044386 570910 X 450974 75 119861 SCHERING-PLOUGH CORP COM 806605101 15072174 612690 X 552854 7600 52236 SCHLUMBERGER LTD COM 806857108 35546042 764431 X 694043 2295 68093 SCHLUMBERGER LTD COM 806857108 33580115 722153 X 652791 42410 26952 SCHRODER CAP FDS DEL 808088207 40722 6284 X 6284 0 0 SCHRODER CAP FDS DEL 808088207 53686 8285 X 8285 0 0 CHARLES SCHWAB CORP NEW 808513105 1501203 134036 X 22992 0 111044 CHARLES SCHWAB CORP NEW 808513105 205822 18377 X 10027 750 7600 SCHWAB MONEY MARKET FUND 808515100 350709 350709 X 350709 0 0 SCHWAB MONEY MARKET FUND 808515100 6375 6375 X 0 0 6375 SCIENTIFIC ATLANTA INC COM 808655104 1372424 83430 X 15179 0 68251 SCIENTIFIC ATLANTA INC COM 808655104 197630 12014 X 11614 0 400 SCOTTISH PWR PLC 81013T705 62017 2898 X 2898 0 0 SCOTTISH PWR PLC 81013T705 342143 15988 X 15594 0 394 SCOTTS CO CL A 810186106 10267028 226146 X 219391 725 6030 SCOTTS CO CL A 810186106 8926230 196613 X 175761 13931 6921 SCRIPPS E W CO 811054204 1666280 21640 X 21640 0 0 SCUDDER EQUITY TR NEW 81114P305 107652 10462 X 10462 0 0 SCUDDER HIGH YIELD SER 81115L105 45050 9213 X 9213 0 0 SCUDDER HIGH YIELD SER 81115L105 31996 6543 X 6543 0 0 SCUDDER HIGH YIELD SER 81115L204 63590 13004 X 13004 0 0 SCUDDER INCOME TR 811158401 171195 11233 X 11233 0 0 SCUDDER INCOME TR 811158401 214636 14084 X 13929 0 155 SCUDDER INTERNATIONAL FD INC COM 811165109 228576 6297 X 6297 0 0 SCUDDER INTERNATIONAL FD INC COM 811165109 654218 18023 X 11214 6808 0 SCUDDER MANAGED MUN BDS S 811170109 218052 23727 X 23727 0 0 SCUDDER MANAGED MUN BDS S 811170109 409509 44560 X 44560 0 0 SCUDDER HI YLD TX FR S 811170208 27286 2160 X 2160 0 0 SCUDDER HI YLD TX FR S 811170208 141106 11172 X 0 11172 0 SCUDDER MANAGED MUN BDS A 811170802 405752 44200 X 44200 0 0 SCUDDER MANAGED MUN BDS A 811170802 787227 85755 X 84729 0 1026 SCUDDER MUN INCOME TR 81118R604 198751 17714 X 17714 0 0 SCUDDER MUN INCOME TR 81118R604 131274 11700 X 6000 2000 3700 SCUDDER ST TAX FREE TR 811184308 723225 49638 X 25472 24166 0 SCUDDER INCOME FUND 811192806 447505 35973 X 35973 0 0 SCUDDER INCOME FUND 811192806 144134 11586 X 11586 0 0 SCUDDER DYNAMIC GROWTH FUND 811197102 45209 17388 X 17388 0 0 SCUDDER STRATEGIC INCOME FD 81123J209 62618 14803 X 14803 0 0 SCUDDER US GOVT SECS FD 81123L105 215125 24755 X 24755 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 177627418 6862061 5186950 145422 1529688
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ SCUDDER US GOVT SECS FD 81123L105 211552 24344 X 23000 1344 0 SCUDDER US GOVT SECS FD 81123L204 120283 13873 X 13873 0 0 SEACOAST FINL SVCS CORP 81170Q106 644299 25700 X 25700 0 0 SEAGATE TECH ESCROW 811804988 0 24797 X 2692 0 22105 SEAGATE TECH ESCROW 811804988 0 6320 X 700 2000 3620 SEA VIEW HOTEL INC COM 811990902 300000 50 X 50 0 0 SEALED AIR CORP NEW 81211K100 369679 9180 X 2463 0 6717 SEALED AIR CORP NEW 81211K100 85292 2118 X 2118 0 0 SEARS ROEBUCK & CO CAP 812387108 2774133 51089 X 22008 0 29081 SEARS ROEBUCK & CO CAP 812387108 1135610 20914 X 15199 700 5015 SECOND BANCORP INC COM 813114105 1748838 64060 X 64060 0 0 SECOND BANCORP INC COM 813114105 191100 7000 X 5000 2000 0 SEDALIA FARMS INC COM 814990107 2233000 250 X 250 0 0 SELECTED AMERICAN SHARES 816221105 8412114 303796 X 295159 0 8637 SELECTED AMERICAN SHARES 816221105 206438 7455 X 5585 0 1871 SELIGMAN COMMUNICATIONS & 816333108 392926 21578 X 21481 97 0 SELIGMAN COMMUNICATIONS & 816333108 599070 32898 X 32629 0 269 SELIGMAN GROWTH FD INC 816335301 39711 15042 X 0 0 15042 SELIGMAN HIGH-YIELD BOND SERIES CL B 816336606 16352 5031 X 5031 0 0 SELIGMAN HIGH-YIELD BOND SERIES CL B 816336606 76667 23590 X 23590 0 0 SELIGMAN OHIO MUNICIPAL FUND CL A 816346506 23000 2879 X 2879 0 0 SELIGMAN OHIO MUNICIPAL FUND CL A 816346506 865307 108299 X 108299 0 0 SEMTECH CORP COM 816850101 1961249 73455 X 70955 500 2000 SEMTECH CORP COM 816850101 2241065 83935 X 79035 750 4150 SEMPRA ENERGY 816851109 553870 25028 X 8406 0 16622 SEMPRA ENERGY 816851109 133864 6049 X 5624 300 125 SENETEK PLC 817209307 6100 10000 X 0 0 10000 SENTINEL GROUP FUND INC 817270309 368310 13340 X 13340 0 0 SERVICE PIPE & SUPPLY INC 817595911 1057447 231 X 231 0 0 SERVICEMASTER CO COM 81760N109 2232765 162738 X 162738 0 0 SERVICEMASTER CO COM 81760N109 3915153 285361 X 275948 0 9413 SHARON TUBE CO COM 819819103 561000 600 X 600 0 0 SHEARSON LEHMAN HUTTON UNIT 820926533 1237 14378 X 14378 0 0 SHELL TRANS & TRADING PLC 822703609 740415 16450 X 16450 0 0 SHELL TRANS & TRADING PLC 822703609 240128 5335 X 5335 0 0 SHERWIN WILLIAMS CO COM 824348106 2107671 70420 X 53829 0 16591 SHERWIN WILLIAMS CO COM 824348106 4448286 148623 X 128623 3000 17000 SHUFFLE MASTER INC 825549108 3119226 169800 X 6300 0 163500 SHUTTLEWORTH INCORPORATED CLASS A 8256759A1 265200 3400 X 3400 0 0 SHUTTLEWORTH INCORPORATED CLASS B 8256759B9 1115400 14300 X 14300 0 0 SICOR INC 825846108 2668833 143950 X 5350 0 138600 SHORT TERM FDS 825993900 591277 591277 X 591277 0 0 SIEBEL SYS INC 826170102 1096490 77109 X 22238 0 54871 SIEBEL SYS INC 826170102 1380620 97090 X 91690 600 4800 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 51250977 2783132 2241813 11291 530029
