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: March 31, 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, OHIO 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 10th day
of April, 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
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2. NATIONAL CITY INVESTMENT MANAGEMENT COMPANY 28-1479
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3. NATIONAL CITY, INDIANA 28-1479
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4. NATIONAL CITY, KENTUCKY 28-1479
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5. NATIONAL CITY, PENNSYLVANIA 28-1479
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6. NATIONAL CITY, MICHIGAN/ILLINOIS 28-1479
---------------------------------------------------------------------
7. NATIONAL CITY, SOUTHERN INDIANA 28-1479
---------------------------------------------------------------------
13F Summary Page
Report Summary: National City Corporation 03-31-02
Number of Other Included Managers: 7
-
Form 13F Information Table Entry Total: 35,453,993,654
---------------
Form 13F Information Table Value Total: 3,377
-----
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
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
DAIMLERCHRYSLER AG D1668R123 293190 6511 X 6511 0 0
DAIMLERCHRYSLER AG D1668R123 392662 8720 X 7261 251 1208
ACE LIMITED G0070K103 1245579 29870 X 3213 0 26657
AMDOCS LTD G02602103 636056 23867 X 21617 100 2150
AMDOCS LTD G02602103 205738 7720 X 3525 170 4025
EVEREST RE GROUP LTD G3223R108 4544058 65533 X 5273 0 60260
GLOBAL CROSSING LTD G3921A100 380 3484 X 2484 0 1000
GLOBAL CROSSING LTD G3921A100 3401 31200 X 15200 6000 10000
GLOBAL SANTA FE CORP G3930E101 201072 6149 X 6149 0 0
GLOBAL SANTA FE CORP G3930E101 151238 4625 X 1699 0 2926
INGERSOLL-RAND COMPANY LTD G4776G101 1599790 31983 X 11045 0 20938
INGERSOLL-RAND COMPANY LTD G4776G101 653811 13071 X 12871 0 200
LORAL SPACE & COMMUNICATIONS COM G56462107 2150 1000 X 0 0 1000
LORAL SPACE & COMMUNICATIONS COM G56462107 33441 15554 X 9092 0 6462
TRANSOCEAN SEDCO FOREX INC G90078109 1966784 59187 X 17747 0 41440
TRANSOCEAN SEDCO FOREX INC G90078109 1160857 34934 X 29857 1641 3436
TSAKOS ENERGY NAVIGATION LTD G9108L108 5834918 383120 X 26560 0 356560
DREYFUS U S OFFSHORE FD G9287V141 86687 86687 X 86687 0 0
WILLIS GROUP HOLDINGS LTD G96655108 1753700 71000 X 0 0 71000
XL CAP LTD G98255105 40925013 438404 X 261152 0 177252
XL CAP LTD G98255105 1963711 21036 X 18736 2000 300
LEMAR INVESTMENT CO LEMARINV0 342020 80 X 54 26 0
MARDOT L.P. CLASS "B" LIMITED LP0000366 1248300 146 X 146 0 0
CHECK POINT SOFTWARE TECH LT M22465104 8934742 293906 X 281972 940 10994
CHECK POINT SOFTWARE TECH LT M22465104 4457978 146644 X 128808 2998 14838
TARO PHARMACEUTICAL INDS LTD M8737E108 4632390 163400 X 6500 0 156900
ASM INTL N V N07045102 9348973 358061 X 13450 0 344611
ORTHOFIX INTERNATIONAL PV N6748L102 403300 10000 X 10000 0 0
DAWLEN CORPORATION U72150458 317218 569 X 569 0 0
ROYAL CARRIBEAN CRUISES LTD COM V7780T103 1159070 51400 X 9000 0 42400
ROYAL CARRIBEAN CRUISES LTD COM V7780T103 207460 9200 X 0 0 9200
STELMAR SHIPPING LTD V8726M103 4762224 284822 X 21363 0 263459
FLEXTRONICS INTL LTD Y2573F102 626395 34323 X 34323 0 0
FLEXTRONICS INTL LTD Y2573F102 395751 21685 X 14735 300 6650
ABN AMRO 0005209B4 14588979 14588979 X 14437214 0 151765
ABN AMRO 000520999 29337 29337 X 29337 0 0
MORRIS MACHINE COMPANY INCORPORATED 000577999 433198 2018 X 0 0 2018
WELLMAN STABLE VALUE FUND 0007209A2 43449334 43449334 X 43449334 0 0
P B & G SAND & GRAVEL & CONTRACTING 000739995 212000 10000 X 10000 0 0
ABN AMRO INSTITUTIONAL PRIME 00078H554 1811862 1811862 X 1811862 0 0
AIRCOM METAL PRODUCTS INCORPORATED 000821991 238410 1422 X 1422 0 0
A C MOORE ARTS & CRAFTS INC 00086T103 1907500 50000 X 2200 0 47800
A C MOORE ARTS & CRAFTS INC 00086T103 95375 2500 X 2500 0 0
ADC TELECOMMUNICATIONS INC COM 000886101 735644 180748 X 124635 400 55713
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 163991696 62844091 60936103 14826 1893162
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<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ADC TELECOMMUNICATIONS INC COM 000886101 100138 24604 X 6779 0 17825
ACM INCOME FUND INC 000912105 165565 21474 X 9416 0 12058
ACM INCOME FUND INC 000912105 77871 10100 X 10100 0 0
AFLAC INC COM 001055102 2508002 85017 X 47568 0 37449
AFLAC INC COM 001055102 1788821 60638 X 40838 8100 11700
AGCO CORP 001084102 9416696 412651 X 31226 0 381425
AES CORP 00130H105 705249 78361 X 38144 0 40217
AES CORP 00130H105 240606 26734 X 17039 1110 8585
AIM GROWTH SER 00141M747 6004879 202048 X 201092 0 956
AIM GROWTH SER 00141M812 2360817 93869 X 93869 0 0
AIM EQUITY FDS INC 001413103 201966 17441 X 17441 0 0
AIM CONSTELLATION FD INC 001413202 382970 17392 X 17392 0 0
AIM CONSTELLATION FD INC 001413202 43706 1985 X 1985 0 0
AIM 001413863 48467 2779 X 2779 0 0
AIM 001413863 292272 16759 X 16759 0 0
AIM TAX EXEMPT FDS INC 001419407 1003560 90738 X 90738 0 0
AIM INVT SECS FDS INC 00142C763 84710 10750 X 10750 0 0
AIM CASH RESERVES SHARES 00142C771 145076 145076 X 145076 0 0
AIM 00142C805 69192 15690 X 15690 0 0
A M TODD GROUP INC 0017269A8 648410 24645 X 24645 0 0
AMLI RESIDENTAL PPTYS INC TR SH 001735109 380454 15085 X 15085 0 0
AMLI RESIDENTAL PPTYS INC TR SH 001735109 12610 500 X 0 0 500
AMR CORP DEL COM 001765106 342406 12965 X 2064 0 10901
AMR CORP DEL COM 001765106 23927 906 X 406 0 500
ANC RENTAL CORP 001813104 5 18 X 18 0 0
ANC RENTAL CORP 001813104 16672 66689 X 66689 0 0
AOL TIME WARNER INC COM 00184A105 98281312 4155658 X 2673973 4650 1477035
AOL TIME WARNER INC COM 00184A105 21726120 918652 X 807857 44417 66378
AT&T CORP COM 001957109 13847657 882016 X 608263 700 273053
AT&T CORP COM 001957109 5504090 350579 X 306668 25038 18873
AT&T WIRELESS SVCS INC 00209A106 8584180 959126 X 644713 1214 313199
AT&T WIRELESS SVCS INC 00209A106 3061714 342091 X 299807 19311 22973
AVX CORP NEW COM 002444107 3256170 155500 X 0 0 155500
AXP EQUITY SELECT FD 00245H107 451428 39085 X 39085 0 0
AXP EQUITY SELECT FD 00245H107 878398 76052 X 7683 0 68369
AXP HIGH YIELD TAX EXEMPT FUND INC 00245N104 586972 135559 X 135559 0 0
AXP HIGH YIELD TAX EXEMPT FUND INC 00245N104 633434 146290 X 89945 56345 0
AXP HIGH YIELD TAX EXEMPTS FD 00245N203 65597 15149 X 15149 0 0
AXP NEW DIMENSIONS FUND INC 00245V106 595195 24224 X 24224 0 0
AXP NEW DIMENSIONS FUND INC 00245V106 351789 14318 X 1914 0 12404
AXP SELECTIVE FUND, INC. CL A 00245Y100 177018 20277 X 20277 0 0
AXP SELECTIVE FUND, INC. CL A 00245Y100 15029 1722 X 1722 0 0
AXP SPL TAX EXEMPT SER TR 00246A705 121246 23183 X 23183 0 0
AXP STOCK FUND, INC. CL A 00246B109 492985 25412 X 25412 0 0
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SUBTOTALS FOR THIS PAGE 185695381 9739807 6649022 160885 2929900
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AXP STOCK FUND, INC. CL A 00246B109 203926 10512 X 10512 0 0
AXP TAX EXEMPT BOND FUND, INC. CL A 00246D402 572485 143480 X 136509 0 6971
AXP TAX EXEMPT BOND FUND, INC. CL A 00246D402 108098 27092 X 27092 0 0
ABBOTT LABS 002824100 199769435 3797898 X 3237315 3385 557198
ABBOTT LABS 002824100 195274870 3712450 X 3520626 54907 136917
ABERCROMBIE & FITCH CO 002896207 18049 586 X 586 0 0
ABERCROMBIE & FITCH CO 002896207 236051 7664 X 3864 0 3800
ABERDEEN ASIA PACIFIC INCOME FD 003009107 73331 17377 X 17377 0 0
ACAMBIS PLC 004286100 5213145 113700 X 3550 0 110150
ACCESSOR FDS INC 004322889 123443 123443 X 123443 0 0
ACTIVISION INC NEW COM 004930202 5174014 173450 X 6650 0 166800
ACTION PERFORMANCE COS INC COM 004933107 4257663 86450 X 3300 0 83150
BILLITON PLC ORD (GBP) 0056650S4 3671385 644555 X 8500 0 636055
ADAMS EXPRESS COMPANY 006212104 8260 585 X 585 0 0
ADAMS EXPRESS COMPANY 006212104 176472 12498 X 11868 0 630
ADAPTEC INC COM 00651F108 2146554 160550 X 6100 0 154450
ADAPTEC INC COM 00651F108 21659 1620 X 1500 0 120
ADELPHIA COMMUNICATIONS CORP CL A 006848105 5543694 372060 X 121960 0 250100
ADELPHIA COMMUNICATIONS CORP CL A 006848105 107578 7220 X 0 0 7220
ADMINISTAFF INC 007094105 2756093 99750 X 3650 0 96100
ADMINISTAFF INC 007094105 93942 3400 X 3400 0 0
ADOBE SYS INC COM 00724F101 838677 20816 X 4078 0 16738
ADOBE SYS INC COM 00724F101 273166 6780 X 6780 0 0
ADVANCED DIGITAL INFORMATION CORP 007525108 472953 36353 X 36353 0 0
ADVANCED LTG TECHNOLOGIES 00753C102 371250 225000 X 225000 0 0
