The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
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Estimated average burden
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COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
AMDOCS LIMITEDCOMMON STOCKG0260210313166SH DFND 16600
ACCENTURE PLCFOREIGN EQUITIESG1151C10199310SH SOLE 31000
ACCENTURE PLCFOREIGN EQUITIESG1151C10150155SH DFND 15500
EATON CORP PLCFOREIGN EQUITIESG2918310330200SH SOLE 20000
EVEREST RE GROUP LTDCOMMON STOCKG3223R10850200SH DFND 20000
GENPACT LTDCOMMON STOCKG3922B10710207SH DFND 20700
JAZZ PHARMACEUTICALSCOMMON STOCKG50871105216SH DFND 1600
JOHNSON CONTROLS INTL PLCFOREIGN EQUITIESG51502105234SH SOLE 3400
LINDE PLCFOREIGN EQUITIESG5494J1036602,249SH SOLE 2,211380
LINDE PLCFOREIGN EQUITIESG5494J10393318SH DFND 31800
MEDTRONIC PLCFOREIGN EQUITIESG5960L10371567SH SOLE 56700
MEDTRONIC PLCFOREIGN EQUITIESG5960L1031076SH DFND 7600
SEAGATE TECHNOLOGY PLCCOMMON STOCKG7997R10363759SH SOLE 75900
SEAGATE TECHNOLOGY PLCCOMMON STOCKG7997R10316191SH DFND 19100
ALCON INCFOREIGN EQUITIESH01301128450SH DFND 5000
CHUBB LIMITEDFOREIGN EQUITIESH1467J10440231SH SOLE 23100
CHUBB LIMITEDFOREIGN EQUITIESH1467J10443250SH DFND 25000
CHECKPOINT SOFTWARECOMMON STOCKM2246510435312SH SOLE 31200
AT&T CORP NEWCOMMON STOCK00206R10229811,042SH SOLE 7,06203,980
AT&T CORP NEWCOMMON STOCK00206R1022348,652SH DFND 8,65200
ABBOTT LABSCOMMON STOCK0028241001,25210,596SH SOLE 10,3442520
ABBOTT LABSCOMMON STOCK0028241008757,408SH DFND 7,1402680
ABBVIE INCCOMMON STOCK00287Y1094634,288SH SOLE 4,28800
ABBVIE INCCOMMON STOCK00287Y1096395,924SH DFND 5,4774470
ACTIVISION BLIZZARD INCCOMMON STOCK00507V10927345SH SOLE 34500
ADOBE SYSTEMS INCCOMMON STOCK00724F101916SH SOLE 1600
ADOBE SYSTEMS INCCOMMON STOCK00724F1012747SH DFND 4700
AIR PRODUCTS & CHEMICAL INC.COMMON STOCK0091581061038SH SOLE 3800
ALIBABA GROUP HOLDING-SP ADRCOMMON STOCK01609W102212SH DFND 1200
ALKALINE WATER CO INC / THECOMMON STOCK01643A2070200SH SOLE 20000
ALLIANT ENERGYCOMMON STOCK0188021081122,000SH SOLE 2,00000
THE ALLSTATE CORPORATIONCOMMON STOCK0200021018967,042SH SOLE 6,8072350
THE ALLSTATE CORPORATIONCOMMON STOCK0200021013232,535SH DFND 2,53500
ALPHABET INC - CL CCOMMON STOCK02079K1075320SH SOLE 2000
ALPHABET INC - CL CCOMMON STOCK02079K107389146SH DFND 14600
ALPHABET INC - CL ACOMMON STOCK02079K30514755SH SOLE 5500
ALPHABET INC - CL ACOMMON STOCK02079K305572214SH DFND 21400
ALTRIA GROUP INCCOMMON STOCK02209S103942,060SH SOLE 2,06000
ALTRIA GROUP INCCOMMON STOCK02209S1031503,290SH DFND 3,29000
AMAZON.COM INCCOMMON STOCK023135106522159SH SOLE 15900
AMAZON.COM INCCOMMON STOCK023135106782238SH DFND 23800
AMEREN CORPCOMMON STOCK02360810216192SH SOLE 19200
AMEREN CORPCOMMON STOCK02360810216199SH DFND 19900
AMERICAN ELEC PWR INCCOMMON STOCK025537101792SH SOLE 9200
AMERICAN ELEC PWR INCCOMMON STOCK02553710127338SH DFND 33800
AMERICAN EXPRESS COCOMMON STOCK025816109133795SH SOLE 79500
AMERICAN OUTDOOR BRANDS INCCOMMON STOCK02875D109275SH SOLE 7500