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ SIFCO INDS VTG TR 8265469A3 2480380 496076 X 456076 0 40000 SIGMA ALDRICH CORP COM 826552101 1476215 29436 X 23551 0 5885 SIGMA ALDRICH CORP COM 826552101 1693766 33774 X 33002 400 372 SILICON STORAGE TECHNOLOGY I 827057100 2977260 381700 X 14500 0 367200 SILICON STORAGE TECHNOLOGY I 827057100 780 100 X 0 0 100 SIMON PPTY GROUP INC NEW 828806109 41850 1136 X 1136 0 0 SIMON PPTY GROUP INC NEW 828806109 722248 19605 X 17305 2300 0 SINCLAIR BROADCAST GROUP INC 829226109 11013506 762761 X 60271 0 702490 SIT TAX FREE INCOME FUND 829799105 25440 2564 X 2564 0 0 SIT TAX FREE INCOME FUND 829799105 118478 11943 X 11943 0 0 SIT MUT FDS INC 82980D301 22039 1046 X 1046 0 0 SIT MUT FDS INC 82980D301 256810 12188 X 0 12188 0 SIX FLAGS INC 83001P109 12042240 833373 X 64383 0 768990 SKY FINL GROUP INC 83080P103 13317732 629680 X 106160 0 523520 SKY FINL GROUP INC 83080P103 2688186 127101 X 127101 0 0 SKYWEST INC COM 830879102 5491972 234800 X 5500 0 229300 SKYWORKS SOLUTIONS INC 83088M102 102539 18476 X 7916 0 10560 SKYWORKS SOLUTIONS INC 83088M102 318802 57442 X 53701 0 3741 SMALLCAP WORLD FUND A 831681101 270684 12667 X 12667 0 0 SMALLCAP WORLD FUND A 831681101 73711 3449 X 3449 0 0 SMITH BARNEY MONEY FDS INC 831804109 61476 61476 X 61476 0 0 SMITH BARNEY MONEY FDS INC 831804109 1205 1205 X 1205 0 0 SMITHFIELD FOODS CO COM 832248108 3576459 192801 X 188121 1375 3305 SMITHFIELD FOODS CO COM 832248108 1247469 67249 X 62399 400 4450 SMUCKER J M CO 832696405 1350509 39570 X 37740 30 1800 SMUCKER J M CO 832696405 1843737 54021 X 51547 1170 1304 SMURFIT-STONE CONTAINER CORP 832727101 904352 58648 X 40348 0 18300 SOLECTRON CORP COM 834182107 2072513 336994 X 241508 0 95486 SOLECTRON CORP COM 834182107 1171329 190460 X 170695 1275 18490 SONOCO PRODS CO COM 835495102 217129 7667 X 5167 0 2500 SONOCO PRODS CO COM 835495102 525534 18557 X 11457 6000 1100 SONY CORP AMERN SH NEW 835699307 4755955 89566 X 1620 0 87946 SONY CORP AMERN SH NEW 835699307 113315 2134 X 2134 0 0 SOUTHERN CO COM 842587107 3994017 145767 X 89999 0 55768 SOUTHERN CO COM 842587107 2253869 82258 X 79370 1000 1888 SOUTHTRUST CORP COM 844730101 10959168 419570 X 113272 0 306298 SOUTHTRUST CORP COM 844730101 457231 17505 X 16675 700 130 SOUTHTRUST FDS 844734103 2927344 2927344 X 2927344 0 0 SOUTHWEST AIRLINES CO COM 844741108 49460815 3060694 X 1771050 1390 1288254 SOUTHWEST AIRLINES CO COM 844741108 1769019 109469 X 95080 7519 6870 SOUTHWEST BANCORP INC OKLA 844767103 699837 25700 X 25700 0 0 SCB BANCORP INCORPORATED 845996107 200000 2000 X 2000 0 0 SPANG & COMPANY COM 846399905 345600 3200 X 3200 0 0 SPARTECH CORP (NEW) 847220209 12421781 456180 X 33270 0 422910 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 158464301 12039352 7034648 35747 4968957
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ SPARTECH CORP (NEW) 847220209 81690 3000 X 3000 0 0 SPHERION CORP 848420105 10079479 847015 X 67900 0 779115 SPRINT CORP COM 852061100 2235220 210671 X 119119 0 91552 SPRINT CORP COM 852061100 1089764 102711 X 85411 5900 11400 SPRINT CORP 852061506 1397644 312672 X 226174 200 86298 SPRINT CORP 852061506 915416 204791 X 167900 14201 22690 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 STANDARD MICROSYSTEMS CORP 853626109 5142494 217810 X 16200 0 201610 STANDISH SMALL CAP GROWTH INSTL. 854268828 1262496 42210 X 39969 0 2241 STANDISH SMALL CAP GROWTH INSTL. 854268828 560951 18755 X 18550 204 0 STANLEY WKS COM 854616109 327834 7994 X 1169 0 6825 STANLEY WKS COM 854616109 69799 1702 X 1602 100 0 STAPLES INC COM 855030102 1355675 68816 X 31781 0 37035 STAPLES INC COM 855030102 94186 4781 X 4781 0 0 STAR OF THE WEST MILLING COMPANY 85515P103 1170000 9750 X 9750 0 0 STARBUCKS CORP COM 855244109 1846579 74309 X 31217 0 43092 STARBUCKS CORP COM 855244109 561983 22615 X 22615 0 0 STARWOOD HOTELS & RESORTS WORLDWIDE 85590A203 842543 25617 X 3261 0 22356 STARWOOD HOTELS & RESORTS WORLDWIDE 85590A203 25490 775 X 572 0 203 STATE FARM BALANCE FD INC 856834106 203786 4688 X 4688 0 0 STATE STREET GLOBAL ADVISORS S&P 500 8574609A9 16098479 1001648 X 1001648 0 0 STATE STR CORP 857477103 62300670 1393751 X 1336623 1170 55958 STATE STR CORP 857477103 44935703 1005273 X 976605 4030 24638 STATE STREET EXCHANGE FUND 857478101 17322971 38501 X 38501 0 0 STATE STREET EXCHANGE FUND 857478101 17108588 38025 X 38025 0 0 STATE STREET GLOBAL ADVISORS S & P 8574809A7 8059345 430941 X 430941 0 0 STATE STREET INVESTMENT 857483101 105382 12994 X 12994 0 0 STATE STREET INVESTMENT 857483101 591116 72887 X 72887 0 0 STATE STR BK 857499909 1560995 1560995 X 1560995 0 0 STATE STREET RESEARCH TAX EXEMPT FD 857513105 25181 3016 X 3016 0 0 STATE STREET RESEARCH TAX EXEMPT FD 857513105 517762 62007 X 62007 0 0 STATE FED FINL CORP COM 857549109 480000 48000 X 48000 0 0 STATE STREET RESEARCH 857918106 210109 16544 X 16544 0 0 STERIS CORP COM 859152100 176959 9260 X 9260 0 0 STERIS CORP COM 859152100 523155 27376 X 26976 0 400 STILWELL FINL INC 860831106 593083 32587 X 7739 0 24848 STILWELL FINL INC 860831106 18200 1000 X 1000 0 0 STMICROELECTRONICS NV-NY SHS 861012102 2450031 100700 X 1100 0 99600 SEVEN SEAS FDS 8611238A8 3643650 3643650 X 185043 0 3458607 SSGA PRIME FD 8618809A2 30085281 30085281 X 30085281 0 0 STORAGENETWORKS INC 86211E103 13807 7012 X 6648 0 364 STORAGENETWORKS INC 86211E103 74692 37934 X 37934 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 248252551 41849729 36851771 29125 4968832
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ STRONG CORPORATE BOND FUND 862912102 274782 28183 X 28183 0 0 STRONG EQUITY FDS INC 862916301 147509 15083 X 15083 0 0 STRONG EQUITY FDS INC 862916806 2517763 115494 X 115494 0 0 STRONG EQUITY FDS INC 862916806 80159 3677 X 677 0 3000 STRATTEC SECURITY CORP 863111100 264430 4780 X 4780 0 0 STRONG ULTRA SHORT FUND 863338109 19981 2099 X 2099 0 0 STRONG ULTRA SHORT FUND 863338109 83457 8767 X 8767 0 0 STRONG 86334C109 311642 18004 X 18004 0 0 STRONG HIGH-YIELD MUNICIPAL BOND 863345104 341843 46070 X 27630 0 18441 STRONG OPPORTUNITY FUND INC 86335K100 287880 8703 X 4063 0 4640 STRONG MUNI ULTRA SHORT FUND 86335P208 1979757 404858 X 404858 0 0 STRONG MUNI ULTRA SHORT FUND 86335P208 989879 202429 X 202429 0 0 STRUTHERS INC 863582201 122 122222 X 122222 0 0 STRUTHERS INDS INC 863583209 10 10000 X 10000 0 0 STRYKER CORP COM 863667101 5395413 100830 X 78157 0 22673 STRYKER CORP COM 863667101 1601661 29932 X 