ADVANCED DRAINAGE SYSTEMS INC 0075999A3 19496764 155974 X 0 141234 14740
AEGIS RLTY INC 00760P104 1015200 90000 X 0 0 90000
AEGIS RLTY INC 00760P104 22797 2021 X 2021 0 0
BARCLAYS PLC ORD (GBP) 0078201S2 5071649 164354 X 1650 0 162704
ADVANCED MICRO DEVICES 007903107 1362779 92643 X 6262 0 86381
ADVANCED MICRO DEVICES 007903107 26360 1792 X 1292 0 500
AEGON N V ORD AMER REG (NLG) 007924103 11687232 478201 X 478201 0 0
AEGON N V ORD AMER REG (NLG) 007924103 8360582 342086 X 331664 0 10422
ADVENT SOFTWARE INC 007974108 4502076 76100 X 3050 0 73050
AETNA INC NEW 00817Y108 1039910 26788 X 2673 0 24115
AETNA INC NEW 00817Y108 98836 2546 X 2219 27 300
AFFILIATED COMPUTER SERVICES 008190100 2144166 38200 X 0 0 38200
AFFILIATED COMPUTER SERVICES 008190100 18523 330 X 330 0 0
AFFILIATED MANAGERS GROUP 008252108 8902251 123935 X 9135 0 114800
AFFYMETRIX INC 00826T108 133801 4617 X 4142 0 475
AFFYMETRIX INC 00826T108 100416 3465 X 3265 0 200
AGILENT TECHNOLOGIES INC 00846U101 8091807 231459 X 150563 152 80744
AGILENT TECHNOLOGIES INC 00846U101 8772198 250921 X 223421 15368 12132
AGINCOURT FARMS INC 0084659A6 661000 1 X 1 0 0
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SUBTOTALS FOR THIS PAGE 509014540 11890722 8740487 215073 2935162
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AIM 008879306 407947 38926 X 38926 0 0
AIM 008879306 26087 2489 X 2489 0 0
AIM FDS GROUP 008879538 122877 35309 X 35309 0 0
AIM 008879728 312463 31498 X 31498 0 0
AIM 008879728 85792 8648 X 8648 0 0
AIM FDS GROUP 008879744 5377802 211475 X 211475 0 0
AIM FDS GROUP 008879744 0 0 X 0 0 0
AIM INTERNATIONAL MUTUAL FDS INC 008882102 1004417 66562 X 66562 0 0
AIM SMALL CAP OPPORTUNITIES FUND 008883100 509904 38339 X 38339 0 0
AIM SPL OPPORTUNITIES FDS 008883308 19497 1524 X 0 0 1524
AIM SPL OPPORTUNITIES FDS 008883308 565412 44207 X 44207 0 0
AIM LARGE CAP OPPORTUNITY FUND 008883886 6286 718 X 0 0 718
AIM LARGE CAP OPPORTUNITY FUND 008883886 291910 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 37831507 732459 X 459367 2000 271092
AIR PRODS & CHEMS INC COM 009158106 3615810 70006 X 62606 1000 6400
AIRTRAN HLDGS INC 00949P108 54450 9000 X 9000 0 0
AIRTRAN HLDGS INC 00949P108 6050 1000 X 1000 0 0
AKZO NOBEL NV ADR 010199305 281580 6000 X 2000 0 4000
ALBEMARLE CORP COM 012653101 7288490 264459 X 20819 0 243640
ALBEMARLE CORP COM 012653101 110240 4000 X 4000 0 0
ALBERTO CULVER CO CL B CONV 013068101 3110886 57609 X 607 0 57002
ALBERTO CULVER CO CL B CONV 013068101 111456 2064 X 64 2000 0
ALBERTSONS INC COM 013104104 1765832 53284 X 24378 0 28906
ALBERTSONS INC COM 013104104 756686 22833 X 20908 400 1525
ALCAN INC 013716105 1067038 26925 X 4281 0 22644
ALCAN INC 013716105 201043 5073 X 5073 0 0
ALCOA INC 013817101 31993292 847729 X 746270 2800 98659
ALCOA INC 013817101 13371056 354294 X 302512 22914 28868
ALCATEL SPONSORED ADR 013904305 2628322 185485 X 2185 0 183300
ALCATEL SPONSORED ADR 013904305 7085 500 X 500 0 0
ALERT STAMPING & MFG CO 0144689A2 487559 29 X 29 0 0
ALEXANDER & BALDWIN INC COM 014482103 935510 33883 X 22633 0 11250
ALEXANDER & BALDWIN INC COM 014482103 140204 5078 X 5078 0 0
NORTHERN ROCK PLC ORD (GBP) 0145279S6 3468918 346767 X 3100 0 343667
ALEXANDRIA REAL ESTATE EQUITIES INC 015271109 6961926 156097 X 11422 0 144675
ALFACELL CORP 015404106 63000 100000 X 100000 0 0
ALGOMA STL INC 01566M204 519689 165281 X 0 0 165281
WETHERSPOON (J.D.) PLC ORD 0163895S3 646379 117140 X 1650 0 115490
CAPITA GROUP PLC ORD (GBP) 0173474S1 2539217 430195 X 5600 0 424595
ALLEGHENY ENERGY INC 017361106 1659250 40127 X 27289 0 12838
ALLEGHENY ENERGY INC 017361106 1290616 31212 X 29162 1250 800
ALLEGHENY TECHNOLOGIES INC 01741R102 156402 9456 X 1216 0 8240
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SUBTOTALS FOR THIS PAGE 132536387 4591532 2383694 32364 2175474
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ALLEGHENY TECHNOLOGIES INC 01741R102 338243 20450 X 19450 1000 0
ALLEGHENY VY BANCORP INC COM 017427105 139563 3500 X 3500 0 0
ALLEGHENY VY BANCORP INC COM 017427105 338938 8500 X 0 8500 0
ALLERGAN INC COM 018490102 4669928 72234 X 13877 0 58357
ALLERGAN INC COM 018490102 350726 5425 X 4100 0 1325
ALLETE INC 018522102 8866196 304785 X 35175 0 269610
ALLETE INC 018522102 291598 10024 X 9624 0 400
ALLIANCE BOND FUND 018528406 135653 19187 X 19187 0 0
ALLIANCE BOND FUND 018528406 375563 53121 X 50879 2242 0
ALLIANCE BOND FUND 018528604 76711 10850 X 10850 0 0
ALLIANCE BD FD 018528885 347376 29767 X 29767 0 0
ALLIANCE CAP MNGMT HLDG L.P. 01855A101 428318 9231 X 8731 0 500
ALLIANCE CAP MNGMT HLDG L.P. 01855A101 1052816 22690 X 19690 3000 0
ALLIANCE BERNSTEIN STRATEGIC VALUE 018564757 17690404 1773718 X 1773718 0 0
ALLIANCE GLOBAL STRATEGIC IN 01859N208 109035 13265 X 13265 0 0
ALLIANCE GAMING CORP 01859P609 3518583 115250 X 4300 0 110950
ALLIANCE GROWTH & INCOME FD INC COM 018597104 159000 44167 X 44167 0 0
ALLIANCE GROWTH & INCOME FD INC COM 018597104 111063 30851 X 30851 0 0
ALLIANCE MID-CAP GROWTH A 018636100 242014 51934 X 51934 0 0
ALLIANCE MID-CAP GROWTH A 018636100 89737 19257 X 8096 0 11161
ALLIANCE PREMIER GROWTH FD 01877C101 1746126 91708 X 91708 0 0
ALLIANCE PREMIER GROWTH FD 01877C101 57481 3019 X 3019 0 0
ALLIANCE TECHNOLOGY FD 018780304 219096 3759 X 3084 0 675
ALLIANCE TECHNOLOGY FD 018780304 91636 1572 X 1372 0 200
ALLIANT CORP 018802108 260134 8608 X 7408 0 1200
ALLIANT CORP 018802108 261615 8657 X 8657 0 0
ALLIED CAP CORP NEW 01903Q108 144375 5250 X 4250 0 1000
ALLIED CAP CORP NEW 01903Q108 206085 7494 X 7494 0 0
ALLIED WASTE INDS INC 019589308 211185 16245 X 2345 0 13900
ALLIED WASTE INDS INC 019589308 390000 30000 X 30000 0 0
ALLMERICA FINL CORP COM 019754100 206765 4605 X 4605 0 0
ALLMERICA FINL CORP COM 019754100 156162 3478 X 3478 0 0
ALLSTATE CORP COM 020002101 4063863 107595 X 56583 0 51012
ALLSTATE CORP COM 020002101 2784442 73721 X 66965 3078 3678
ALLTEL CORP COM 020039103 6035396 108648 X 85793 950 21905
ALLTEL CORP COM 020039103 3982268 71688 X 50502 12300 8886
ALPENA BANKING CORPORATION 0205819A4 100001 11000 X 11000 0 0
ALTERA CORP COM 021441100 49365992 2257247 X 1556932 1320 698995
ALTERA CORP COM 021441100 2445503 111820 X 102975 3005 5840
AMBAC FINL GROUP INC COM 023139108 6219776 105295 X 94460 0 10835
AMBAC FINL GROUP INC COM 023139108 100419 1700 X 1700 0 0
AMERADA HESS CORP COM 023551104 827011 10421 X 1262 0 9159
AMERADA HESS CORP COM 023551104 24443 308 X 108 200 0
AMEREN CORP 023608102 1240349 29014 X 19302 0 9712
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SUBTOTALS FOR THIS PAGE 120471588 5691058 4366163 35595 1289300
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AMEREN CORP 023608102 615472 14397 X 12622 0 1775
AMERICA MOVIL S A DE C V 02364W105 2905518 146300 X 8500 0 137800
AMERICA MOVIL S A DE C V 02364W105 81923 4125 X 3725 0 400
DIAGEO PLC ORD (GBP) 0237400S3 5222660 398652 X 8800 0 389852
AMERICAN BALANCED FUND 024071102 892067 54863 X 54863 0 0
AMERICAN BALANCED FUND 024071102 397483 24445 X 9347 0 15098
AMERICAN CENTURY 02507M303 354328 12843 X 12843 0 0
AMERICAN CENTURY 02507M303 23648 857 X 857 0 0
AMERICAN CENTY QUANTITATIV E 02507M402 12292790 445876 X 445876 0 0
AMERICAN CENTURY SMALL CAP 02507M840 76065 11904 X 11904 0 0
AMERICAN CENTY CAP PORTFOLIO 025076100 1020504 138655 X 138655 0 0
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AMERICAN CENTURY 025086109 30234 3827 X 1620 0 2207
AMERICAN CENTURY 025086109 723349 91563 X 91563 0 0
TWENTIETH CENTY WORLD INVS I 025086208 5984053 756517 X 756517 0 0
AMERICAN CENTURY WORLD INV I 025086406 2658638 336963 X 336963 0 0
AMERICAN CENTURY 025086505 37637 3431 X 3431 0 0
AMERICAN CENTURY 025086505 214953 19595 X 19595 0 0
AMERICAN ELECTRIC POWER CO INC 025537101 6726132 145935 X 109256 0 36679
AMERICAN ELECTRIC POWER CO INC 025537101 4453492 96626 X 76347 5594 14685
AMERICAN EXPRESS CO COM 025816109 20819067 508278 X 406992 5050 96236
AMERICAN EXPRESS CO COM 025816109 22860554 558119 X 303146 163941 91032
AMERICAN GREETINGS CORP CL A 026375105 85955805 4735857 X 3862 0 4731995
AMERICAN GREETINGS CORP CL A 026375105 219089 12071 X 12071 0 0
AMERICAN INTL GROUP INC COM 026874107 255843608 3546488 X 3016855 2482 527151
AMERICAN INTL GROUP INC COM 026874107 165696923 2296880 X 2153494 72088 71298
AMERICAN HERITAGE BANCO, INC CLASS A 026999011 412896 17204 X 17204 0 0
AMERICAN ITALIAN PASTA CO 027070101 5225540 115100 X 4350 0 110750
AMERICAN MUNI III 027654102 626289 57300 X 57300 0 0