AMERICAN TOWER CORPREIT03027X1005211,964SH SOLE 1,910540
AMERICAN TOWER CORPREIT03027X1002074SH DFND 7400
AMERIPRISE FINANCIAL INCCOMMON STOCK03076C10653200SH SOLE 20000
AMGEN INCCOMMON STOCK03116210096451SH SOLE 45100
ANALOG DEVICESCOMMON STOCK03265410523137SH SOLE 13700
ANALOG DEVICESCOMMON STOCK03265410555330SH DFND 33000
ANSYS INCCOMMON STOCK03662Q105515SH SOLE 1500
ANTHEM INCCOMMON STOCK0367521033799SH DFND 9900
APPLE INCCOMMON STOCK0378331002,12915,046SH SOLE 14,577209260
APPLE INCCOMMON STOCK0378331002,72319,244SH DFND 19,24400
APPLIED MATERIALS INCCOMMON STOCK03822210571550SH SOLE 55000
ASTRAZENECA PLC SPONS ADRFOREIGN EQUITIES0463531081061,760SH DFND 1,76000
ATMOS ENERGY CORPCOMMON STOCK04956010535400SH SOLE 40000
AUTODESKCOMMON STOCK052769106726SH SOLE 2600
AUTOMATIC DATA PROCESSINGCOMMON STOCK053015103168842SH SOLE 84200
AUTOMATIC DATA PROCESSINGCOMMON STOCK05301510391456SH DFND 45600
AUTOZONE INCCOMMON STOCK0533321025935SH DFND 3500
AVALONBAY COMMUNITIES INCREIT05348410168309SH SOLE 30900
AVALONBAY COMMUNITIES INCREIT05348410133150SH DFND 15000
BP P.L.C.FOREIGN EQUITIES05562210481029,641SH SOLE 29,64100
BP P.L.C.FOREIGN EQUITIES05562210449117,990SH DFND 16,9901,0000
BANK OF AMERICA CORPCOMMON STOCK06050510428660SH SOLE 66000
BANK OF AMERICA CORPCOMMON STOCK06050510442994SH DFND 99400
BAXTER INTL INCCOMMON STOCK07181310954675SH SOLE 67500
BAXTER INTL INCCOMMON STOCK071813109801,000SH DFND 1,00000
BERKSHIRE HATHAWAY INCCOMMON STOCK084670702621SH SOLE 2100
BERKSHIRE HATHAWAY INCCOMMON STOCK08467070241150SH DFND 15000
BHP BILLITON LTD SPON ADRFOREIGN EQUITIES0886061082324,338SH SOLE 4,1931450
BHP BILLITON LTD SPON ADRFOREIGN EQUITIES08860610823437SH DFND 43700
BIOGEN INCCOMMON STOCK09062X103827SH DFND 2700
BLACKLINE INCCOMMON STOCK09239B109647SH SOLE 4700
BLACKROCK INCCOMMON STOCK09247X1017590SH SOLE 9000
BLACKROCK INCCOMMON STOCK09247X101138165SH DFND 16500
BLACKSTONE GROUP LPPARTNERSHIPS (PUB TRADED)09260D10712100SH SOLE 10000
BOEING COCOMMON STOCK0970231057063,210SH SOLE 3,0761340
BOEING COCOMMON STOCK09702310581369SH DFND 36900
BOOKING HOLDINGS INCCOMMON STOCK09857L10811950SH DFND 5000
BOOZ ALLEN HAMILTON HOLDINGSCOMMON STOCK09950210631389SH DFND 38900
BRISTOL-MYERS SQUIBB COCOMMON STOCK1101221081642,775SH SOLE 2,2750500
BRISTOL-MYERS SQUIBB COCOMMON STOCK1101221085158,712SH DFND 8,2654470
BROADCOM INCCOMMON STOCK11135F10148100SH DFND 10000
BROWN & BROWN INCCOMMON STOCK11523610121372SH DFND 37200
CDW CORP/DECOMMON STOCK12514G10829162SH DFND 16200
CIGNA CORPCOMMON STOCK12552310048238SH SOLE 23800
CIGNA CORPCOMMON STOCK12552310017SH DFND 700
CME GROUP INCCOMMON STOCK12572Q105143742SH DFND 74200
CMS ENERGY CORPCOMMON STOCK1258961001091,828SH SOLE 1,3280500
CVS HEALTH CORPORATIONCOMMON STOCK12665010051600SH SOLE 60000
CVS HEALTH CORPORATIONCOMMON STOCK12665010015175SH DFND 17500
CANADIAN NATIONAL RAILWAY COFOREIGN EQUITIES13637510266570SH DFND 57000
CAPITAL ONE FINANCIAL CORPCOMMON STOCK14040H105425SH DFND 2500