26770 0 3162 SUMMIT PROPERTIES INC COM 866239106 6706937 287235 X 23275 0 263960 SUMMIT PROPERTIES INC COM 866239106 24518 1050 X 1050 0 0 SUN CMMNTYS INC COM 866674104 248413 5950 X 5950 0 0 SUN CMMNTYS INC COM 866674104 189963 4550 X 3700 850 0 SUN LIFE FINL SVCS CDA INC 866796105 1310813 59964 X 59964 0 0 SUN LIFE FINL SVCS CDA INC 866796105 311724 14260 X 14260 0 0 SUN MICROSYSTEMS INC COM 866810104 4979299 993872 X 714267 0 279605 SUN MICROSYSTEMS INC COM 866810104 2485391 496086 X 441641 38200 16245 SUNGARD DATA SYS INC COM 867363103 65863545 2487294 X 1581899 4090 901305 SUNGARD DATA SYS INC COM 867363103 7633045 288257 X 244352 23920 19985 SUNOCO INC 86764P109 311157 8733 X 2664 0 6069 SUNOCO INC 86764P109 149218 4188 X 2249 1939 0 SUNRISE ASSISTED LIVING INC 86768K106 17849 666 X 666 0 0 SUNRISE ASSISTED LIVING INC 86768K106 254600 9500 X 9500 0 0 SUNRISE TECHNOLOGIES INTL INC 86769L103 2408 56000 X 0 0 56000 SUNTRUST BKS INC COM 867914103 22691753 335082 X 51845 0 283237 SUNTRUST BKS INC COM 867914103 1865212 27543 X 23639 3000 904 SUPERIOR ENERGY SVCS INC 868157108 3236328 318850 X 13700 0 305150 SUPERVALU INC COM 868536103 772720 31501 X 20878 0 10623 SUPERVALU INC COM 868536103 249200 10159 X 10159 0 0 SUREQUEST SYSTEMS INC 868663105 17535 250500 X 250500 0 0 SUSQUEHANA BANCSHARES INC PA COM 869099101 4353212 191687 X 191687 0 0 SYCAMORE NETWORKS INC 871206108 8716 2258 X 2258 0 0 SYCAMORE NETWORKS INC 871206108 77200 20000 X 20000 0 0 SYMBOL TECHNOLOGIES INC COM 871508107 255068 30008 X 4368 0 25640 SYMBOL TECHNOLOGIES INC COM 871508107 198067 23302 X 16902 0 6400 SYNOVUS FINCL CORP 87161C105 780247 28352 X 4982 0 23370 SYNOVUS FINCL CORP 87161C105 17805 647 X 647 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 139308231 7108625 4786218 71999 2250409
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ SYPRIS SOLUTIONS INC 871655106 9570784 525290 X 28630 0 496660 SYSCO CORP COM 871829107 14456297 531091 X 474929 0 56162 SYSCO CORP COM 871829107 27787020 1020831 X 934331 57100 29400 TCF FINL CORP COM 872275102 27987 570 X 570 0 0 TCF FINL CORP COM 872275102 244567 4981 X 4981 0 0 TCW GALILEO FDS INC 87234N302 824315 64149 X 62663 0 1486 TCW GALILEO FDS INC 87234N302 8870 690 X 690 0 0 TCW/DW TERM TRUST 2003 87234U108 107600 10000 X 10000 0 0 TE-CO, AN OHIO CORP 872370903 1906476 33 X 33 0 0 TECO ENERGY INC COM 872375100 2357636 95258 X 79581 0 15677 TECO ENERGY INC COM 872375100 1608923 65007 X 57291 1610 6106 TEPPCO PARTNERS L P 872384102 461520 14400 X 14400 0 0 TEPPCO PARTNERS L P 872384102 173070 5400 X 4000 0 1400 TJX COS INC NEW COM 872540109 24171011 1232586 X 292824 0 939762 TJX COS INC NEW COM 872540109 143937 7340 X 7040 0 300 T R W INC COM 872649108 1822334 31982 X 21844 0 10138 T R W INC COM 872649108 6746774 118406 X 117726 0 680 TMP WORLDWIDE (TMPW) 872941109 301387 14018 X 1606 0 12412 TTC HLDGS INC COM 8730409C5 131223 300 X 300 0 0 TTC HLDGS INC COM 8730409C5 87482 200 X 200 0 0 TVX GOLD INC 87308K200 30607 21862 X 21862 0 0 TWP INC COM 873106108 505294 518 X 518 0 0 TWP INC COM 873106108 2848706 2922 X 328 536 2058 TXU CORPORATION 873168108 2888501 56033 X 26163 0 29870 TXU CORPORATION 873168108 2411200 46774 X 25654 2300 18820 TAIWAN SEMICONDUCTOR MFG LTD 874039100 66430 5110 X 5110 0 0 TAIWAN SEMICONDUCTOR MFG LTD 874039100 72254 5558 X 4998 0 560 TALISMAN ENERGY INC COM 87425E103 17087469 378460 X 32360 0 346100 TALISMAN ENERGY INC COM 87425E103 15803 350 X 350 0 0 TARGET CORP 87612E106 60196971 1579973 X 974247 1915 603811 TARGET CORP 87612E106 7488593 196551 X 194096 2280 175 THE TAX-EXMPT BOND FD OF AMERICA A 876902107 343306 28048 X 28048 0 0 THE TAX-EXMPT BOND FD OF AMERICA A 876902107 63542 5191 X 595 4597 0 TECHNICAL MICRONICS CONTROL 878007525 2 22200 X 22200 0 0 TECH DATA CORP COM 878237106 3978035 105100 X 0 0 105100 TECUMSEH PRODS CO CL A 878895200 12132230 228565 X 18185 0 210380 TECHNICAL RUBBER CO INC CL B NON-VTG 878990902 16447860 540 X 540 0 0 TELEFLEX INC COM 879369106 68123 1192 X 1192 0 0 TELEFLEX INC COM 879369106 720547 12608 X 12308 300 0 TELEFONICA S.A. 879382208 246686 9927 X 6821 0 3106 TELEFONICA S.A. 879382208 40406 1626 X 1274 0 352 TELEFONOS DE MEXICO S A SPONSORED 879403780 6279724 195752 X 10180 0 185572 TELEFONOS DE MEXICO S A SPONSORED 879403780 177242 5525 X 5525 0 0 TELLABS INC COM 879664100 399999 64516 X 8774 0 55742 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 227448743 6717433 3514967 70638 3131829
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ TELLABS INC COM 879664100 85448 13782 X 7782 6000 0 TEMPLE INLAND INC COM 879868107 320313 5536 X 1531 0 4005 TEMPLE INLAND INC COM 879868107 3703 64 X 64 0 0 TELETECH HOLDINGS INC 879939106 2706975 283750 X 11250 0 272500 TELETECH HOLDINGS INC 879939106 16218 1700 X 0 0 1700 TEMPLETON DEVELOPING MKTS TR COM 88018W104 756707 71658 X 71658 0 0 TEMPLETON EMERGING MARKETS FUND 880191101 9600 1000 X 1000 0 0 TEMPLETON EMERGING MARKETS FUND 880191101 211200 22000 X 22000 0 0 TEMPLETON FDS INC 880196100 333159 22375 X 22375 0 0 TEMPLETON FDS INC 880196100 233173 15660 X 15028 632 0 TEMPLETON FOREIGN FUND 880196209 16513713 1714820 X 1683602 7429 23788 TEMPLETON FOREIGN FUND 880196209 6167060 640401 X 504640 102709 33052 TEMPLETON GROWTH FD INC 880199104 529964 28897 X 28897 0 0 TEMPLETON GROWTH FD INC 880199104 179258 9774 X 9774 0 0 TEMPLETON INSTL FDS INC 880210208 562118 65060 X 65060 0 0 TEMPLETON INSTL FDS INC 880210208 267924 31010 X 31010 0 0 TEMPLETON INSTL FDS INC 880210505 35795213 2448373 X 2436428 0 11945 TEMPLETON INSTL FDS INC 880210505 3805776 260313 X 244989 10122 5201 TEMPLETON 88022L102 62361 9198 X 9198 0 0 TEMPLETON 88022L102 27322 4030 X 4030 0 0 TENET HEALTHCARE CORP COM 88033G100 26838190 375097 X 108737 0 266360 TENET HEALTHCARE