AMERICAN MUT FD INC COM 027681105 442576 17853 X 17853 0 0
AMERICAN PWR CONVERSION CORP COM 029066107 826557 55924 X 35849 0 20075
AMERICAN PWR CONVERSION CORP COM 029066107 286732 19400 X 3600 15000 800
AMERICAN TOWER CORP 029912201 5500 1000 X 1000 0 0
AMERICAN TOWER CORP 029912201 72050 13100 X 8600 0 4500
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AMERICAN WTR WKS CO INC 030411102 1556477 35536 X 34536 0 1000
AMERICAN WTR WKS CO INC 030411102 1578990 36050 X 31950 3100 1000
AMERICAN WOODMARK CORP COM 030506109 6537931 103650 X 4000 0 99650
AMERICAN WOODMARK CORP COM 030506109 492001 7800 X 7800 0 0
AMERUS GROUP CO 03072M108 179062 4657 X 3916 0 741
AMERUS GROUP CO 03072M108 115312 2999 X 326 2673 0
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SUBTOTALS FOR THIS PAGE 615300563 14906820 8257168 269928 6379724
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AMERISOURCEBERGEN CORP 03073E105 824859 12077 X 1514 0 10563
AMERISOURCEBERGEN CORP 03073E105 66729 977 X 0 0 977
AMERIGROUP CORP 03073T102 6366123 226150 X 8750 0 217400
AMETEK INC NEW 031100100 3218665 86500 X 86500 0 0
AMGEN INC 031162100 129439116 2168886 X 1826680 4400 337806
AMGEN INC 031162100 44352863 743178 X 628662 48141 66375
AMSOUTH BANCORPORATION COM 032165102 3633844 165325 X 139609 0 25716
AMSOUTH BANCORPORATION COM 032165102 336580 15313 X 14593 0 720
ANADARKO PETE CORP COM 032511107 53429253 946656 X 576857 0 369799
ANADARKO PETE CORP COM 032511107 3961636 70192 X 43302 3750 23140
ANALOG DEVICES INC COM 032654105 59342047 1317541 X 914503 335 402703
ANALOG DEVICES INC COM 032654105 2380139 52845 X 49080 870 2895
ANDRX GROUP 034553107 1637111 43150 X 50 0 43100
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ANHEUSER BUSCH 035229103 41436569 793804 X 710853 2325 80626
ANHEUSER BUSCH 035229103 26580605 509207 X 454672 22615 31920
ANN TAYLOR STORES CORP COM 036115103 6547182 151485 X 12010 0 139475
ANN TAYLOR STORES CORP COM 036115103 181524 4200 X 4200 0 0
ANTHEM INC 03674B104 7832801 136057 X 123557 0 12500
ANTHEM INC 03674B104 101208 1758 X 1564 194 0
AON CORP COM 037389103 2936675 83905 X 64907 0 18998
AON CORP COM 037389103 951090 27174 X 9862 17312 0
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APACHE CORP COM 037411105 464880 8173 X 1628 5500 1045
APPLE COMPUTER INC COM 037833100 699070 29534 X 4778 0 24756
APPLE COMPUTER INC COM 037833100 32972 1393 X 1393 0 0
APPLEBEE'S INTL COM 037899101 363000 10000 X 10000 0 0
APPLERA CORP - APPLIED BIOSYSTEMS 038020103 547508 24497 X 2638 0 21859
APPLERA CORP - APPLIED BIOSYSTEMS 038020103 119193 5333 X 3633 0 1700
APPLIED FILMS CORP 038197109 3831450 155750 X 6350 0 149400
APPLIED MICRO CIRCUITS CORP 03822W109 371368 46421 X 13222 0 33199
APPLIED MICRO CIRCUITS CORP 03822W109 163672 20459 X 11599 0 8860
APPLIED MATLS INC 038222105 55465894 1022036 X 538824 200 483012
APPLIED MATLS INC 038222105 16974516 312779 X 280552 7290 24937
APPLIED TECHNOLOGY VENTURES INC COM 0382839A7 620750 24830 X 24830 0 0
APTARGROUP INC 038336103 276965 7902 X 7902 0 0
APTARGROUP INC 038336103 1331900 38000 X 38000 0 0
GALLAHER GROUP PLC ORD (GBP) 0383369S4 3820450 495000 X 4900 0 490100
AQUILA INC 03840P102 227510 9159 X 9159 0 0
AQUILA INC 03840P102 109892 4424 X 2761 400 1263
ARCH COAL INC 039380100 6145660 287449 X 23149 0 264300
ARCH COAL INC 039380100 125116 5852 X 5495 0 357
ARCHER DANIELS MIDLAND CO COM 039483102 1165175 83645 X 36978 0 46667
ARCHER DANIELS MIDLAND CO COM 039483102 1072248 76974 X 76522 0 452
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SUBTOTALS FOR THIS PAGE 494640314 10316644 6857024 113332 3346288
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ARDEN RLTY INC COM 039793104 8819421 310543 X 40183 0 270360
ARDEN RLTY INC COM 039793104 616848 21720 X 16620 3350 1750
ARGOSY GAMING COMPANY 040228108 6300590 171725 X 13005 0 158720
ARKANSAS BEST CORP DEL COM 040790107 7982483 287243 X 21643 0 265600
ARKANSAS BEST CORP DEL COM 040790107 55580 2000 X 0 0 2000
ARNOLD WHOLESALE CORP COM 041992108 2785774 1141 X 1141 0 0
ARNOLD WHOLESALE CORP COM 041992108 5613054 2299 X 1646 653 0
ARMADA CONSERVATIVE ALLOCATION 04208N598 256065 26236 X 26236 0 0
ARMADA AGGRESSIVE ALLOCATION 04208N648 332610 35234 X 35234 0 0
ARMADA AGGRESSIVE ALLOCATION 04208N648 9766 1034 X 1034 0 0
ARMADA MID CAP GROWTH FUND 04208N689 98110609 13916398 X 13668908 8412 239078
ARMADA MID CAP GROWTH FUND 04208N689 6768677 960096 X 880692 27140 52264
ARMADA LARGE CAP ULTRA FUND 04208N747 103992341 9875816 X 9772593 0 103223
ARMADA LARGE CAP ULTRA FUND 04208N747 10579474 1004698 X 875908 27654 101137
ARMADA MICHIGAN MUNICIPAL BOND FUND 04208N788 100091166 9250570 X 8689837 0 560733
ARMADA MICHIGAN MUNICIPAL BOND FUND 04208N788 33206387 3068982 X 2640090 9507 419385
ARMADA U.S. GOVERNMENT INCOME FUND 04208N846 133538480 14358976 X 14062873 5459 290644
ARMADA U.S. GOVERNMENT INCOME FUND 04208N846 22763691 2447709 X 1962706 22953 462049
ARMADA MONEY MARKET FUND 042086108 5242663 5242663 X 5242663 0 0
ARMADA MONEY MARKET FUND 042086108 2000 2000 X 2000 0 0
ARMADA OHIO MUNICIPAL MMKT #079 042086256 1158228 1158228 X 859228 0 299000
ARMADA FDS 042086272 34256982 3687512 X 3642656 2768 42088
ARMADA FDS 042086272 1397576 150439 X 139528 0 10910
ARMADA GOVERNMENT MONEY MKT 042086306 4597593 4597593 X 3950358 0 647234
ARMADA GOVERNMENT MONEY MKT 042086306 30235 30235 X 30235 0 0
ARMADA TAX MANAGED EQUITY FD #233 042086330 131215803 10952905 X 10719439 148335 85130
ARMADA TAX MANAGED EQUITY FD #233 042086330 51494604 4298381 X 3928808 159088 210485
ARMADA NATIONAL TAX EXEMPT BD FD 042086363 113221946 11356263 X 11073687 24813 257764
ARMADA NATIONAL TAX EXEMPT BD FD 042086363 40089162 4020979 X 3660258 108963 251758
ARMADA TREASURY MONEY MKT FD 042086504 412000 412000 X 412000 0 0
ARMADA TREASURY MONEY MKT FD 042086504 86000 86000 X 86000 0 0
ARMADA SMALL CAP GROWTH FUND #519 042086579 217448745 21810305 X 21481145 33770 295390
ARMADA SMALL CAP GROWTH FUND #519 042086579 29133882 2922155 X 2632116 138692 151347
ARMADA CORE EQUITY FUND #681 042086595 142666757 12481781 X 12452691 922 28168
ARMADA CORE EQUITY FUND #681 042086595 1622338 141937 X 112884 3453 25600
ARMADA INTERNATIONAL EQUITY FD 042086629 433921490 44322931 X 43750077 67900 504954
ARMADA INTERNATIONAL EQUITY FD 042086629 52982128 5411862 X 4836914 242124 332823
ARMADA EQUITY INDEX FUND #42 042086645 68539553 6923187 X 6862643 11530 49014
ARMADA EQUITY INDEX FUND #42 042086645 7316154 739005 X 697200 19506 22300
ARMADA GNMA INSTL CL #666 042086660 120603560 11823878 X 11701532 27735 94611
ARMADA GNMA INSTL CL #666 042086660 18476005 1811373 X 1508598 201382 101393
ARMADA BOND FD INSTL CL #630 042086686 554142567 57364655 X 56858969 44180 461506
ARMADA BOND FD INSTL CL #630 042086686 58608882 6067172 X 5257220 422928 387024
ARMADA TAX EXEMPT MONEY MKT FD #508 042086702 3470209 3470209 X 3470209 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 2633960078 277028068 268079407 1763217 7185442
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ARMADA TAX EXEMPT MONEY MKT FD #508 042086702 632000 632000 X 580000 0 52000
ARMADA PA MUN BD FD 042086710 32944576 3198503 X 3095588 60129 42786
ARMADA PA MUN BD FD 042086710 10501332 1019547 X 720783 244029 54734
ARMADA PA TAX EXEMPT MONEY 042086736 807800 807800 X 807800 0 0
ARMADA OHIO TAX EXEMPT BOND FD 042086751 78407672 7127970 X 7044245 36376 47349
ARMADA OHIO TAX EXEMPT BOND FD 042086751 60847432 5531585 X 5288433 189732 53420
ARMADA TOTAL RETURN ADVANTAGE FUND 042086777 230423169 22973397 X 22868732 22694 81971
ARMADA TOTAL RETURN ADVANTAGE FUND 042086777 22678788 2261096 X 2143837 54768 62491
ARMADA INTERMEDIATE BD FUND 042086793 224102568 21927844 X 21531857 161234 234754
ARMADA INTERMEDIATE BD FUND 042086793 30743558 3008176 X 2694896 69840 243440
ARMADA LIMITED MATURITY BOND FD 042086827 153415365 15496502 X 15309921 8453 178127
ARMADA LIMITED MATURITY BOND FD 042086827 15470848 1562712 X 1312917 39557 210238
ARMADA SMALL CAP VALUE FUND #616 042086843 415390532 19752284 X 19341689 41570 369025
ARMADA SMALL CAP VALUE FUND #616 042086843 69503681 3304978 X 2894776 216408 193793
ARMADA LARGE CAP VALUE FUND #614 042086868 386912134 23606598 X 23357421 34162 215014
ARMADA LARGE CAP VALUE FUND #614 042086868 60951877 3718845 X 3194260 215917 308669
ARMADA EQUITY GROWTH FUND 042086884 410067056 19064019 X 18869629 48920 145471