CARDINAL HEALTH INCCOMMON STOCK14149Y10811223SH DFND 02230
CARMAX INCCOMMON STOCK14313010259460SH DFND 46000
CARRIER GLOBAL CORPCOMMON STOCK14448C1042244,331SH SOLE 4,33100
CARRIER GLOBAL CORPCOMMON STOCK14448C10433632SH DFND 63200
CASEY'S GENERAL STORES INCCOMMON STOCK14752810359315SH DFND 31500
CATERPILLAR INC DELCOMMON STOCK1491231011951,015SH SOLE 1,01500
CATERPILLAR INC DELCOMMON STOCK1491231012171,130SH DFND 1,13000
CHEMOURS CO/THECOMMON STOCK16385110815520SH DFND 52000
CHEVRON CORPORATIONCOMMON STOCK1667641001971,938SH SOLE 1,5380400
CHEVRON CORPORATIONCOMMON STOCK1667641001811,787SH DFND 1,78700
CHIPOTLE MEXICAN GRILL INCCOMMON STOCK16965610513675SH DFND 7500
CINCINNATI FINANCIAL STOCKCOMMON STOCK17206210176665SH DFND 66500
CISCO SYSTEMS INCCOMMON STOCK17275R1021843,375SH SOLE 3,37500
CISCO SYSTEMS INCCOMMON STOCK17275R1022875,273SH DFND 5,27300
CITIGROUP INCCOMMON STOCK17296742456800SH SOLE 80000
CITRIX SYSTEMS INCCOMMON STOCK177376100438SH DFND 3800
CLOROX CO DELCOMMON STOCK18905410962375SH DFND 37500
COCA COLA COCOMMON STOCK19121610069013,150SH SOLE 11,95001,200
COCA COLA COCOMMON STOCK1912161001603,055SH DFND 2,3407150
COGNIZANT TECHNLGY SOLCOMMON STOCK19244610222300SH SOLE 30000
COLGATE-PALMOLIVE COCOMMON STOCK194162103565SH SOLE 6500
COLGATE-PALMOLIVE COCOMMON STOCK1941621032503,313SH DFND 3,31300
COMCAST CORPORATIONCOMMON STOCK20030N10199917,857SH SOLE 17,3295280
COMCAST CORPORATIONCOMMON STOCK20030N1011753,131SH DFND 3,13100
CONAGRA BRANDS INCCOMMON STOCK2058871021875,526SH SOLE 5,52600
CONAGRA BRANDS INCCOMMON STOCK20588710225742SH DFND 74200
CONOCOPHILLIPSCOMMON STOCK20825C104344SH SOLE 4400
CONOCOPHILLIPSCOMMON STOCK20825C104981,440SH DFND 1,44000
CONSOLIDATED EDISON INC COMCOMMON STOCK2091151049125SH SOLE 12500
CONSOLIDATED EDISON INC COMCOMMON STOCK20911510463870SH DFND 87000
COPART INCCOMMON STOCK21720410622159SH DFND 15900
CORTEVA INCCOMMON STOCK22052L10412274SH SOLE 27400
CORTEVA INCCOMMON STOCK22052L104471,111SH DFND 1,11100
COSTCO WHOLESALE CORP NEWCOMMON STOCK22160K10567148SH SOLE 14800
COSTCO WHOLESALE CORP NEWCOMMON STOCK22160K10575166SH DFND 16600
DNP SELECT INCOME FD INC COMCLOSED-END FUND - EQUITY23325P104373,470SH SOLE 3,47000
DTE ENERGY COCOMMON STOCK23333110726235SH DFND 23500
DT MIDSTREAM INCCOMMON STOCK23345M1075117SH DFND 11700
DANAHER CORPORATIONCOMMON STOCK2358511023731,226SH SOLE 1,22600
DANAHER CORPORATIONCOMMON STOCK23585110277253SH DFND 25300
DARDEN RESTAURANTS INCCOMMON STOCK23719410545300SH SOLE 00300
DARDEN RESTAURANTS INCCOMMON STOCK23719410541268SH DFND 02680
DECKERS OUTDOOR CORPCOMMON STOCK2435371072776SH DFND 7600
DEERE & COMPANYCOMMON STOCK24419910557170SH SOLE 17000
DEERE & COMPANYCOMMON STOCK244199105119355SH DFND 35500
DISNEY WALT COMPANYCOMMON STOCK2546871062101,243SH SOLE 9430300
DISNEY WALT COMPANYCOMMON STOCK254687106155916SH DFND 4694470
DOLLAR GENERAL CORPCOMMON STOCK25667710579373SH SOLE 37300
DOLLAR GENERAL CORPCOMMON STOCK256677105121569SH DFND 56900