CORP COM 88033G100 174153 2434 X 2334 0 100 TERADYNE INC COM 880770102 36373629 1547814 X 862203 1350 684261 TERADYNE INC COM 880770102 597276 25416 X 24356 1060 0 TEXAS INSTRS INC COM 882508104 56332032 2376879 X 2023149 2815 350915 TEXAS INSTRS INC COM 882508104 11587238 488913 X 418654 26845 43414 TEXAS PAC LD TR SUB SH 882610108 293760 7200 X 7200 0 0 TEXTRON INC COM 883203101 2693186 57424 X 41192 0 16232 TEXTRON INC COM 883203101 1721136 36698 X 12628 20950 3120 THE GENERAL METALS POWDER COMPANY 8833519A8 208815 242 X 242 0 0 THERAGENICS CORP 883375107 4068318 482600 X 19400 0 463200 THERAGENICS CORP 883375107 50580 6000 X 0 0 6000 THERASENSE INC 883381105 2558095 138500 X 5300 0 133200 THERMO ELECTRON CORP COM 883556102 289410 17540 X 3276 0 14264 THERMO ELECTRON CORP COM 883556102 414315 25110 X 24005 0 1105 THERMOVIEW INDS INC 883671505 15655 15500 X 15500 0 0 THOMAS REALTY COMPANY 883996100 881058 60 X 0 0 60 THOMAS & BETTS CORP COM 884315102 183675 9875 X 1910 0 7965 THOMAS & BETTS CORP COM 884315102 16089 865 X 865 0 0 THOMAS INDS INC COM 884425109 2388557 82936 X 82936 0 0 THOMAS INDS INC COM 884425109 196618 6827 X 6403 0 424 THORNBURG INTERMEDIATE MUNI FUND 885215202 785864 59221 X 59221 0 0 THORNBURG INTERNATIONAL VALUE C 885215640 783200 56063 X 56063 0 0 3M COMPANY 88579Y101 78876618 641273 X 573848 1100 66325 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 296914672 12109888 9519738 181012 2409136
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ 3M COMPANY 88579Y101 55301042 449602 X 389400 26294 33908 TIFFANY & CO NEW COM 886547108 684851 19456 X 2351 0 17105 TIMKEN CO COM 887389104 5791196 259346 X 25566 0 233780 TIMKEN CO COM 887389104 179757 8050 X 7050 0 1000 TOLEDO MIRROR AND GLASS COMPANY 8892729A0 1680560 322 X 322 0 0 TOMPKINS COUNTY TRUSTCO INC 890110109 203079 4170 X 4170 0 0 TOO INC 890333107 4217167 136921 X 9171 0 127750 TOP ROC PRECAST CORP 890790108 0 88332 X 88332 0 0 TORCHMARK CORP COM 891027104 1359003 35576 X 17514 0 18062 TORCHMARK CORP COM 891027104 173886 4552 X 4152 0 400 TORONTO DOMINION BK ONT 891160509 105609 4494 X 4494 0 0 TORONTO DOMINION BK ONT 891160509 169200 7200 X 7200 0 0 TOTAL FINA ELF S.A. SPONSORED ADR 89151E109 2304841 28490 X 3310 0 25180 TOTAL FINA ELF S.A. SPONSORED ADR 89151E109 28477 352 X 352 0 0 TOWER AUTOMOTIVE INC COM 891707101 6859355 491710 X 37170 0 454540 TOWER FINANCIAL CORP 891769101 158895 13500 X 13500 0 0 TOWER FINANCIAL CORP 891769101 17655 1500 X 500 0 1000 TOYS R US INC COM 892335100 2083996 119290 X 3109 0 116181 TOYS R US INC COM 892335100 156269 8945 X 5945 3000 0 TRACTOR SUPPLY CO 892356106 404643 5700 X 5700 0 0 TRANSAMERICA INVS INC 893509109 906384 64374 X 64374 0 0 TRANSAMERICA INVS INC 893509109 9279 659 X 659 0 0 TRANSMETA CORP 89376R109 188 80 X 80 0 0 TRANSMETA CORP 89376R109 23500 10000 X 0 0 10000 TRI-CONTINENTAL CORPORATION 895436103 142501 8851 X 8851 0 0 TRI-CONTINENTAL CORPORATION 895436103 256495 15931 X 4892 0 11039 TRIAD GUARANTY INC 895925105 8712530 200150 X 15900 0 184250 TRIBUNE CO NEW COM 896047107 1815473 41735 X 17836 0 23899 TRIBUNE CO NEW COM 896047107 1548035 35587 X 24441 8846 2300 TRIUMPH GROUP INC NEW 896818101 9694479 217365 X 16730 0 200635 TRIPATH IMAGING INC 896942109 57387 13132 X 0 0 13132 TRUSTMARK CORP COM 898402102 12142740 475254 X 36864 0 438390 TUESDAY MORNING CORP 899035505 476992 25700 X 25700 0 0 TURBODYNE TECHNOLOGIES INC 899905103 2733 14385 X 14385 0 0 TWEEDY BROWNE FD INC 901165100 433442 23253 X 22553 701 0 TWEEDY BROWNE FD INC 901165100 294638 15807 X 11953 0 3854 TYCO INTL LTD NEW 902124106 23547821 1742992 X 1527618 3273 212101 TYCO INTL LTD NEW 902124106 15783760 1168302 X 1023187 46555 98560 UMB MONEY MARKET FUND INC 902800101 233310 233310 X 233310 0 0 UST INC 902911106 2252466 66249 X 41145 0 25104 UST INC 902911106 1324708 38962 X 38087 875 0 US BANCORP DEL COM NEW 902973304 37347907 1599482 X 1025210 150 574122 US BANCORP DEL COM NEW 902973304 5099080 218376 X 211877 3865 2634 UBIQUITEL INC 903474302 29848 43258 X 0 0 43258 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 204015177 7960702 4994960 93559 2872184
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ ULTRA PETROLEUM CORP 903914109 2195408 289250 X 11300 0 277950 ULTRA TECH STEPPER INC COM 904034105 6833232 422065 X 31810 0 390255 UIT UNCOMMON VALUE TRUST #2000 A 904310182 1 19349 X 19349 0 0 UNIFI INC COM 904677101 130800 12000 X 0 0 12000 UNILEVER N V 904784709 7831145 120851 X 16930 0 103921 UNILEVER N V 904784709 2271564 35055 X 27458 6705 892 UNION PAC CORP CO COM 907818108 29666297 468810 X 108981 0 359829 UNION PAC CORP CO COM 907818108 3914501 61860 X 53170 6500 2190 UNION PLANTERS CORP COM 908068109 709842 21929 X 5398 0 16531 UNION PLANTERS CORP COM 908068109 202118 6244 X 6244 0 0 UNIONBANCAL CORP COM 908906100 721490 15400 X 15400 0 0 UNION TOOL CORPORATION 908990104 664500 6645 X 6645 0 0 UNISYS CORP COM 909214108 274320 30480 X 4607 0 25873 UNISYS CORP COM 909214108 16200 1800 X 1800 0 0 UNITED CMNTY FINL CORP OHIO 909839102 193752 20700 X 20700 0 0 UNITED CMNTY FINL CORP OHIO 909839102 136656 14600 X 14600 0 0 UNITED BANKSHARES INC WEST V 909907107 315747 10747 X 10747 0 0 UNITED BANKSHARES INC WEST V 909907107 17628 600 X 600 0 0 UNITED DEFENSE INDS INC 91018B104 5419605 235635 X 17240 0 218395 UNITED DEFENSE INDS INC 91018B104 2300 100 X 100 0 0 UNITED DOMINION RLTY TR INC COM 910197102 25200 1600 X 1600 0 0 UNITED DOMINION RLTY TR INC COM 910197102 389765 24747 X 22747 2000 0 UNITED MICROELECTRONICS CORP 910873207 2374050 323000 X 4370 0 318630 UNITED PARCEL SERVICE INC 911312106 2310006 37409 X 37409 0 0 UNITED PARCEL SERVICE INC 911312106 453307 7341 X 4591 350 2400 UNITED STATES STL CORP NEW 912909108 258789 13011 X 2886 0 10125 UNITED STATES STL