ARMADA EQUITY GROWTH FUND 042086884 63918567 2971574 X 2501936 287671 181967
ARMSTRONG HLDGS INC 042384107 3822 1225 X 1225 0 0
ARMSTRONG HLDGS INC 042384107 163987 52560 X 0 2000 50560
ARROW ELECTRS INC COM 042735100 229354 8200 X 3100 0 5100
ARROW ELECTRS INC COM 042735100 72722 2600 X 1000 0 1600
ARROW FINL CORP 042744102 607655 21105 X 21105 0 0
ARTISAN FDS INC 04314H204 460782 24880 X 5096 0 19785
ARTISAN FDS INC 04314H204 133841 7227 X 7227 0 0
ARVINMERITOR INC 043353101 1196707 41916 X 41916 0 0
ARVINMERITOR INC 043353101 313964 10997 X 9055 0 1942
ASHLAND INC COM 044204105 769392 16906 X 10234 0 6672
ASHLAND INC COM 044204105 151776 3335 X 1882 0 1453
ASHMAN ENTERPRISES INC 0448199B8 1478515 17406 X 9906 0 7500
ASHTABULA RUBBER CO CAP 0448829A8 2599695 4050 X 4050 0 0
ASPEN TECHNOLOGY INC COM 045327103 7722453 337225 X 18775 0 318450
ASPEN TECHNOLOGY INC COM 045327103 45800 2000 X 2000 0 0
AT HOME CORP COM 045919107 22 3725 X 3725 0 0
AT HOME CORP COM 045919107 63 10417 X 10417 0 0
ASTORIA FINANCIAL CORP 046265104 7932073 273049 X 21894 0 251155
ASTORIA FINANCIAL CORP 046265104 174300 6000 X 6000 0 0
ESCROW ASTRA AB CLASS A 046298972 0 35000 X 35000 0 0
ASTRAZENECA PLC 046353108 5617357 113276 X 1821 0 111455
ASTRAZENECA PLC 046353108 192756 3887 X 3887 0 0
ATLANTIC COAST AIRLINES HLDGS INC 048396105 3272071 136450 X 5150 0 131300
ATLANTIC COAST AIRLINES HLDGS INC 048396105 79134 3300 X 3300 0 0
ATMEL CORP COM 049513104 9383810 925425 X 264825 0 660600
ATMEL CORP COM 049513104 40560 4000 X 0 0 4000
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SUBTOTALS FOR THIS PAGE 2310361566 160031591 154051310 1733460 4246821
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
HILTON GROUP PLC ORD (GBP) 0500254S1 6215994 1760147 X 17900 0 1742247
ESC AUDRE RECOGNITION SYSTEMS INC 050904994 0 32250 X 32250 0 0
AUSTRALIA & NEW ZEALAND BKG GROUP 052528304 355500 7500 X 7500 0 0
AUTODESK INC COM 052769106 208097 4457 X 590 0 3867
AUTODESK INC COM 052769106 3128 67 X 67 0 0
AUTOMATIC DATA PROCESSING INC COM 053015103 129807030 2227682 X 2130248 5855 91579
AUTOMATIC DATA PROCESSING INC COM 053015103 160516194 2754697 X 2442786 167010 144901
AUTONATION INC 05329W102 2097 150 X 150 0 0
AUTONATION INC 05329W102 4267046 305225 X 305225 0 0
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AUTOZONE INC COM 053332102 8813 128 X 128 0 0
AVALONBAY CMNTYS INC 053484101 2046631 41097 X 39945 0 1152
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AVAYA INC 053499109 363229 49218 X 11771 0 37447
AVAYA INC 053499109 103704 14052 X 9763 580 3709
AVENTIS -SPON ADR 053561106 2817925 40988 X 2028 0 38960
AVENTIS -SPON ADR 053561106 382388 5562 X 5112 0 450
AVERY DENNISON CORP COM 053611109 47065604 771188 X 549347 390 221451
AVERY DENNISON CORP COM 053611109 1608141 26350 X 23500 1100 1750
AVNET INC COM 053807103 228928 8460 X 1860 0 6600
AVNET INC COM 053807103 113652 4200 X 600 0 3600
AVON PRODS INC COM 054303102 10281961 189285 X 90114 0 99171
AVON PRODS INC COM 054303102 443523 8165 X 2220 3000 2945
AXA 054536107 28560 1272 X 1272 0 0
AXA 054536107 213095 9492 X 9492 0 0
AXCELIS TECHNOLOGIES INC 054540109 4805143 336024 X 54624 0 281400
AXCELIS TECHNOLOGIES INC 054540109 752895 52650 X 46413 0 6237
BB&T CORP 054937107 3653415 95865 X 63894 0 31971
BB&T CORP 054937107 508121 13333 X 13333 0 0
BJ SVCS CO COM 055482103 2360540 68481 X 68481 0 0
BJ SVCS CO COM 055482103 13788 400 X 400 0 0
BP PLC ADR 055622104 175197450 3299387 X 3110481 6596 182310
BP PLC ADR 055622104 179031217 3371586 X 2766365 203004 402217
BMC SOFTWARE INC COM 055921100 4008431 206089 X 6855 0 199234
BMC SOFTWARE INC COM 055921100 57844 2974 X 1804 150 1020
DEUTSCHE INTERNATIONAL EQUITY FUND 055922868 405264 21386 X 21386 0 0
BABSON DAVID L GROWTH FUND INC COM 056161102 472784 42670 X 0 0 42670
BABSON VALUE FD INC COM 056177108 290824 6409 X 6409 0 0
BAKER HUGHES INC COM 057224107 1202236 31431 X 7729 0 23702
BAKER HUGHES INC COM 057224107 101592 2656 X 1956 0 700
BALL CORP 058498106 211262 4474 X 606 0 3868
BALL CORP 058498106 41081 870 X 70 0 800
BANC CORP 05944B103 175000 25000 X 25000 0 0
BANCO SANTANDER CENT HISPANO 05964H105 1644 200 X 200 0 0
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SUBTOTALS FOR THIS PAGE 747237050 15965543 11958016 392717 3614810
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
BANCO SANTANDER CENT HISPANO 05964H105 257516 31328 X 28880 2448 0
BANK OF AMER CORP 060505104 31656916 465406 X 267075 180 198151
BANK OF AMER CORP 060505104 6794178 99885 X 85188 2141 12556
BANK NEW YORK INC COM 064057102 54556289 1298341 X 838608 445 459288
BANK NEW YORK INC COM 064057102 2855721 67961 X 66441 1150 370
BANK ONE CORP COM 06423A103 32760241 784113 X 692068 900 91145
BANK ONE CORP COM 06423A103 19490495 466503 X 393767 18107 54629
BANKUNITED FINL CORP CL A 06652B103 749000 50000 X 50000 0 0
BARBER GROCERY CO INC COM 067132100 797667 1170 X 1170 0 0
BARD C R INC 067383109 363512 6156 X 2550 0 3606
BARD C R INC 067383109 699861 11852 X 8677 0 3175
BARRICK GOLD CORP 067901108 858883 46276 X 8451 0 37825
BARRICK GOLD CORP 067901108 102767 5537 X 5219 318 0
BARON ASSET FD#585 068278100 1543258 32738 X 32738 0 0
BARON ASSET FD#585 068278100 987400 20946 X 19834 0 1113
BARON ASSET FD 068278308 159854 9641 X 9641 0 0
BARON ASSET FD 068278308 29621 1787 X 1787 0 0
BARRY COUNTY SERVICE COMPANY 068810894 210000 3000 X 3000 0 0
PILKINGTON PLC ORD (GBP) 0688462S2 16269 10000 X 10000 0 0
SCOTTISH POWER PLC ORD (GBP) 0690070S2 3153215 615949 X 8300 0 607649
BAUSCH & LOMB INC COM 071707103 194236 4358 X 574 0 3784
BAUSCH & LOMB INC COM 071707103 109910 2466 X 2466 0 0
BAXTER INTL INC COM 071813109 18987178 319005 X 165771 0 153234
BAXTER INTL INC COM 071813109 3980936 66884 X 53811 7300 5773
VODAFONE GROUP PLC ORD (GBP) 0719210S0 8876537 4804257 X 14000 0 4790257
BEARGRASS CORP COM 073000606 10000 20000 X 20000 0 0
BAYOU STL CORP LA PLACE CL A 073051104 8800 10000 X 10000 0 0
BAYOU STL CORP LA PLACE CL A 073051104 880 1000 X 1000 0 0
BEA SYS INC 073325102 27530 2008 X 608 0 1400
BEA SYS INC 073325102 232385 16950 X 8000 0 8950
BRITISH ENERGY PLC ORD (GBP) 0738293S0 1866809 733405 X 7238 0 726167
BEAR STEARNS COS INC COM 073902108 485183 7732 X 1089 0 6643
BEAR STEARNS COS INC COM 073902108 7530 120 X 120 0 0
ROYAL BK OF SCOTLAND GROUP ORD (GBP) 0754783S4 6303683 244842 X 2550 0 242292
BECKMAN COULTER INC 075811109 102957 2016 X 2016 0 0
BECKMAN COULTER INC 075811109 178439 3494 X 3494 0 0
BECTON DICKINSON & CO COM 075887109 1336948 35444 X 17199 0 18245
BECTON DICKINSON & CO COM 075887109 719924 19086 X 16686 2400 0
BED BATH & BEYOND INC COM 075896100 846450 25080 X 4613 0 20467
BED BATH & BEYOND INC COM 075896100 79313 2350 X 2050 0 300
BELLSOUTH CORP COM 079860102 54636288 1482265 X 1048977 650 432638
BELLSOUTH CORP COM 079860102 36789045 998075 X 899468 47754 50853
BELO A H CORP SER A 080555105 10336601 444585 X 51535 0 393050
BEMIS INC COM 081437105 799652 14713 X 9487 0 5226
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SUBTOTALS FOR THIS PAGE 304959877 13288724 4876146 83793 8328786
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
BEMIS INC COM 081437105 160876 2960 X 2960 0 0
BENICORP COM 0820469A3 0 21000 X 0 0 21000
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SUBTOTALS FOR THIS PAGE 198779463 8387416 4895872 57693 3433850
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 2062323665 33969421 11244753 111571 22613097
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 58268334 1865349 1140683 13149 711518
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 108286764 9154068 3859831 41571 5252666
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 822768691 23658320 18047340 384290 5226690
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 370765060 10012219 6858294 84293 3069632
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 DEPT ID# 001 PAGE 18
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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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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CORNING INC COM 219350105 808794 106141 X 100591 3550 2000
CORPORATE EXECUTIVE BOARD CO 21988R102 438879 11700 X 4350 0 7350
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SUBTOTALS FOR THIS PAGE 144393869 4995377 2984018 28206 1983153