DOMINION RESOURCES INC/VACOMMON STOCK25746U10911156SH SOLE 15600
DOMINION RESOURCES INC/VACOMMON STOCK25746U1091211,660SH DFND 1,66000
DOVER CORPORATIONCOMMON STOCK26000310819120SH SOLE 12000
DOW INCCOMMON STOCK26055710334590SH SOLE 59000
DOW INCCOMMON STOCK260557103641,109SH DFND 1,10900
DUKE ENERGY CORPCOMMON STOCK26441C2045635,769SH SOLE 5,410144215
DUKE ENERGY CORPCOMMON STOCK26441C2041681,724SH DFND 1,72400
DUPONT DE NEMOURS INCCOMMON STOCK26614N10234507SH SOLE 50700
DUPONT DE NEMOURS INCCOMMON STOCK26614N102761,111SH DFND 1,11100
EASTMAN CHEM COCOMMON STOCK27743210020200SH SOLE 20000
EATON VANCE TAX MNGD BUY - WRITE OPP FUNDEQUITY FUNDS27828Y108241,500SH DFND 1,50000
ECOLAB INCCOMMON STOCK278865100167802SH SOLE 80200
ECOLAB INCCOMMON STOCK27886510044210SH DFND 21000
EDWARDS LIFESCIENCES CORPCOMMON STOCK28176E1081251,107SH DFND 1,10700
EMERSON ELEC COCOMMON STOCK29101110425266SH SOLE 26600
EMERSON ELEC COCOMMON STOCK2910111041631,733SH DFND 6601,0730
ENERGY TRANSFER LPPARTNERSHIPS (PUB TRADED)29273V10010410,900SH SOLE 10,90000
ENTERPRISE PRODUCTS PARTNERS LPPARTNERSHIPS (PUB TRADED)293792107371,700SH DFND 1,70000
ETSY INCCOMMON STOCK29786A106734SH SOLE 3400
EVERGY INCCOMMON STOCK30034W106621,000SH DFND 1,00000
EXELON CORPORATIONCOMMON STOCK30161N10124500SH DFND 50000
EXXON MOBIL CORPCOMMON STOCK30231G10282213,971SH SOLE 12,4791321,360
EXXON MOBIL CORPCOMMON STOCK30231G1024026,831SH DFND 4,7632,0680
FACEBOOK INCCOMMON STOCK30303M1021,0953,227SH SOLE 3,139880
FACEBOOK INCCOMMON STOCK30303M102206607SH DFND 60700
FEDEX CORPCOMMON STOCK31428X106733SH SOLE 3300
FEDEX CORPCOMMON STOCK31428X10626120SH DFND 12000
FIDELITY NATL INFORMATION SERVICESCOMMON STOCK31620M10626213SH DFND 21300
FIDELITY NATIONAL FINANCIALCOMMON STOCK31620R30337814SH DFND 81400
FIRST BUSEY CORPCOMMON STOCK3193832041124,569SH SOLE 4,56900
FIRST FINANCIAL CORPORATIONCOMMON STOCK32021810026,061619,903SH SOLE 581,355038,548
FIRST FINANCIAL CORPORATIONCOMMON STOCK3202181004,441105,638SH DFND 103,1772,4610
FIRST INTERNET BK OF INCOMMON STOCK320557101943,000SH DFND 3,00000
FIRST TRUST MORN DVD LEAD INETF EQUITY336917109611,875SH DFND 1,87500
FIRST TRUST INTERMEDIATE DURCLOSED-END FUND - EQUITY33718W10360424,140SH SOLE 23,8620278
FIRST TRUST FINANCIAL ALPHADETF EQUITY33734X1351824,107SH SOLE 4,10700
FIRST TRUST FINANCIAL ALPHADETF EQUITY33734X135551,235SH DFND 1,23500
FISERV INCCOMMON STOCK337738108435SH DFND 3500
FLEXSHARES GLOBAL UPSTREAM NETF EQUITY33939L407541,485SH DFND 1,48500
FLEXSHARES QUALITY DIVIDENDETF EQUITY33939L8601222,201SH DFND 2,20100
FORTIVE CORPORATIONCOMMON STOCK34959J10822314SH SOLE 31400
GENERAL DYNAMICS CORPORATIONCOMMON STOCK369550108185944SH SOLE 94400
GENERAL DYNAMICS CORPORATIONCOMMON STOCK36955010829150SH DFND 15000
GENERAL ELECTRIC COCOMMON STOCK3696043011621,572SH SOLE 5001,522
GENERAL ELECTRIC COCOMMON STOCK3696043011541,499SH DFND 1,49900
GENERAL MLS INCCOMMON STOCK3703341041662,780SH SOLE 2,78000
GENERAL MLS INCCOMMON STOCK370334104821,365SH DFND 1,36500