CORP NEW 912909108 21720 1092 X 640 40 412 UNITED SURGICAL PARTNERS 913016309 3058872 98737 X 6087 0 92650 UNITED TECHNOLOGIES CORP COM 913017109 65997025 971974 X 881173 545 90256 UNITED TECHNOLOGIES CORP COM 913017109 13331961 196347 X 169273 13490 13584 UNITEDHEALTH GROUP INC 91324P102 9641131 105310 X 70307 0 35003 UNITEDHEALTH GROUP INC 91324P102 59508 650 X 650 0 0 UNIVISION COMMUNICATIONS INC 914906102 841646 26804 X 3217 0 23587 UNIZAN FINANCIAL CORP 91528W101 94033 4392 X 4392 0 0 UNIZAN FINANCIAL CORP 91528W101 355898 16623 X 16623 0 0 UNOCAL CORP COM 915289102 1814308 49115 X 29540 0 19575 UNOCAL CORP COM 915289102 691960 18732 X 16246 2000 486 UNOVA INC 91529B106 5134609 791157 X 70237 0 720920 UNUMPROVIDENT CORP 91529Y106 705805 27733 X 8313 0 19420 UNUMPROVIDENT CORP 91529Y106 6515 256 X 256 0 0 U S FREIGHTWAYS CORP COM 916906100 5156001 136150 X 5350 0 130800 UROLOGIX INC 917273104 3161049 247150 X 9550 0 237600 USACCESS BANK INC CL A 9172969A5 200000 20000 X 20000 0 0 V F CORP COM 918204108 506593 12920 X 1817 0 11103 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 178106857 4926370 1760353 31630 3134387
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ V F CORP COM 918204108 228830 5836 X 5036 800 0 VALSPAR CORP COM 920355104 315980 7000 X 7000 0 0 VALUE CITY DEPT STORES INC COM 920387107 136962 48915 X 48915 0 0 VALUE LINE ASSET ALLOCATION FD INC 920395100 1674246 100858 X 100858 0 0 VAN KAMPEN MERRITT PA TAX FREE 920902103 530391 30963 X 30963 0 0 VAN KAMPEN MUNICIPAL INCOME TRUST 920909108 241437 27281 X 27281 0 0 VAN KAMPEN MUNICIPAL INCOME TRUST 920909108 107970 12200 X 12200 0 0 VAN KAMPEN 920914108 102203 12343 X 8303 0 4040 VAN KAMPEN 920914108 36753 4439 X 1336 0 3103 VAN KAMPEN TR INVT GRADE MUNICIPALS 920929106 83430 5314 X 5314 0 0 VAN KAMPEN TR INVT GRADE MUNICIPALS 920929106 104075 6629 X 6629 0 0 VAN KAMPEN SR INCOME TR 920961109 45234 6300 X 6300 0 0 VAN KAMPEN SR INCOME TR 920961109 34464 4800 X 4800 0 0 VAN KAMPEN ADVANTAGE MUN INCOME TR 921124103 80580 5100 X 5100 0 0 VAN KAMPEN ADVANTAGE MUN INCOME TR 921124103 83740 5300 X 5300 0 0 VAN KAMPEN 921129102 196380 13478 X 13478 0 0 VAN KAMPEN 921129102 19618 1346 X 0 1346 0 VAN KAMPEN EQUITY AND INCOME CL A 92113D102 125837 17649 X 17649 0 0 VAN KAMPEN EQUITY AND INCOME CL A 92113D102 109490 15356 X 8496 6860 0 VAN KAMPEN 92113F107 65225 6272 X 6272 0 0 VAN KAMPEN 92113F107 127347 12245 X 12245 0 0 VAN KAMPEN AM CAP GOVT SEC F 92113F206 104617 10079 X 10079 0 0 VAN KAMPEN EMERGING MARKETS FUND 921133856 92187 11381 X 11381 0 0 VANGUARD HEALTH CARE FUND 921908307 454872 4180 X 3498 0 682 VANGUARD HEALTH CARE FUND 921908307 394389 3625 X 2727 0 898 VANGUARD REIT INDEX FUND 921908703 36972 2749 X 2199 0 550 VANGUARD REIT INDEX FUND 921908703 141626 10530 X 4451 6078 0 VANGUARD HEALTH CARE FUND 921908885 538610 11729 X 0 0 11729 VANGUARD TOTAL INTL STK INDEX 921909602 254979 27775 X 27775 0 0 VANGUARD TOTAL INTL STK INDEX 921909602 45592 4966 X 4966 0 0 VANGUARD DEVELOPED MKTS INDEX 921909701 70847 10328 X 10328 0 0 VANGUARD US GROWTH FUND 921910105 133687 9702 X 9104 0 597 VANGUARD US GROWTH FUND 921910105 46705 3389 X 3389 0 0 VANGUARD INTERNATIONAL GROWTH FD 921910204 514401 35673 X 35673 0 0 VANGUARD INTERNATIONAL GROWTH FD 921910204 65149 4518 X 4518 0 0 VANGUARD CALVERT SOCIAL INDEX FD 921910303 180010 27822 X 27822 0 0 VANGUARD GROWTH AND INCOME FUND 921913109 5731476 232703 X 232701 0 2 VANGUARD GROWTH AND INCOME FUND 921913109 85984 3491 X 3491 0 0 VANGUARD EQUITY INCOME FUND 921921102 320217 15034 X 15034 0 0 VANGUARD EQUITY INCOME FUND 921921102 65864 3092 X 3092 0 0 VANGUARD MORGAN GROWTH FD 921928107 100699 8180 X 8180 0 0 VANGUARD MORGAN GROWTH FD 921928107 58624 4762 X 4762 0 0 VANGUARD OHIO T/E MONEY MKT 921929105 54661 54661 X 54661 0 0 VANGUARD OHIO LONG-TERM T/E 921929204 1523803 126038 X 126038 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 15466163 976031 939344 15084 21601
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ VANGUARD OHIO LONG-TERM T/E 921929204 1290222 106718 X 106718 0 0 VANGUARD BALANCED INDEX FD 921931101 183222 11057 X 11057 0 0 VANGUARD BALANCED INDEX FD 921931101 15021 907 X 907 0 0 VANGUARD WELLINGTON FUND 921935102 1462934 55268 X 53647 0 1621 VANGUARD WELLINGTON FUND 921935102 550150 20784 X 20784 0 0 VANGUARD PRIMECAP FUND 921936100 1403462 32533 X 31292 0 1241 VANGUARD PRIMECAP FUND 921936100 345535 8010 X 8010 0 0 VANGUARD TOTAL BD MKT INDEX FD 921937108 9947467 981981 X 953881 23814 4286 VANGUARD TOTAL BD MKT INDEX FD 921937108 5840384 576543 X 576543 0 0 VANGUARD SHORT-TERM BD INDEX FD 921937207 4499132 445018 X 445018 0 0 VANGUARD SHORT-TERM BD INDEX FD 921937207 522251 51657 X 30390 21267 0 VANGUARD INTER-TM BD INDEX FD 921937306 3903852 381608 X 381608 0 0 VANGUARD INTER-TM BD INDEX FD 921937306 715484 69940 X 69940 0 0 VANGUARD WELLESLEY INCOME FUND 921938106 743219 37013 X 36393 0 620 VANGUARD WELLESLEY INCOME FUND 921938106 257772 12837 X 12644 0 193 VANGUARD TAX-MNGD GRW & INC FD 921943874 906347 20487 X 20487 0 0 VANGUARD TREASURY MONEY MARKET FD 921948105 1000000 1000000 X 1000000 0 0 VANGUARD WINDSOR FUND 922018106 2341683 172183 X 139406 0 32776 VANGUARD WINDSOR FUND 922018106 345217 25384 X 23000 0 2384 VANGUARD WINDSOR II FUND 922018205 6733471 279745 X 277743 0 2002 VANGUARD WINDSOR II FUND 922018205 584886 24299 X 23407 0 892 VANGUARD ASSET ALLOCATION FD 922020102 671694 34062 X 34062 0 0 VANGUARD CALIF INTER-TM T/E FD 922021308 3115193 277894 X 273410 0 4484 VANGUARD CALIF INTER-TM T/E FD 922021308 294470 26269 X 26269 0 0 VANGUARD HIGH-YIELD CORPORATE FD 922031208 1648583 274764 X 274764 0 0 VANGUARD HIGH-YIELD CORPORATE FD 922031208 614123 102354 X 102354 0 0 VANGUARD GNMA FUND 922031307 1184084 112235 X 87041 0 25195 