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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DANA CORP COM 235811106 700029 32605 X 9924 0 22681
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SUBTOTALS FOR THIS PAGE 96848911 3939027 1874978 52993 2011056
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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DISPATCH PRINTING CO CAP VTC 254991102 17208000 956 X 956 0 0
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SUBTOTALS FOR THIS PAGE 188222030 5181982 3373544 98812 1709625
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
DISPATCH PRINTING CO CAP VTC 254991102 24219000 1346 X 0 300 1046
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SUBTOTALS FOR THIS PAGE 329852980 8895860 7710921 209904 975035
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 177420984 6815598 4829706 73231 1912661
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ELAN PLC ADR 284131208 49520 3560 X 3560 0 0
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ERICSSON L M TEL CO 294821400 1366668 326954 X 323754 0 3200
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SUBTOTALS FOR THIS PAGE 159867321 4527923 2260917 119446 2147560
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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FASTLANE FOOTWEAR INC 31187C103 40 10000 X 10000 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 1313974346 34637722 23778450 1929172 8930100
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 230975437 8823853 7403242 502929 917682
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 63832126 1691713 1592537 39634 59542
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 359685625 7130967 4271959 1010164 1848843
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 146566716 5493310 2658927 31513 2802870
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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GCM - COMPASS, LCC 3615619B1 71186 70000 X 70000 0 0
GCM INNOVATION, LCC 3615629A1 38500 38500 X 38500 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 75175957 3080654 2567293 23140 490221
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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GENERAL ELEC CO COM 369604103 523485318 13978246 X 12889088 53675 1035483
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GENUINE PARTS CO COM 372460105 896314 24376 X 24376 0 0
GENZYME CORP COM-GEN DIV 372917104 1139307 26089 X 4304 0 21785
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SUBTOTALS FOR THIS PAGE 1116835342 29405259 24683830 1253097 3468332
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
GENZYME CORP COM-GEN DIV 372917104 161579 3700 X 3600 0 100
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GREIF BROS CORP CL A 397624107 71400 2000 X 2000 0 0
AMERICAN GROWTH FUND OF AMERICA 399874106 29302446 1251706 X 1251706 0 0
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SUBTOTALS FOR THIS PAGE 183215458 23429022 6329763 21419 17077840
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AMERICAN GROWTH FUND OF AMERICA 399874106 306432 13090 X 13090 0 0
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HASBRO INC COM 418056107 238613 15083 X 2892 0 12191
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SUBTOTALS FOR THIS PAGE 204026064 6770950 4550825 55159 2164966
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
HASBRO INC COM 418056107 3512 222 X 222 0 0
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HONEYWELL INTL INC 438516106 8321161 217433 X 129352 0 88081
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SUBTOTALS FOR THIS PAGE 543446741 14595097 10826728 343190 3425179
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 192547319 5445998 3944033 77078 1424887
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
IMAGISTICS INTERNATIONAL INC 45247T104 657083 41326 X 29086 0 12240
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SUBTOTALS FOR THIS PAGE 702176724 15799059 12711239 353297 2734522
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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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
JPE INCORPORATED 466230109 1060 105958 X 105958 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 88821426 3984975 2888233 19600 1077141
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
J P MORGAN CHASE & CO 46625H100 51599339 1447387 X 1197743 3210 246434
J P MORGAN CHASE & CO 46625H100 25216154 707326 X 631782 39668 35876
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JABIL CIRCUIT INC 466313103 23530 1000 X 400 0 600
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JANUS INVT FD 471023200 279914 9371 X 9371 0 0
JANUS INVT FD 471023200 69173 2316 X 2316 0 0
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JEFFERSON-PILOT CORP COM 475070108 726410 14505 X 3888 0 10617
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COMPAGNIE DE SAINT-GOBAIN ORD (FRF) 4768371S8 2981938 18269 X 220 0 18049
SAIPEM ORD (ITL) 4768768S9 1644564 267394 X 2500 0 264894
JOHN HANCOCK SER TR 478032105 5506 584 X 584 0 0
JOHN HANCOCK SER TR 478032105 269233 28551 X 28551 0 0
JOHN HANCOCK SER TR 478032402 166248 38218 X 36938 0 1280
JOHNSON & JOHNSON 478160104 174024929 2679368 X 2349724 39270 290374
JOHNSON & JOHNSON 478160104 131403276 2023145 X 1240024 532519 250602
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JONES APPAREL GROUP INC COM 480074103 527465 15092 X 2212 0 12880
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KLA-TENCOR CORP COM 482480100 1204382 18111 X 5033 0 13078
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KB HOME 48666K109 253152 5833 X 667 0 5166
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KELLOGG CO COM 487836108 2278832 67883 X 64883 0 3000
KENILWORTH SYS CORP 489084103 38600 200000 X 200000 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 474354212 9821750 7275168 632564 1914017
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
KENNAMETAL INC COM 489170100 6720881 166235 X 14825 0 151410
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KENTUCKY ELEC STL INC 49127B100 5046 6300 X 6300 0 0
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KERR MCGEE CORP COM 492386107 824529 13119 X 12404 715 0
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KEYCORP NEW COM 493267108 17599074 660378 X 630495 0 29883
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KINDER MORGAN ENERGY PARTNER 494550106 26400 800 X 800 0 0
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KING PHARMACEUTICALS INC 495582108 7217837 206165 X 2947 0 203218
KING PHARMACEUTICALS INC 495582108 23142 661 X 337 224 100
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KOHLS CORP COM 500255104 3820542 53697 X 28960 200 24537
KOHLS CORP COM 500255104 1382587 19432 X 19432 0 0
KONINKLIJKE PHILIPS ELECTRS 500472303 6610806 218756 X 14403 0 204353
KONINKLIJKE PHILIPS ELECTRS 500472303 816152 27007 X 27007 0 0
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KOS PHARMACEUTICALS INC 500648100 3704112 133050 X 5850 0 127200
KRAFT/ROYSE GENERATIONS FUNERAL 5007549A6 264000 44 X 44 0 0
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LSI LOGIC CORP COM 502161102 545054 32062 X 6174 0 25888
LSI LOGIC CORP COM 502161102 284155 16715 X 7967 1000 7748
L-3 COMMUNICATIONS HLDGS INC 502424104 7823984 69857 X 64067 465 5325
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SUBTOTALS FOR THIS PAGE 198587397 6063691 3450731 71501 2541459
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
L-3 COMMUNICATIONS HLDGS INC 502424104 3882032 34661 X 29901 4025 735
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LAFARGE NORTH AMERICA INC 505862102 6277843 145186 X 13936 0 131250
LAFARGE NORTH AMERICA INC 505862102 147016 3400 X 3400 0 0
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LAKELAND FINL CORP 511656100 374697 18600 X 18600 0 0
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AHOLD-KONINKLIJKE NV ORD (EUR) 5252602S3 7279063 277388 X 2944 0 274444
ENDESA SA ORD (ESP) 5271782S5 5906497 397096 X 4400 0 392696
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LEXINGTON CORPORATE PPTYS TR 529043101 15980 1000 X 1000 0 0
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TELECOM ITALIA SPA ORD (ITL) 5297506S5 106541 12937 X 12937 0 0
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LEXMARK INTERNATIONAL INC 529771107 1745877 30533 X 30013 470 50