GENERAL MOTORS COCOMMON STOCK37045V10037700SH DFND 70000
GERMAN AMERICAN BANCORPCOMMON STOCK3738651041112,863SH DFND 2,86300
GLAXOSMITHKLINE PLC ADRFOREIGN EQUITIES37733W10519500SH DFND 50000
GLOBAL PAYMENTS INCCOMMON STOCK37940X10237234SH DFND 23400
HCA HOLDINGS INCCOMMON STOCK40412C101121500SH DFND 50000
HP INCCOMMON STOCK40434L10510380SH DFND 38000
HALLIBURTON COCOMMON STOCK40621610115700SH DFND 70000
HOME DEPOT INCCOMMON STOCK4370761021,0593,225SH SOLE 3,132930
HOME DEPOT INCCOMMON STOCK437076102232708SH DFND 70800
HONEYWELL INT'L INCCOMMON STOCK4385161061,0514,953SH SOLE 4,8211320
HONEYWELL INT'L INCCOMMON STOCK438516106119560SH DFND 56000
HUMANA INC COMCOMMON STOCK444859102125320SH DFND 32000
IAC/INTERACTIVECORPCOMMON STOCK44891N20837285SH DFND 28500
ICU MEDICAL INCCOMMON STOCK44930G10747200SH DFND 20000
IDEXX LABORATORIES INCCOMMON STOCK45168D1041728SH SOLE 2800
ILLINOIS TOOL WORKS INCCOMMON STOCK45230810933158SH SOLE 15800
ILLINOIS TOOL WORKS INCCOMMON STOCK45230810975365SH DFND 36500
INTEL CORPCOMMON STOCK4581401004448,338SH SOLE 8,0880250
INTEL CORPCOMMON STOCK4581401004007,502SH DFND 7,50200
INTERCONTINENTAL EXCHANGE INCOMECOMMON STOCK45866F1041791,563SH DFND 1,56300
INTERNATL BUSINESS MACHINESCOMMON STOCK45920010131222SH SOLE 22200
INTERNATL BUSINESS MACHINESCOMMON STOCK45920010162443SH DFND 3001430
INVESCO QQQ TRUST SERIES 1ETF EQUITY46090E1031,2283,432SH SOLE 3,43200
INTUITIVE SURGIAL INCCOMMON STOCK46120E6021313SH DFND 1300
INTUIT COMCOMMON STOCK4612021031426SH SOLE 2600
INTUIT COMCOMMON STOCK4612021031527SH DFND 2700
INVESCO NASDAQ 100 ETFETF EQUITY46138G64918124SH SOLE 12400
INVESCO S&P MIDCAP 400 REVETF EQUITY46138G6721812,080SH SOLE 2,08000
IRON MOUNTAIN INCCOMMON STOCK46284V101651,500SH DFND 1,50000
ISHARES TR SELECT DIVIDENDETF EQUITY46428716829255SH SOLE 25500
ISHARES TR SELECT DIVIDENDETF EQUITY4642871681381,200SH DFND 1,20000
I SHARES TR CORE S&P 500 ETFETF EQUITY464287200166385SH SOLE 38500
ISHARES TR S&P 500/ GROWTH ETFCOMMON STOCK46428730915200SH SOLE 20000
ISHARES TR MSCI EAFE ETFETF EQUITY46428746560772SH SOLE 77200
ISHARES TR MSCI EAFE ETFETF EQUITY46428746576975SH DFND 97500
I SHARES TR RUSSELL MIDCAPETF EQUITY464287473543SH SOLE 4300
ISHARES TR RUSSELL MID-CAP GROWTH ETFETF EQUITY4642874813643,245SH SOLE 3,24500
ISHARES TR CORE S&P MID-CAPETF EQUITY46428750751194SH SOLE 19400
ISHARES TR RUSSELL 1000 VALUE ETFETF EQUITY4642875983532,256SH SOLE 2,25600
ISHARES TR RUSSELL 1000 VALUE ETFETF EQUITY4642875981941,240SH DFND 1,24000
ISHARES TR RUSSELL 1000 GROWETF EQUITY4642876141,1194,083SH SOLE 4,08300
ISHARES RUSSELL 1000 ETFETF EQUITY464287622730SH SOLE 3000
ISHARES TR RUSSELL 2000 ETFETF EQUITY46428765552236SH SOLE 23600
ISHARES CORE RUSSELL U.S. VALUE ETFETF EQUITY4642876631251,759SH SOLE 1,75900
I SHARE TR DJ US REAL ESTATEETF EQUITY46428773911105SH SOLE 10500
ISHARES TR S&P SMALLCAPETF EQUITY46428780463580SH SOLE 58000
I SHS TR S&P SM/ CAP 600 GROCOMMON STOCK46428788778600SH SOLE 60000