VANGUARD GNMA FUND 922031307 669499 63460 X 63460 0 0 VANGUARD SHORT-TERM CORP FD 922031406 6506316 609206 X 592787 7287 9132 VANGUARD SHORT-TERM CORP FD 922031406 1513642 141727 X 109108 32619 0 VANGUARD SHORT-TM FEDERAL FD 922031604 585041 55193 X 42714 0 12479 VANGUARD SHORT-TM FEDERAL FD 922031604 176435 16645 X 16645 0 0 VANGUARD SHORT-TERM TREASURY FD 922031703 710259 66754 X 66754 0 0 VANGUARD SHORT-TERM TREASURY FD 922031703 91178 8569 X 8569 0 0 VANGUARD INTERMEDIATE-TM TREAS FD 922031802 120470 10708 X 10708 0 0 VANGUARD INTERMEDIATE-TM TREAS FD 922031802 502571 44673 X 21589 0 23084 VANGUARD INFLATION-PROTECTED 922031869 3254289 290821 X 290821 0 0 VANGUARD INFLATION-PROTECTED 922031869 51049 4562 X 4562 0 0 VANGUARD INTERMEDIATE-TM CORP FD 922031885 835958 86181 X 86181 0 0 VANGUARD INTERMEDIATE-TM CORP FD 922031885 187903 19371 X 19371 0 0 VANGUARD FLA LONG-TM T/E FD 922033105 974752 83598 X 83598 0 0 VANGUARD FLA LONG-TM T/E FD 922033105 337893 28979 X 28979 0 0 VANGUARD CAPITAL OPPORTUNITY FD 922038302 413152 22417 X 22417 0 0 VANGUARD CAPITAL OPPORTUNITY FD 922038302 216694 11758 X 5734 0 6023 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 68266959 6706172 6494772 84987 126412
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ VANGUARD NY LONG-TM T/E FD 92204H103 809392 71946 X 71946 0 0 VANGUARD NY LONG-TM T/E FD 92204H103 651196 57884 X 2911 54973 0 VANGUARD PA LONG-TM T/E FD 92204L104 554742 48534 X 48534 0 0 VANGUARD PA LONG-TM T/E FD 92204L104 231333 20239 X 20239 0 0 VANGUARD MASSACHUSETTS TAX EXEMPT 92204X108 283030 28218 X 28218 0 0 VANGUARD INSTL INDEX FD 922040100 42719492 472143 X 472143 0 0 VANGUARD PACIFIC STK INDEX FD 922042106 196582 28123 X 28123 0 0 VANGUARD EUROPEAN STOCK INDEX FD 922042205 489808 25196 X 24277 0 919 VANGUARD EUROPEAN STOCK INDEX FD 922042205 92692 4768 X 4768 0 0 VARCO INTL INC DEL 922122106 3129136 178400 X 6750 0 171650 VECTREN CORPORATION 92240G101 2060710 82100 X 72163 0 9937 VECTREN CORPORATION 92240G101 19300068 768927 X 721677 0 47250 VENTAS INC 92276F100 125154 9816 X 9816 0 0 VENTAS INC 92276F100 24901 1953 X 500 0 1453 VANGUARD PRIME MONEY MKT FD 922906201 1497114 1497114 X 1487448 0 9665 VANGUARD PRIME MONEY MKT FD 922906201 50232 50232 X 50232 0 0 VANGUARD FEDERAL MONEY MKT 922906300 41000 41000 X 41000 0 0 VANGUARD PRIME MONEY MKT FD 922906508 9500000 9500000 X 9500000 0 0 VANGUARD SHORT-TM TAX-EXEMPT FD 922907100 185502 11793 X 11793 0 0 VANGUARD SHORT-TM TAX-EXEMPT FD 922907100 2992674 190253 X 115498 74755 0 VANGUARD INTERMEDIATE-TM T-EX FD 922907209 3403367 251171 X 251171 0 0 VANGUARD INTERMEDIATE-TM T-EX FD 922907209 1935560 142846 X 127958 0 14888 VANGUARD LONG-TM TAX-EX FD 922907308 65474 5820 X 5820 0 0 VANGUARD LONG-TM TAX-EX FD 922907308 612903 54480 X 38594 15886 0 VANGUARD HIGH-YLD TAX-EX FD 922907407 79378 7453 X 7453 0 0 VANGUARD HIGH-YLD TAX-EX FD 922907407 775125 72782 X 72782 0 0 VANGUARD TAX-EXEMPT MONEY MKT 922907506 986094 986094 X 986094 0 0 VANGUARD TAX-EXEMPT MONEY MKT 922907506 741171 741171 X 683655 0 57517 VANGUARD INSURED LONG-TM T-EX FD 922907605 673509 53200 X 47298 0 5902 VANGUARD INSURED LONG-TM T-EX FD 922907605 196611 15530 X 15530 0 0 VANGUARD LIMITED-TM TAX-EX FD 922907704 136715 12440 X 3662 8778 0 VANGUARD 500 INDEX FUND 922908108 26756393 292964 X 289611 0 3353 VANGUARD 500 INDEX FUND 922908108 11395995 124778 X 115362 1413 8003 VANGUARD EXTENDED MKT INDEX FD 922908207 653718 30894 X 30894 0 0 VANGUARD EXTENDED MKT INDEX FD 922908207 95985 4536 X 4536 0 0 VANGUARD TOTAL STK MKT INDEX FD 922908306 293843 13019 X 13019 0 0 VANGUARD TOTAL STK MKT INDEX FD 922908306 265289 11754 X 8450 0 3304 VANGUARD VALUE INDEX FD 922908405 385496 22716 X 19306 0 3411 VANGUARD VALUE INDEX FD 922908405 424980 25043 X 25043 0 0 VANGUARD GROWTH INDEX FD 922908504 173953 7969 X 7411 0 557 VANGUARD GROWTH INDEX FD 922908504 500241 22915 X 18327 0 4589 VANGUARD VALUE INDEX FD 922908678 1765607 104043 X 104043 0 0 VANGUARD SM-CAP INDEX FD 922908702 1447513 76225 X 23816 0 52409 VANGUARD SM-CAP INDEX FD 922908702 512582 26992 X 26992 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 139212260 16195474 15644863 155805 394807
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 500 INDEX FUND 922908710 6329735 69306 X 65390 0 3916 VANGUARD 500 INDEX FUND 922908710 541396 5928 X 5928 0 0 VANGUARD SM-CAP VALUE INDEX FD 922908793 1152764 108547 X 106721 0 1826 VANGUARD SM-CAP VALUE INDEX FD 922908793 70360 6625 X 6625 0 0 VANGUARD TOTAL STK MKT INDEX FD 922908801 655855 29059 X 0 0 29059 VANGUARD MID-CAP INDEX FD 922908843 479260 42226 X 39664 0 2562 VANGUARD MID-CAP INDEX FD 922908843 106064 9345 X 1155 0 8190 VERITY INC COM 92343C106 4413609 397981 X 28561 0 369420 VERITY INC COM 92343C106 1774 160 X 0 0 160 VERISIGN INC 92343E102 80118 11143 X 10918 0 225 VERISIGN INC 92343E102 57556 8005 X 7176 128 701 VERITAS DGC INC COM (NEW) 92343P107 2197440 174400 X 10350 0 164050 VERIZON COMMUNICATIONS 92343V104 144390136 3596267 X 2411057 6205 1179005 VERIZON COMMUNICATIONS 92343V104 58157516 1448506 X 1151858 103262 193386 VERITAS SOFTWARE CORP COM 923436109 1037471 52424 X 7328 0 45096 VERITAS SOFTWARE CORP COM 923436109 81614 4124 X 1608 2400 116 VERSUS TECHNOLOGY INC 925313108 900 10000 X 10000 0 0 VIACOM INC CL A COM 925524100 273340 6148 X 6148 0 0 VIACOM INC CL A COM 925524100 4446 100 X 100 0 0 VIACOM INC CL B COM 925524308 62623507 1411393 X 814882 800 595711 VIACOM INC CL B COM 925524308 6400062 144243 X 123545 7350 13348 VICTORY FDS 926442500 97457 97457 X 97457 0 0 VICTORY PORTFOLIOS 926464413 1282488 108227 X 108227 0 0 VICTORY PORTFOLIOS 926464603 227483 18228 X 18228 0 0 VICTORY INSTITUTIONAL 926464785 1170982 1170982 X 1170982 0 0 VICTORY INSTITUTIONAL 926464785 8818 8818 X 8818 0 0 VIRAGE