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LIBERTY ACORN TR 53015P817 266019 14068 X 14068 0 0
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SUBTOTALS FOR THIS PAGE 148768537 5149878 2374058 14542 2761278
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
LIBERTY ELECTRONICS INC COM 530454107 78107 42220 X 42220 0 0
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LIBERTY PPTY TR SH BEN INT 531172104 48375 1500 X 500 0 1000
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LINCOLN NATL CORP IND COM 534187109 43942377 866201 X 842182 0 24019
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LORD ABBET GRW OPPORTUNITIES 54400R202 294874 16918 X 16918 0 0
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SUBTOTALS FOR THIS PAGE 2050764145 29204258 18617042 127519 10459697
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
LORD ABBETT AFFILIATED FD INC COM 544001100 998095 70837 X 69317 0 1520
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MFS 552981300 22963774 1558980 X 1465258 0 93722
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MFS SER TR VII 552988305 560907 42269 X 42269 0 0
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MFS SER TR VII 552988883 107951 8098 X 8098 0 0
MIM CORP 553044108 198000 12000 X 12000 0 0
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SUBTOTALS FOR THIS PAGE 212023873 8456095 5866177 22897 2567021
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SWISSCOM AG REG ORD (CHF) 5533976S4 5044322 16700 X 160 0 16540
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ATOS ORIGIN ORD (FRF) 5654781S3 4936945 63195 X 1020 0 62175
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MARBANC FINANCIAL CORPORATION 566099016 421200 8100 X 8100 0 0
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METSO OYJ ORD (FIM) 5713422S2 4312588 355500 X 4125 0 351375
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MARSHALL & ILSLEY CORP COM 571834100 2470928 39700 X 39700 0 0
SINGULUS TECHNOLOGIES AG ORD (DEM) 5718665S7 2016962 68000 X 740 0 67260
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MARRIOTT INTL INC 571903202 74572 1659 X 1659 0 0
AGUAS DE BARCELONA ORD (ESP) 5729065S0 4325621 395404 X 3740 0 391664
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MASCO CORP 574599106 13433426 489378 X 278948 550 209880
MASCO CORP 574599106 5626728 204981 X 188220 6840 9921
MASSACHUSETTS INVESTORS GROWTH STK 575719109 4830422 385201 X 385201 0 0
MASSACHUSETTS INVESTORS GROWTH STK 575719109 990525 78989 X 78989 0 0
MASSACHUSETTS INVS GROWTH ST 575719208 105616 9035 X 9035 0 0
MASSACHUSETTS INVS GROWTH ST 575719208 46854 4008 X 4008 0 0
MASSACHUSETTS INVS GROWTH ST 575719406 16373383 1296388 X 1284545 0 11843
MASSACHUSETTS INVS GROWTH ST 575719406 13798 1092 X 1092 0 0
MFS 575736103 481497 28954 X 26832 0 2122
MFS 575736103 106042 6377 X 2360 0 4016
MASSACHUSETTS INVS TR 575736202 162826 10014 X 10014 0 0
MFS MASSACHUSETTS INVESTORS TRUST 575736400 290810 17540 X 17540 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 285801777 8692267 4913658 15252 3763356
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
MASTERS SELECT FDS 576417109 324528 26004 X 26004 0 0
MASTERS SELECT FDS 576417208 101676 7656 X 7656 0 0
MASTERS SELECT FDS 576417208 349834 26343 X 26343 0 0
MATRIXONE INC 57685P304 2520792 282600 X 10450 0 272150
MATTEL INC 577081102 1665387 79913 X 49454 0 30459
MATTEL INC 577081102 147360 7071 X 4174 397 2500
MAXIM INTEGRATED PRODS INC 57772K101 22250574 399400 X 333758 700 64942
MAXIM INTEGRATED PRODS INC 57772K101 15145655 271866 X 253249 6062 12555
MAXTOR CORP 577729205 5976958 859994 X 63004 0 796990
MAXTOR CORP 577729205 23408 3368 X 0 0 3368
MAY DEPT STORES CO 577778103 21987144 630908 X 193094 0 437814
MAY DEPT STORES CO 577778103 4446058 127577 X 78608 11706 37263
MAHLON MAXTON COM 577991102 2654276 285 X 285 0 0
MAYTAG CORP 578592107 436969 9875 X 4458 0 5417
MAYTAG CORP 578592107 49472 1118 X 318 0 800
MAZEL STORES INC 578792103 2110500 630000 X 630000 0 0
MCDONALD TAX EXEMPT MTG TRUST 580125102 17143 17143 X 0 0 17143
MCDONALDS CORP 580135101 24222835 872895 X 753884 500 118511
MCDONALDS CORP 580135101 33169833 1195309 X 1027739 88500 79070
MCGRAW-HILL COS INC 580645109 5943074 87078 X 71867 0 15211
MCGRAW-HILL COS INC 580645109 8570153 125570 X 119588 600 5382
MCKEE REALTY CO COMMON 5813339A1 327618 875 X 875 0 0
MCKESSON CORP 58155Q103 1112981 29735 X 9554 0 20181
MCKESSON CORP 58155Q103 124006 3313 X 3313 0 0
MEAD PROPERTIES INC NON-VOTING COM 582840997 299706 402 X 402 0 0
MEADWESTVACO CORP 583334107 11804290 356087 X 54103 0 301984
MEADWESTVACO CORP 583334107 912818 27536 X 22436 5100 0
DEUTSCHE TELEKOM AG-REG ORD (DEM) 5842359S6 3773080 250000 X 2500 0 247500
MEDIMMUNE INC COM 584699102 12996638 330451 X 282432 600 47419
MEDIMMUNE INC COM 584699102 4316821 109759 X 103423 2589 3747
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 109906324 2431018 X 2239098 3185 188735
MEDTRONIC INC 585055106 47434455 1049203 X 936962 44256 67985
MELLON FINL CORP 58551A108 6717284 174068 X 107686 0 66382
MELLON FINL CORP 58551A108 3096693 80246 X 53351 8654 18241
MERCANTILE BANKSHARES CORP 587405101 493164 11400 X 11400 0 0
MERCANTILE BANKSHARES CORP 587405101 146003 3375 X 3375 0 0
MERCER COUNTY STATE BANCORP, INC. 588003103 720300 4200 X 4200 0 0
MERCK & CO INC 589331107 186433863 3237823 X 2818853 9445 409525
MERCK & CO INC 589331107 193391208 3358652 X 2915963 222637 220052
MERCURY GEN CORP NEW 589400100 5175450 111300 X 4700 0 106600
MERCURY INTERACTIVE CORP 589405109 2608618 69286 X 60794 0 8492
MERCURY INTERACTIVE CORP 589405109 7982 212 X 212 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 743912935 18050914 14039565 404931 3606418
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
MERIDIAN GROWTH 589619105 203030 6941 X 6941 0 0
MERIDIAN GROWTH 589619105 87640 2996 X 2379 0 617
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 72275663 1305086 X 650628 100 654358
MERRILL LYNCH & CO INC 590188108 6989897 126217 X 44702 1430 80085
MERRILL LYNCH 590193207 111087 11042 X 11042 0 0
METALS USA INC 591324108 66104 227944 X 227944 0 0
METLIFE INC 59156R108 4305678 136688 X 62276 0 74412
METLIFE INC 59156R108 222201 7054 X 4143 2911 0
METRO ONE TELECOMMUNICATIONS 59163F105 885349 34925 X 1450 0 33475
AEGON NV ORD (NLG) 5927375S5 7811018 320000 X 3200 0 316800
MICHAELS STORES INC 594087108 774900 20500 X 20500 0 0
MICROSOFT CORP 594918104 216577854 3591077 X 3118044 4870 468163
MICROSOFT CORP 594918104 93196380 1545289 X 1323426 59565 162298
MICROCHIP TECHNOLOGY INC 595017104 4199523 100395 X 795 0 99600
MICROCHIP TECHNOLOGY INC 595017104 332967 7960 X 675 0 7285
MICRON TECHNOLOGY INC 595112103 20621095 626781 X 134941 175 491665
MICRON TECHNOLOGY INC 595112103 204638 6220 X 2490 1330 2400
MID STATE FINANCIAL 5954509A7 5356240 11644 X 11644 0 0
MIDCAP SPDR TR 595635103 1567956 15870 X 870 0 15000
MIDCAP SPDR TR 595635103 488862 4948 X 4948 0 0
METROCORP INCORPORATED 595990904 401615 1709 X 1709 0 0
SANDVIK AB ORD (SEK) 5963108S4 3971998 166908 X 1810 0 165098
MIDWAY GAMES INC 598148104 3667850 272500 X 10300 0 262200
MIDWEST BANC HLDGS INC 598251106 376550 17000 X 17000 0 0
ZURICH FINCL SVCS ORD (CHF) 5983816S5 3269688 14100 X 150 0 13950
MILLENNIUM PHARMACEUTICALS INC 599902103 1495662 67040 X 240 0 66800
MILLENNIUM PHARMACEUTICALS INC 599902103 46851 2100 X 0 0 2100
MILLENNIUM CHEMICALS INC 599903101 3442106 233680 X 17810 0 215870
MILLIPORE CORP 601073109 235091 5314 X 1945 0 3369
MILLIPORE CORP 601073109 373872 8451 X 8451 0 0
MINE SAFETY APPLIANCES CO 602720104 225300 6000 X 0 0 6000
MINERALS TECHNOLOGIES INC 603158106 5108951 97369 X 7430 0 89939
MINNESOTA MNG & MFG CO 604059105 75564100 657022 X 622273 835 33914
MINNESOTA MNG & MFG CO 604059105 52876371 459755 X 400384 31859 27512
MIRANT CORP 604675108 1020531 70625 X 29494 0 41131
MIRANT CORP 604675108 330399 22865 X 15298 79 7488
MISSISSIPPI VALLEY BANCSHARES INC 605720101 482400 12000 X 12000 0 0
MITSUBISHI TOKYO FINL GROUP INC 606816106 140066 22775 X 22775 0 0
CHINA MOBILE(HONG KONG)LTD ORD (HKD) 6073556S8 2319674 750745 X 26611 0 724134
MOCON INC 607494101 139740 13700 X 13700 0 0
MOLEX INC 608554101 792799 22867 X 2775 0 20092
MOLEX INC 608554101 463885 13380 X 13380 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 593023603 11068615 6879706 103154 4085755
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