ISHARES TR EAFE SML CAP ETFETF EQUITY46428827356756SH SOLE 75600
ISHARES TR MSCI EAFE GROWTH ETFETF EQUITY464288885103968SH SOLE 96800
ISHARES CORE MSCI EAFE ETFETF EQUITY46432F842573SH SOLE 7300
ISHARES CORE MSCI EMERGINGETF EQUITY46434G103921,495SH SOLE 1,49500
JPMORGAN CHASE & COMPANYCOMMON STOCK46625H1001,4198,671SH SOLE 8,4702010
JPMORGAN CHASE & COMPANYCOMMON STOCK46625H100110675SH DFND 67500
JOHNSON & JOHNSONCOMMON STOCK4781601044933,054SH SOLE 3,05400
JOHNSON & JOHNSONCOMMON STOCK4781601041781,102SH DFND 7443580
KANSAS CITY SOUTHERN INDCOMMON STOCK485170302179660SH DFND 66000
KIMBALL INTERNATIONAL - BCOMMON STOCK4942741037600SH SOLE 60000
KIMBALL ELECTRONICS INCCOMMON STOCK49428J10912450SH SOLE 45000
KIMBERLY CLARK CORPCOMMON STOCK494368103121915SH SOLE 91500
KIMBERLY CLARK CORPCOMMON STOCK49436810384635SH DFND 63500
KONTOOR BRANDS INCCOMMON STOCK50050N10310205SH DFND 20500
L3HARRIS TECHNOLOGIES INCCOMMON STOCK5024311091674SH DFND 7400
LAM RESEARCH CORPCOMMON STOCK51280710874130SH DFND 13000
LAMB WESTON HOLDINGSCOMMON STOCK5132721041101,793SH SOLE 1,79300
LAMB WESTON HOLDINGSCOMMON STOCK51327210435575SH DFND 57500
ESTEE LAUDER COMPANIES CL ACOMMON STOCK5184391041034SH DFND 3400
LILLY ELI & COCOMMON STOCK5324571081,1935,163SH SOLE 4,715120328
LILLY ELI & COCOMMON STOCK5324571084031,744SH DFND 1,74400
LOCKHEED MARTIN CORPCOMMON STOCK5398301096942,010SH SOLE 1,927830
LOCKHEED MARTIN CORPCOMMON STOCK539830109267774SH DFND 77400
LOWES COMPANIES INCCOMMON STOCK5486611073641,792SH SOLE 1,79200
LOWES COMPANIES INCCOMMON STOCK5486611071153SH DFND 5300
THE MACERICH COCOMMON STOCK5543821013200SH SOLE 20000
MAGELLAN MIDSTREAM PARTNERS LPPARTNERSHIPS (PUB TRADED)559080106461,000SH DFND 1,00000
MARATHON PETROLEUMCOMMON STOCK56585A102771,239SH SOLE 1,23900
MARATHON PETROLEUMCOMMON STOCK56585A102741,200SH DFND 1,20000
MARSH & MCLENNAN COS INCCOMMON STOCK57174810216103SH DFND 10300
MARRIOTT INT'L CL ACOMMON STOCK57190320244300SH SOLE 30000
MARVELL TECHNOLOGY INCCOMMON STOCK57387410410173SH SOLE 17300
MASTERCARD INCORPORATEDCOMMON STOCK57636Q104137394SH SOLE 39400
MASTERCARD INCORPORATEDCOMMON STOCK57636Q104120345SH DFND 34500
MATCH GROUP INCCOMMON STOCK57667L10796614SH DFND 61400
MCCORMICK & CO - NON VOTING SHARESCOMMON STOCK57978020654670SH DFND 67000
MCDONALDS CORPCOMMON STOCK5801351014832,004SH SOLE 1,5040500
MCDONALDS CORPCOMMON STOCK5801351014751,971SH DFND 1,7032680
MEDFAST INCCOMMON STOCK58470H10139200SH DFND 20000
MELCO CROWN ENTERTAINMENTFOREIGN EQUITIES585464100202,000SH DFND 02,0000
MERCK & CO INCCOMMON STOCK58933Y1052353,135SH SOLE 2,5350600
MERCK & CO INCCOMMON STOCK58933Y1055387,160SH DFND 7,16000
METLIFE INCCOMMON STOCK59156R10848783SH SOLE 78300
MICROSOFT CORPCOMMON STOCK5949181042,82810,031SH SOLE 9,799107125
MICROSOFT CORPCOMMON STOCK5949181042,3458,319SH DFND 6,5191,8000
MICROCHIP TECH INCCOMMON STOCK59501710419125SH SOLE 12500
MICROCHIP TECH INCCOMMON STOCK59501710418120SH DFND 12000
MID-AMERICA APARTMENT COMMCOMMON STOCK59522J10339211SH DFND 21100