LOGIC CORPORATION 92763R104 2509605 192750 X 7500 0 185250 VISHAY INTERTECHNOLOGY INC COM 928298108 11000 500 X 500 0 0 VISHAY INTERTECHNOLOGY INC COM 928298108 259512 11796 X 11296 500 0 JP MORGAN FUNDS 928374701 1285620 48957 X 48957 0 0 JP MORGAN FUNDS 928374701 480343 18292 X 6360 9982 1950 VISTEON CORP 92839U107 317688 22372 X 7736 0 14636 VISTEON CORP 92839U107 134786 9492 X 8419 787 286 VITESSE SEMICONDUCTOR CORP COM 928497106 111257 35774 X 8653 0 27121 VITESSE SEMICONDUCTOR CORP COM 928497106 60371 19412 X 19212 0 200 VIVENDI UNIVERSAL 92851S204 1739028 80885 X 41085 0 39800 VIVENDI UNIVERSAL 92851S204 159100 7400 X 7400 0 0 VODAFONE GROUP PLC NEW 92857W100 2312221 169394 X 153604 0 15790 VODAFONE GROUP PLC NEW 92857W100 3316295 242952 X 220287 8660 14005 VORNADO REALTY TRUST 929042109 50219 1087 X 1087 0 0 VORNADO REALTY TRUST 929042109 693000 15000 X 15000 0 0 VULCAN MATERIALS CO COM 929160109 798386 18228 X 10101 0 8127 VULCAN MATERIALS CO COM 929160109 2544649 58097 X 52097 6000 0 WFI INDS LTD 92923V102 2541128 625006 X 625006 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 311166359 10517036 7457026 146074 2913936
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ WD 40 CO COM 929236107 120395 4337 X 4337 0 0 WD 40 CO COM 929236107 128529 4630 X 4530 100 0 WPS RESOURCES CORP COM 92931B106 196392 4810 X 4510 0 300 WPS RESOURCES CORP COM 92931B106 146498 3588 X 1938 0 1650 WABASH VALLEY BROADCASTING 929580918 985352 6944 X 4886 2058 0 WABTEC COM 929740108 6825223 478963 X 38103 0 440860 WACHOVIA CORP 2ND NEW 929903102 54275390 1421566 X 653975 0 767591 WACHOVIA CORP 2ND NEW 929903102 46214519 1210438 X 1157240 14747 38451 WADDEL & REED ADVISORS FD IN 930057104 65692 13244 X 13244 0 0 WADDEL & REED ADVISORS FD IN 930057104 137606 27743 X 10421 0 17323 WADDEL & REED ADVISORS FD INC 930057450 146678 21382 X 21382 0 0 WADDEL & REED ADVISORS FD IN 930057500 75767 10379 X 10379 0 0 WADDEL & REED ADVISORS FD IN 930057500 200058 27405 X 3464 0 23942 WADDEL & REED ADVISORS FD 930057716 104105 14788 X 14788 0 0 WADDEL & REED ADVISORS FD IN 930057880 77150 13703 X 13703 0 0 WADDELL & REED FINL INC CL A 930059100 360532 15730 X 15730 0 0 WAL-MART DE MEXICO SA DE CV 93114W206 30321 11164 X 0 11164 0 WAL MART STORES INC 931142103 198280739 3604449 X 3073442 6420 524587 WAL MART STORES INC 931142103 83310523 1514461 X 1377919 61265 75277 WALGREEN CO COM 931422109 64942979 1681154 X 1538848 2600 139706 WALGREEN CO COM 931422109 34350800 889226 X 805176 27585 56465 WALL STR FD INC 932083108 66627 11668 X 11668 0 0 WASHINGTON FEDERAL INC 938824109 8789596 347965 X 27085 0 320880 WASHINGTON FEDERAL INC 938824109 10104 400 X 400 0 0 WASHINGTON MUTUAL INC COM 939322103 5976566 161050 X 62882 0 98168 WASHINGTON MUTUAL INC COM 939322103 992099 26734 X 21269 0 5465 WASHINGTON MUTUAL INVESTORS FD A 939330106 3260001 121370 X 118179 0 3191 WASHINGTON MUTUAL INVESTORS FD A 939330106 536410 19971 X 15127 2539 2305 WASHINGTON REAL ESTATE INVT TR 939653101 302641 10472 X 9972 0 500 WASHINGTON REAL ESTATE INVT TR 939653101 28900 1000 X 1000 0 0 WASHINGTON TRUST BANCORP 940610108 18526 782 X 782 0 0 WASHINGTON TRUST BANCORP 940610108 290203 12250 X 12250 0 0 WASTE MANAGEMENT INC NEW COM 94106L109 1616012 62035 X 11669 0 50366 WASTE MANAGEMENT INC NEW COM 94106L109 58508 2246 X 2246 0 0 WASTEQUIP INC PREFERRED SERIES "A" 9410619A3 243470 2435 X 2435 0 0 WATERFIELD MTG CO INC COM 9413289A6 0 138081 X 138081 0 0 WATERS CORPORATION 941848103 470054 17605 X 2540 0 15065 WATSON PHARMACEUTICALS INC COM 942683103 271779 10755 X 2213 0 8542 WATSON PHARMACEUTICALS INC COM 942683103 73283 2900 X 1300 1500 100 WEINGARTEN RLTY INVS SH BEN INT 948741103 240685 6799 X 6799 0 0 WEINGARTEN RLTY INVS SH BEN INT 948741103 56640 1600 X 600 0 1000 WELLMAN INC COM 949702104 35015004 2090448 X 0 0 2090448 WELLMAN INC COM 949702104 217750 13000 X 0 13000 0 WELLPOINT HEALTH NETWORKS INC NEW 94973H108 1066931 13712 X 2126 0 11586 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 550577037 14055382 9218638 142978 4693768
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ WELLS FARGO & CO NEW 949746101 112006347 2237442 X 1854321 6175 376946 WELLS FARGO & CO NEW 949746101 81405269 1626154 X 1515726 28700 81728 WENDYS INTL INC COM 950590109 515440 12941 X 4552 0 8389 WENDYS INTL INC COM 950590109 814085 20439 X 20439 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 254859 10749 X 10749 0 0 WEST MARINE INC COM 954235107 2164096 169600 X 6100 0 163500 WEST PENN PLASTIC INC 9552719A1 2188113 32700 X 32700 0 0 WEST PHARMACEUTICAL SVCS INC 955306105 293624 9150 X 8650 500 0 WET SEAL INC CL A 961840105 6298730 259207 X 19888 0 239319 WHAYNE SUPPLY CO CL A VOTING 962008942 2412504 67786 X 67786 0 0 WHAYNE SUPPLY CO CL A VOTING 962008942 2503721 70349 X 4000 0 66349 WHAYNE SUPPLY CO CL B NON VOTING 962008967 2845193 88829 X 88829 0 0 WHAYNE SUPPLY CO CL B NON VOTING 962008967 4337599 135423 X 57875 0 77548 WEYERHAEUSER CO COM 962166104 12758635 199822 X 115205 0 84617 WEYERHAEUSER CO COM 962166104 1503029 23540 X 23153 0 387 WHIRLPOOL CORP COM 963320106 11969769 183136 X 174874 0 8262 WHIRLPOOL CORP COM 963320106 5874295 89876 X 89876 0 0 WHITNEY HLDG CORP COM 966612103 8448090 274824 X 23934 0 250890 WHOLE FOODS MKT INC COM 966837106 1543040 32000 X 4400 0 27600 WHOLE FOODS MKT INC COM 966837106 221812 4600 X 4600 0 0 WILD OATS MARKETS INC 96808B107 3256225 202250 X 9350 0 192900 WILLIAMS COMMUNICATIONS GROU 969455104 19 904 X 411 0 493 WILLIAMS COMMUNICATIONS GROU 969455104 2272 108202 X 8121 0 100081 WILLIAMS COS INC DEL COM 969457100 325137 54280 X 12882 0 41398 WILLIAMS COS INC DEL COM 969457100 163497 27295 X 25796 0 1499 WILMINGTON US GOVT MM PORT 9718119A4 1882 1882 X 1882 0 0 WILMINGTON US GOVT MM PORT 9718119A4 