MOLEX INC 608554200 79534 2600 X 2600 0 0
MOLEX INC 608554200 291247 9521 X 8189 0 1332
MONETTA FUND 608901104 151480 16664 X 16664 0 0
FEDERATED MONEY MARKET MANAGEMENT 60934N211 27470 27470 X 27470 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 1010000 1010000 X 1010000 0 0
FEDERATED U.S. TREASURY OBLIGATIONS 60934N799 1850001 1850001 X 1850001 0 0
HUANENG POWER INTL INC-H ORD (HKD) 6099671S3 3688074 5532000 X 65000 0 5467000
SEMBCORP INDS LTD ORD (SGD) 6128713S0 2037573 2277000 X 23300 0 2253700
NTT MOBILE COMMUNICATIONS ORD (JPY) 6129277S6 3748443 1380 X 55 0 1325
SHANDONG INTL POWER DEVE-H ORD (HKD) 6142780S9 2474 10000 X 10000 0 0
MONTREAL RIVER INTL SILVER MINES LTD 614990901 22500 75000 X 75000 0 0
MOODYS CORP 615369105 1837047 44697 X 28680 0 16017
MOODYS CORP 615369105 2323712 56538 X 56138 400 0
MOORE LTD 615785102 5973932 459180 X 33900 0 425280
HSBC HLDGS PLC $.5 ORD (HKD) 6158163S2 6245013 541220 X 18763 0 522457
MSDW DIVIDEND GROWTH SECS IN 616938205 132960 2783 X 2783 0 0
MSDW DIVIDEND GROWTH SECS IN 616938205 722484 15124 X 15124 0 0
MORGAN STANLEY DEAN WITTER 616969200 47633 5358 X 5358 0 0
MORGAN STANLEY DEAN WITTER 616969200 260575 29311 X 29311 0 0
MSDW TAX EXEMPT SECURITIES TRUST 616977401 267382 23352 X 23352 0 0
CANON INC (JPY) 6172323S0 6136310 165300 X 2200 0 163100
MORGAN STANLEY DEAN WITTER INSTL FD 61744J408 17277893 1071830 X 1064308 0 7521
MORGAN STANLEY INSTL FD TRUS 617440888 70231 12910 X 12910 0 0
MORGAN STANLEY DEAN WITTER DISCOVER 617446448 52549831 916940 X 530550 650 385740
MORGAN STANLEY DEAN WITTER DISCOVER 617446448 14001922 244319 X 220881 11422 12016
MORGAN STANLEY 61745P734 245388 17964 X 17964 0 0
MORGAN STANLEY 61745P734 97874 7165 X 0 0 7165
DBS GROUP HLDGS LTD ORD (SGD) 6175203S8 4254050 530000 X 6000 0 524000
CHINA RARE EARTH HLDGS LTD ORD (HKD) 6181006S5 3308 12000 X 12000 0 0
CHUBU ELECTRIC PWR CO INC ORD (JPY) 6195609S6 2221910 140900 X 1900 0 139000
MOTOROLA INC 620076109 52113077 3669935 X 1981839 525 1687571
MOTOROLA INC 620076109 5657237 398397 X 386605 4440 7352
CARRY WEALTH HLDGS LTD ORD (HKD) 6220556S5 5990 32000 X 32000 0 0
MOVIE GALLERY INC 624581104 8443348 491750 X 18125 0 473625
MULTI-COLOR CORP 625383104 157500 10500 X 10500 0 0
MULTIMEDIA GAMES INC 625453105 201495 5700 X 5700 0 0
MUNICIPAL INVT TR FD 626229702 9841 10251 X 10251 0 0
MUNIHOLDINGS FD INC 62625H107 142230 11000 X 11000 0 0
MUNIYIELD MICHIGAN INSURED FUND II 626300107 24629 1950 X 1950 0 0
MUNIYIELD MICHIGAN INSURED FUND II 626300107 123521 9780 X 9780 0 0
MURPHY OIL CORP 626717102 31200 325 X 325 0 0
MURPHY OIL CORP 626717102 572640 5965 X 4800 200 965
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 196252460 20947581 8834777 17637 12095166
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
JP MORGAN TAX-FREE MONEY MARKET 628269920 16369682 16369682 X 0 0 16369682
FRANKLIN MUTUAL SHARES FUND 628380107 151563 7605 X 7605 0 0
FRANKLIN MUTUAL SHARES FUND 628380107 61630 3092 X 3092 0 0
MUTUAL SER FD INC 628380206 403158 23618 X 23618 0 0
MUTUAL SER FD INC 628380206 63390 3714 X 3714 0 0
FRANKLIN MUTUAL BEACON FUND 628380305 1768215 131564 X 131564 0 0
FRANKLIN MUTUAL BEACON FUND 628380305 96772 7200 X 7200 0 0
FRANKLIN MUTUAL DISCOVERY FUND 628380404 222763 11700 X 11700 0 0
FRANKLIN MUTUAL DISCOVERY FUND 628380404 15965 839 X 839 0 0
MYERS INDS INC 628464109 3623550 249900 X 249900 0 0
MYKOLIS CORP 62852P103 5078025 332114 X 25989 0 306125
MYKOLIS CORP 62852P103 86893 5683 X 5683 0 0
MYLAN LABS INC 628530107 259631 8813 X 8513 0 300
MYLAN LABS INC 628530107 348070 11815 X 6200 0 5615
NCR CORP NEW 62886E108 562284 12565 X 2592 0 9973
NCR CORP NEW 62886E108 92112 2058 X 1683 15 360
NVR INC 62944T105 1798350 5700 X 5700 0 0
N-VIRO INTERNATIONAL CORPORATION 62944W9A8 23421 10128 X 10128 0 0
NABORS INDS INC 629568106 16960037 401421 X 363888 1600 35933
NABORS INDS INC 629568106 6092197 144194 X 124793 5776 13625
NACCO INDS INC 629579103 2896873 43700 X 1700 0 42000
NACCO INDS INC 629579103 6475870 97690 X 65690 0 32000
NACCO INDUSTRIES INC CL B 629579202 987000 21000 X 0 0 21000
NASDAQ 100 TR 631100104 658708 18267 X 17567 0 700
NASDAQ 100 TR 631100104 717522 19898 X 18098 1000 800
NATIONAL CITY CORP 635405103 763277748 24813971 X 23014004 33901 1766066
NATIONAL CITY CORP 635405103 421155277 13691654 X 9375866 938382 3377406
FUJI PHOTO FILM CO LTD (JPY) 6356525S5 3146338 100000 X 1000 0 99000
NATIONAL FRUIT & VEGETABLE 636156101 1 30000 X 30000 0 0
NATIONAL FUEL GAS CO N J 636180101 936355 38454 X 38454 0 0
NATIONAL FUEL GAS CO N J 636180101 1270924 52194 X 45866 2728 3600
NATIONAL INST COS AMER 636500100 1200 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 91456 3200 X 3200 0 0
NATIONAL PROCESSING INC 637229105 297375 10405 X 10405 0 0
NATIONAL SEMICONDUCTOR CORP COM 637640103 4773233 141681 X 2267 0 139414
NATIONAL SEMICONDUCTOR CORP COM 637640103 26682 792 X 792 0 0
MIDAMERICA NATIONAL BANCSHARES 637995101 1423800 40680 X 40680 0 0
NATIONS FDS INC 638581454 920933 55444 X 55444 0 0
NATIONS FD TR 638582106 186307 17659 X 17659 0 0
NATIONWIDE FINL SVCS INC 638612101 285690 6675 X 6225 0 450
NATIONWIDE FINL SVCS INC 638612101 202230 4725 X 4725 0 0
NAVISTAR INTL CORP NEW 63934E108 219108 4946 X 755 0 4191
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 1264570282 57257984 34044872 983402 22229710
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
NAVISTAR INTL CORP NEW 63934E108 3367 76 X 76 0 0
NAVIGATOR MONEY MKT FD 639341106 75063 75063 X 75063 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 158000 10000 X 10000 0 0
NESTLE S A 641069406 6233645 112126 X 112046 0 80
NESTLE S A 641069406 16955530 304983 X 301933 0 3050
NETSCOUT SYSTEMS INC 64115T104 15036 2100 X 1993 0 107
NETSCOUT SYSTEMS INC 64115T104 73433 10256 X 10256 0 0
NETWORK APPLIANCE INC 64120L104 626114 30722 X 7255 0 23467
NETWORK APPLIANCE INC 64120L104 14674 720 X 720 0 0
NEUBERGER BERMAN FDS 641224506 167278 4679 X 4679 0 0
NEUBERGER BERMAN FDS 641224506 303129 8479 X 8479 0 0
NEW AMER HIGH INCOME FD INC COM 641876107 34230 12631 X 12631 0 0
ALUMINUM CORP OF CHINA LTD (HKD) 6425395S5 637687 2826000 X 30100 0 2795900
HONDA MOTOR CO LTD ORD (JPY) 6435145S7 6724259 160000 X 1500 0 158500
NEW CENTY EQUITY HLDGS CORP 64353J107 8427 10944 X 10944 0 0
NEW CENTY EQUITY HLDGS CORP 64353J107 12012 15600 X 15600 0 0
AMERICAN NEW ECONOMY FUND 643822109 290876 16088 X 16088 0 0
AMERICAN NEW ECONOMY FUND 643822109 27846 1540 X 0 0 1540
HUTCHISON WHAMPOA ORD (HKD) 6448068S3 160862 18250 X 3200 0 15050
JOHN FAIRFAX HLDGS LTD ORD (AUD) 6467074S5 4242437 2007380 X 22500 0 1984880
AMERICAN NEW PERSPECTIVE FUND 648018109 1035766 46761 X 46761 0 0
AMERICAN NEW PERSPECTIVE FUND 648018109 461949 20856 X 20856 0 0
KANSAI ELECTRIC POWER ORD (JPY) 6483489S1 3374002 239900 X 2950 0 236950
NEW YORK CMNTY BANCORP INC 649445103 846090 30600 X 30600 0 0
NEW YORK TIMES CO 650111107 650465 13591 X 2893 0 10698
NEW YORK TIMES CO 650111107 103904 2171 X 1971 0 200
NEWELL RUBBERMAID INC 651229106 4273787 133723 X 105675 7883 20165
NEWELL RUBBERMAID INC 651229106 2587801 80970 X 65050 11113 4807
NEWFIELD EXPL CO 651290108 7032650 190123 X 14063 0 176060
NEWMONT MINING CORPORATION 651639106 903220 32619 X 4975 0 27644
NEWMONT MINING CORPORATION 651639106 602701 21766 X 7437 14000 329
NEXTEL COMMUNICATIONS INC 65332V103 435005 80856 X 24121 0 56735
NEXTEL COMMUNICATIONS INC 65332V103 30332 5638 X 838 600 4200
NICHOLAS FD INC COM 653735100 561356 10446 X 8867 0 1579
NICHOLAS LIMITED EDITION 653738104 172259 11021 X 11021 0 0
NICOR INC 654086107 178101 3910 X 750 0 3160
NICOR INC 654086107 286327 6286 X 6286 0 0
NIKE INC 654106103 1378250 22967 X 4011 0 18956
NIKE INC 654106103 217296 3621 X 3221 400 0
NISOURCE INC 65473P105 2058225 89683 X 68452 0 21231
NISOURCE INC 65473P105 1635142 71248 X 59338 3600 8310
NOKIA CORP 654902204 4137858 199511 X 70602 0 128909
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SUBTOTALS FOR THIS PAGE 70428041 7071993 1331890 37596 5702507
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
NOKIA CORP 654902204 1342562 64733 X 53383 900 10450
NOBLE DRILLING CORP 655042109 656114 15852 X 2274 0 13578
NOBLE DRILLING CORP 655042109 8278 200 X 200 0 0
100% OWNERSHIP OF 50% OF NORAG 655416907 616000 1 X 1 0 0
NORDSON CORP 655663102 3167921 105072 X 8547 0 96525
NORDSON CORP 655663102 196940 6532 X 6532 0 0