MIDDLESEX WATER COCOMMON STOCK5966801081281,250SH DFND 1,25000
MONDELEZ INTERNATIONAL INCCOMMON STOCK60920710574512,802SH SOLE 12,3774250
MONDELEZ INTERNATIONAL INCCOMMON STOCK6092071051753,001SH DFND 2,5544470
MONGODB INCCOMMON STOCK60937P1061328SH DFND 2800
MONOLITHIC POWER SYSTEMS INCCOMMON STOCK6098391051123SH SOLE 2300
MORGAN STANLEYCOMMON STOCK61744644861624SH SOLE 62400
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NATIONAL FUEL GASCOMMON STOCK6361801015100SH SOLE 10000
NETFLIX INCCOMMON STOCK64110L10646SH SOLE 600
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NEWELL BRANDS INCCOMMON STOCK6512291067300SH DFND 30000
NEXTERA ENERGY INCCOMMON STOCK65339F1016257,957SH SOLE 7,95700
NEXTERA ENERGY INCCOMMON STOCK65339F1011121,428SH DFND 1,42800
NICE LTD - SPON ADRCOMMON STOCK65365610842148SH DFND 14800
NIKE INC CL BCOMMON STOCK6541061031,2778,790SH SOLE 8,6071830
NIKE INC CL BCOMMON STOCK65410610365449SH DFND 44900
NORFOLK SOUTHERN CORPCOMMON STOCK65584410841170SH SOLE 17000
NORFOLK SOUTHERN CORPCOMMON STOCK65584410886360SH DFND 36000
NORTHERN TR CORPCOMMON STOCK6658591041401,300SH DFND 01,3000
NORTHROP GRUMMAN CORPCOMMON STOCK66680710285235SH SOLE 23500
NORTHROP GRUMMAN CORPCOMMON STOCK6668071021952SH DFND 5200
NOVARTIS AG SPNSRD ADRFOREIGN EQUITIES66987V10913154SH SOLE 15400
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NUCOR CORPORATIONCOMMON STOCK67034610553536SH DFND 05360
NVIDIA CORPCOMMON STOCK67066G1041,0655,140SH SOLE 4,9851550
NVIDIA CORPCOMMON STOCK67066G10499477SH DFND 47700
O REILLY AUTOMOTIVE INCCOMMON STOCK67103H1072135SH DFND 3500
OCCIDENTAL PETE CORP DELCOMMON STOCK6745991056200SH DFND 20000
OCCIDENTAL PETROLEUM WARRANTEXP DTE 080327WARRANTS & RIGHTS674599162025SH DFND 2500
OLD NATL BANCORP INDCOMMON STOCK680033107593,499SH SOLE 3,49900
ORACLE CORPCOMMON STOCK68389X1051882,156SH SOLE 2,15600
ORACLE CORPCOMMON STOCK68389X1051681,933SH DFND 1,93300
ORGANON & COCOMMON STOCK68622V1065139SH SOLE 13900
ORGANON & COCOMMON STOCK68622V10619570SH DFND 57000
OTIS WORLDWIDE CORPCOMMON STOCK68902V1071682,039SH SOLE 2,03900
OTIS WORLDWIDE CORPCOMMON STOCK68902V10726315SH DFND 31500
PNC FINL SVCS GROUP INC COMCOMMON STOCK69347510534175SH SOLE 17500
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PPL CORPORATIONCOMMON STOCK69351T10622800SH DFND 80000
PACKAGING CORP OF AMERICACOMMON STOCK69515610969500SH DFND 50000
PALO ALTO NETWORKS INCCOMMON STOCK6974351059882,062SH SOLE 1,985770
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PAYCOM SOFTWARE INCCOMMON STOCK70432V102918SH SOLE 1800
PAYCHEX INC COMCOMMON STOCK7043261071631,453SH DFND 1,45300
PAYPAL HOLDINGS INCCOMMON STOCK70450Y1037662,945SH SOLE 2,8331120
PAYPAL HOLDINGS INCCOMMON STOCK70450Y10377297SH DFND 29700
PEPSICO INCCOMMON STOCK7134481083482,315SH SOLE 1,9650350
PEPSICO INCCOMMON STOCK7134481082851,897SH DFND 1,5393580
PFIZER INCCOMMON STOCK71708110354312,637SH SOLE 7,04805,589
PFIZER INCCOMMON STOCK7170811033247,541SH DFND 6,4261,1150