787723 787723 X 787723 0 0 WILSHIRE TARGET FDS INC 971897863 193270 24159 X 24159 0 0 WINN-DIXIE STORES INC COM 974280109 439887 28216 X 16940 0 11276 WINN-DIXIE STORES INC COM 974280109 81754 5244 X 5244 0 0 WINNEBAGO INDS INC 974637100 4983000 113250 X 4250 0 109000 WISCONSIN ENERGY CORP COM 976657106 1688415 66815 X 62915 0 3900 WISCONSIN ENERGY CORP COM 976657106 1729176 68428 X 61851 0 6577 WOLVERINE WORLD WIDE INC 978097103 6260100 358745 X 26968 0 331777 WOLVERINE WORLD WIDE INC 978097103 17450 1000 X 1000 0 0 WOODWARD GOVERNOR COMPANY 980745103 378368 6400 X 6400 0 0 WOODWARD GOVERNOR COMPANY 980745103 59120 1000 X 0 0 1000 WORLDCOM INC/WORLDCOM GROUP 98157D106 172760 208144 X 98109 0 110035 WORLDCOM INC/WORLDCOM GROUP 98157D106 107759 129830 X 117830 2200 9800 WORTHINGTON INDS INC 981811102 4262858 235517 X 212885 0 22632 WORTHINGTON INDS INC 981811102 191100 10558 X 4533 6025 0 WRIGLEY WILLIAM JR CO COM 982526105 2052101 37075 X 17416 0 19659 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 288787480 8026537 5635375 43600 2347562
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 ------------------------------ WRIGLEY WILLIAM JR CO COM 982526105 667964 12068 X 9782 0 2286 WYETH COM 983024100 77691472 1517412 X 1226562 4800 286050 WYETH COM 983024100 62809856 1226755 X 1085221 39414 102120 XCEL ENERGY INC 98389B100 1643494 98002 X 56642 0 41360 XCEL ENERGY INC 98389B100 862800 51449 X 46139 0 5310 XILINX INC COM 983919101 1014083 45211 X 7589 0 37622 XILINX INC COM 983919101 261197 11645 X 10645 200 800 XEROX CORP COM 984121103 503889 72294 X 14031 0 58263 XEROX CORP COM 984121103 31769 4558 X 4558 0 0 YAHOO! INC COM 984332106 1151634 78024 X 12852 0 65172 YAHOO! INC COM 984332106 148796 10081 X 10021 0 60 YELLOW CORP COM 985509108 17610404 543531 X 42151 0 501380 YORK INTL CORP COM NEW 986670107 12752414 377402 X 29872 0 347530 YORK INTL CORP COM NEW 986670107 135160 4000 X 4000 0 0 YUM BRANDS INC 988498101 5716445 195434 X 162518 0 32916 YUM BRANDS INC 988498101 1928043 65916 X 54324 10596 996 ZIMMER HLDGS INC 98956P102 6396177 179366 X 141812 0 37554 ZIMMER HLDGS INC 98956P102 11572205 324515 X 305778 7531 11206 ZIONS BANCORP COM 989701107 616187 11827 X 1528 0 10299 ZIONS BANCORP COM 989701107 250862 4815 X 4000 0 815 ZORAN CORP 98975F101 4883267 213150 X 13550 0 199600 ZORAN CORP 98975F101 687 30 X 30 0 0 ANDERSON FURNITURE CO COM 990339434 225000 450 X 450 0 0 IMG GROWTH FUND L P 990764292 628736 13534 X 13534 0 0 JEFFERSON MEMORIAL PARK INC 994560266 381370 8640 X 0 8640 0 PHILLIPS RESOURCES INC, COM 997310990 1186388 465 X 465 0 0 PHILLIPS RESOURCES INC, COM 997310990 6629363 2600 X 296 488 1816 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 (RESTRICTED I) 998463988 324000 3000 X 3000 0 0 FIFTH THIRD MONEY MARKET 9992599C0 2082207 2082207 X 1379282 0 702925 WEINMAN PUMP & SUPPLY CO COM 999487523 747000 90 X 90 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 222060401 7211831 4640772 107294 2463765 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR COMMON STOCK 28224039344 1480089500 1158313095 17930063 303846335
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 B. PREFERRED STOCK INSTR OTHER PREFERRED STOCK ------------------------------ ARMSTRONG INTERNATIONAL INCORPORATED 000567990 4124378 58010 X 0 0 58010 APPLIED TECHNOLOGY VENTURES 0382839B5 277920 579 X 579 0 0 DU PONT E I DE NEMOURS & CO 263534307 159398 2005 X 1505 0 500 DU PONT E I DE NEMOURS & CO 263534307 87450 1100 X 1000 0 100 DUKE ENERGY CAP TRUST II 26439G209 330369 12900 X 12900 0 0 DUKE ENERGY CAP TRUST II 26439G209 350652 13692 X 10192 0 3500 NOVALABS LLC 3741599P8 120000 120000 X 120000 0 0 MICHIGAN CON GAS PFD 594457400 452101 17905 X 17905 0 0 MICHIGAN CON GAS PFD 594457400 15150 600 X 600 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 5917418 226791 164681 0 62110 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR PREFERRED STOCK 5917418 226791 164681 0 62110
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 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 C. OTHER INSTR OTHER OTHER ------------------------------ ALLWASTE INC SUB DEB CONV 020047AA4 1875 25000 X 0 0 25000 BOSTON CHICKEN INC SUB DEB CONV 100578AC7 2 20000 X 20000 0 0 CRAY RESEARCH INC SUB DEB CONV 225224AA2 7750 20000 X 0 20000 0 DECOR CORP SUB DEB CONV 243590AA4 100000 100000 X 100000 0 0 DEVON ENERGY CORP NEW SR DEB 25179MAB9 19800 20000 X 0 20000 0 INTERIM SVCS INC SUB NT CONV 45868PAA8 376250 430000 X 405000 25000 0 OGDEN CORP 4655978S4 9814 10000 X 10000 0 0 JACOBSON STORES INC SUB DEB CONV 469834AC9 2500 20000 X 0 20000 0 MERIDIAN DIAGNOSTICS INC SUB DEB 589602AB7 12731 15000 X 15000 0 0 NEXTEL COMMUNICATIONS INC 65332VAY9 12413 30000 X 0 30000 0 NORAM ENERGY CORP 655419AC3 11250 15000 X 15000 0 0 NORTHWEST NATURAL GAS CO CONV DEB 667655AM6 19706 15000 X 15000 0 0 REPTRON ELECTRONICS INC CONV NT 76026WAA7 5900 20000 X 20000 0 0 TECK CORP SUB CONV 878742AB1 1320000 1500000 X 1500000 0 0 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR THIS PAGE 1899991 2240000 2100000 115000 25000 ---------- ---------- ---------- ---------- ---------- SUBTOTALS FOR OTHER 1899991 2240000 2100000 115000 25000
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) PREPARED FOR: NATIONAL CITY ON 07/01/02 AS OF 06/30/02 DEPT ID# 001 PAGE 77 **SUMMARY PAGE FOR: NATIONAL CITY ** CATEGORY MARKET SH/PV SOLE SHARED NONE ---------------------------------------- ---------- --------- --------- --------- --------- A. COMMON STOCK 28224039344 1480089500 1158313095 17930063 303846335 B. PREFERRED STOCK 5917418 226791 164681 0 62110 C. OTHER 1899991 2240000 2100000 115000 25000 ----------- ---------- ---------- ---------- ---------- **GRAND TOTALS** 28231856753 1482556291 1160577776 18045063 303933445