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PHILLIPS 66COMMON STOCK71854610415220SH DFND 22000
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PROCTER & GAMBLE COCOMMON STOCK7427181091,95113,956SH SOLE 13,569187200
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QUALCOMM INCORPORATEDCOMMON STOCK747525103112870SH DFND 87000
RAYONIER INCREIT7549071031845,149SH DFND 5,14900
RAYTHEON TECHNOLOGIES CORPCOMMON STOCK75513E1014595,345SH SOLE 5,1220223
RAYTHEON TECHNOLOGIES CORPCOMMON STOCK75513E10154632SH DFND 63200
REPUBLIC SERVICES INCCOMMON STOCK7607591003262,714SH DFND 2,71400
RESIDEO TECHNOLOGIES INCCOMMON STOCK76118Y1042100SH SOLE 10000
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RITCHIE BROS AUCTIONSCOMMON STOCK767744105699SH SOLE 9900
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ROYAL BANK OF CANADAFOREIGN EQUITIES78008710241415SH DFND 41500
ROYAL DUTCH SHELL PLC A SHARESFOREIGN EQUITIES78025920616350SH DFND 35000
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SALESFORCE.COM INCCOMMON STOCK79466L3024271,573SH SOLE 1,57300
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SCHLUMBERGER LTDFOREIGN EQUITIES80685710818600SH DFND 60000
CHARLES SCHWAB CORPCOMMON STOCK80851310589612,301SH SOLE 11,8454560
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SIMON PPTY GROUP INC NEWREIT82880610921165SH SOLE 16500
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UNION PAC CORPCOMMON STOCK90781810843220SH SOLE 22000
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VANGUARD ENERGY ETFETF EQUITY92204A3065106,896SH SOLE 6,6762200
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VISA INC CLASS A SHARESCOMMON STOCK92826C8397813,507SH SOLE 3,3771300
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VODAFONE GROUP PLC-SP ADRFOREIGN EQUITIES92857W308139SH SOLE 3900
VULCAN MATERIALS COCOMMON STOCK92916010925150SH SOLE 15000
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WAL MART STORES INCCOMMON STOCK9311421034413,161SH SOLE 3,16100
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WALGREENS BOOTS ALLIANCE INCCOMMON STOCK931427108851,800SH DFND 1,80000
WASTE CONNECTIONS INCFOREIGN EQUITIES94106B1011,2289,750SH DFND 9,75000
WASTE MANAGEMENT INC NEWCOMMON STOCK94106L1091279SH SOLE 7900
WASTE MANAGEMENT INC NEWCOMMON STOCK94106L109105700SH DFND 70000
WELLS FARGO & CO NEWCOMMON STOCK949746101250SH SOLE 5000
WELLS FARGO & CO NEWCOMMON STOCK949746101932,000SH DFND 2,00000
WEST PHARMACEUTICAL SERVICESCOMMON STOCK9553061052150SH SOLE 5000
WISDMTREE EMERG MKT EX-ST OWFOREIGN EQUITIES97717X57815413SH SOLE 41300
WISDOMTREE INTERNATIONAL HEDETF EQUITY97717X5941232,850SH SOLE 2,85000
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XILINX INCCOMMON STOCK98391910117115SH DFND 11500
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ZEBRA TECHNOLOGIES CORP CL ACOMMON STOCK9892071051121SH DFND 2100
ZIMMER BIOMET HOLDINGS INCCOMMON STOCK98956P102537SH SOLE 3700
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