NORDSTROM INC 655664100 986762 40276 X 30791 0 9485
NORDSTROM INC 655664100 1301097 53106 X 52706 0 400
NORFOLK SOUTHN CORP 655844108 6155046 257103 X 200660 0 56443
NORFOLK SOUTHN CORP 655844108 4124910 172302 X 136230 18672 17400
EDWARD A NORMAN INVESTMENT CO COM 656139904 300150 690 X 690 0 0
NORTEL NETWORKS CORPORATION 656568102 1980795 441157 X 110504 550 330103
NORTEL NETWORKS CORPORATION 656568102 597269 133022 X 125772 4000 3250
MEITEC CORP ORD (JPY) 6576356S2 3585467 120000 X 1200 0 118800
NORTH FORK BANCORPORATION INC N Y 659424105 42782058 1203095 X 691889 0 511206
NORTH FORK BANCORPORATION INC N Y 659424105 1270310 35723 X 34893 530 300
NORTH PITTSBURGH SYSTEMS INC COM 661562108 218524 15620 X 0 0 15620
NORTH PITTSBURGH SYSTEMS INC COM 661562108 2277684 162808 X 21320 21608 119880
NORTH TRACK FDS INC 663038107 22496 2551 X 2551 0 0
NORTH TRACK FDS INC 663038107 183264 20778 X 20778 0 0
NEC CORP ORD (JPY) 6640400S2 2650973 318249 X 10335 0 307914
NISSAN MOTOR CO LTD ORD (JPY) 6642860S1 3614140 500000 X 5500 0 494500
NIPPON FIRE & MARINE INS ORD (JPY) 6643380S0 3606590 1000000 X 10600 0 989400
NORTHERN FDS 665162103 261462 16696 X 16696 0 0
NORTHERN FDS 665162863 112666 10740 X 10740 0 0
NORTHERN FDS 665162871 261570 25494 X 25494 0 0
NORTHERN INST DIVS ASSETS PT 665278107 856088 856088 X 856088 0 0
NORTHERN TR CORP 665859104 13927487 231700 X 213041 0 18659
NORTHERN TR CORP 665859104 16210284 269677 X 264117 1500 4060
NORTHERN TRUST 66586G9A7 125123 125123 X 125123 0 0
ORIX CORP ORD (JPY) 6661144S9 4244945 56600 X 520 0 56080
NORTHPOINT COMMUNICATIONS GROUP INC 666610100 2312 14185 X 12987 0 1198
NORTHPOINT COMMUNICATIONS GROUP INC 666610100 9982 61240 X 61240 0 0
NORTHROP GRUMMAN CORP 666807102 18096027 160071 X 112745 410 46916
NORTHROP GRUMMAN CORP 666807102 7126107 63035 X 56265 4195 2575
NORTHWEST BANCORP INC PA 667328108 229298 19350 X 19350 0 0
NORTHWEST BANCORP INC PA 667328108 9480 800 X 0 800 0
NOVELL INC 670006105 116743 30011 X 4053 0 25958
NOVELL INC 670006105 21329 5483 X 2483 0 3000
NOVELLUS SYS INC 670008101 904192 16701 X 1986 0 14715
NOVELLUS SYS INC 670008101 27070 500 X 500 0 0
NSTAR 67019E107 343949 7586 X 7586 0 0
NSTAR 67019E107 46247 1020 X 1020 0 0
PROMISE CO LTD ORD (JPY) 6703295S6 3095400 72100 X 770 0 71330
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 147673111 6713070 3320160 53165 3339745
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
NUCOR CORP 670346105 564156 8782 X 3293 0 5489
NUCOR CORP 670346105 574306 8940 X 5850 3000 90
NUMERICAL TECHNOLOGIES INC 67053T101 2288594 169400 X 6250 0 163150
NURESCELL INC 67057R101 960 40000 X 40000 0 0
NUVEEN PA PREMIUM INCOME MUNICIPAL 67061F101 103927 7466 X 7466 0 0
NUVEEN PA PREMIUM INCOME MUNICIPAL 67061F101 52757 3790 X 0 3790 0
NUVEEN INVT QUALITY MUNICIPAL 67062E103 216 15 X 15 0 0
NUVEEN INVT QUALITY MUNICIPAL 67062E103 209031 14506 X 14506 0 0
NUVEEN SELECT TAX-FREE INCOME 67062F100 191130 13800 X 13800 0 0
NUVEEN SELECT TAX-FREE INCOME 67062F100 106299 7675 X 3000 0 4675
NUVEEN MUN ADVANTAGE FD INC COM 67062H106 14300 1000 X 1000 0 0
NUVEEN MUN ADVANTAGE FD INC COM 67062H106 133290 9321 X 9321 0 0
NUVEEN PERFORMANCE PLUS MUN FD 67062P108 69300 5000 X 5000 0 0
NUVEEN PERFORMANCE PLUS MUN FD 67062P108 101871 7350 X 7350 0 0
NUVEEN PREMIUM INCOME MUN FD 67062T100 47094 3430 X 3430 0 0
NUVEEN PREMIUM INCOME MUN FD 67062T100 408220 29732 X 23066 0 6666
NUVEEN MUN MKT OPPORTUNITY FD 67062W103 172336 12443 X 12443 0 0
NUVEEN MUN MKT OPPORTUNITY FD 67062W103 36010 2600 X 2600 0 0
NUVEEN PREM INCOME MUN FD 2 INC COM 67063W102 118580 8404 X 8404 0 0
NUVEEN PREM INCOME MUN FD 2 INC COM 67063W102 44672 3166 X 3166 0 0
NUVEEN FLAGSHIP MULTISTATE I 67065N886 234031 22395 X 22395 0 0
NUVEEN 67065Q400 530625 57677 X 57677 0 0
NUVEEN 67065Q400 569069 61855 X 61855 0 0
NUVEEN FLAGSHIP MUN TR 67065Q806 14892 1402 X 1402 0 0
NUVEEN FLAGSHIP MUN TR 67065Q806 200049 18837 X 9292 0 9545
NUVEEN FLAGSHIP 67065Q848 15613 1473 X 1473 0 0
NUVEEN FLAGSHIP 67065Q848 772019 72832 X 72832 0 0
NUVEEN FLAGSHIP 67065R507 856254 79578 X 75222 0 4356
NUVEEN FLAGSHIP 67065R507 131563 12227 X 12227 0 0
NUVEEN FLAGSHIP MULTISTATE TR IV 67065R747 246517 22431 X 22431 0 0
NUVEEN FLAGSHIP MULTISTATE TR IV 67065R747 32699 2975 X 2975 0 0
NUVEEN FLAGSHIP MULTISTATE TR IV 67065R762 53644 4877 X 4877 0 0
NUVEEN FLAGSHIP MULTISTATE TR IV 67065R762 455304 41391 X 41391 0 0
NVIDIA CORP 67066G104 733271 16530 X 1687 0 14843
NVIDIA CORP 67066G104 8872 200 X 200 0 0
OGE ENERGY CORP 670837103 265352 11070 X 11070 0 0
OGE ENERGY CORP 670837103 176683 7371 X 7371 0 0
OM GROUP INC 670872100 668775 9250 X 8700 550 0
NUVEEN MUNICIPAL VALUE FD 670928100 424157 46004 X 46004 0 0
NUVEEN MUNICIPAL VALUE FD 670928100 122497 13286 X 12581 705 0
NUVEEN SELECT 670973106 66436 4783 X 4283 0 500
NUVEEN SELECT 670973106 240797 17336 X 17336 0 0
NUVEEN MICH QUALITY INCOME MUN FD 670979103 185394 12205 X 12205 0 0
NUVEEN MICH QUALITY INCOME MUN FD 670979103 44355 2920 X 2920 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 12285917 897725 680366 8045 209314
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
NUVEEN OHIO QUALITY INCM MUNI 670980101 88171 5396 X 5396 0 0
NUVEEN OHIO QUALITY INCM MUNI 670980101 365542 22371 X 12321 350 9700
NUVEEN TXFR UNIT TR INSD NAT 6710A7549 219861 2332 X 0 0 2332
OSI PHARMACEUTICALS INC 671040103 3458903 88350 X 1650 0 86700
OTG SOFTWARE INC 671059103 13618 1578 X 1411 0 167
OTG SOFTWARE INC 671059103 73821 8554 X 8554 0 0
OAK ASSOCIATES FDS 671081107 10681830 292333 X 291712 0 620
OAK ASSOCIATES FDS 671081107 236478 6472 X 3743 0 2728
PIN OAK AGGRESSIVE STOCK FUND 671081206 5994441 260175 X 260175 0 0
PIN OAK AGGRESSIVE STOCK FUND 671081206 168462 7312 X 4773 0 2539
OAK ASSOCS FDS 671081305 47735 5328 X 5328 0 0
OAK ASSOCS FDS 671081305 74209 8282 X 6770 0 1512
OAK TECHNOLOGY INC COM 671802106 4076376 273950 X 10650 0 263300
OAKLEY INC COM 673662102 2087140 116600 X 0 0 116600
OAKLEY INC COM 673662102 21480 1200 X 1200 0 0
OCCIDENTAL PETE CORP 674599105 13115605 449935 X 69571 0 380364
OCCIDENTAL PETE CORP 674599105 1579639 54190 X 53162 0 1028
OCEANFIRST FINL CORP 675234108 597600 20000 X 20000 0 0
OCWEN FINL CORP 675746101 76886 11667 X 11667 0 0
OFFICEMAX INC 67622M108 5162 925 X 925 0 0
OFFICEMAX INC 67622M108 75888 13600 X 1200 0 12400
OFFICE DEPOT INC 676220106 619399 31204 X 9541 0 21663
OFFICE DEPOT INC 676220106 19652 990 X 990 0 0
SMC CORP ORD (JPY) 6763965S9 2879665 24387 X 827 0 23560
OGLEBAY NORTON CO 677007106 54782 5424 X 5424 0 0
OGLEBAY NORTON CO 677007106 223210 22100 X 22100 0 0
OHIO CAS CORP 677240103 229250 12104 X 12104 0 0
OHIO CAS CORP 677240103 297206 15692 X 14692 0 1000
OHIO ELECTRONIC ENGRAVERS INC 6773599A1 429000 2200 X 2200 0 0
OHIO MACHINERY CO COM 6774009A3 8378244 299223 X 299223 0 0
OIL WELL AUTOMATION INC CLASS A COM 677895997 0 10000 X 10000 0 0
OILTON INCORPORATED 678059999 40000 20000 X 20000 0 0
OLD NATL BANCORP IND 680033107 1046985 42769 X 42769 0 0
OLD NATL BANCORP IND 680033107 9390185 383586 X 0 383057 529
OLD REP INTL CORP 680223104 9681507 302831 X 302831 0 0
OLD REP INTL CORP 680223104 3261835 102028 X 88980 0 13048
SHIN-ETSU CHEMICAL CO ORD 6804585S1 6772549 160000 X 1600 0 158400
OLIN CORP 680665205 6332216 336820 X 26290 0 310530
OLIN CORP 680665205 56400 3000 X 3000 0 0
SINGAPORE AIRLINES LTD ORD 6811734S6 101524 13000 X 7000 0 6000
OLYMPIC STEEL INC 68162K106 127050 21000 X 5000 0 16000
OMNICARE INC 681904108 3921041 151450 X 0 0 151450
OMNICARE INC 681904108 62136 2400 X 0 0 2400
OMNICOM GROUP INC 681919106 36300387 384538 X 361587 220 22731
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 133283070 3997296 2006366 383627 1607301
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
OMNICOM GROUP INC 681919106 2548422 26996 X 25566 440 990
ONE GROUP PRIME MONEY MKT FD CL I 681937405 2513494 2513494 X 2513494 0 0
ONE GROUP PRIME MONEY MKT FD CL I 681937405 131278 131278 X 131278 0 0
ONE GROUP 681937595 39088 3643 X 3643 0 0
ONE GROUP 681937595 204396 19049 X 19049 0 0
ONE GROUP 681937827 561124 21417 X 21417 0 0
ONE GROUP 681937827 78206 2985 X 2985 0 0
OMEGA FINL CORP 682092101 2569781 78973 X 78973 0 0
OMEGA INTL SPORTS & ENTERTAINMENT 6821019A0 1 488334 X 488334 0 0
OMNIVISION TECHNOLOGIES INC 682128103 5652324 512450 X 19150 0 493300
ONE GROUP 68231N651 530307 42055 X 42055 0 0
ONE GROUP 68231N685 113313 8972 X 8972 0 0
ONE GROUP 68231N685 1149025 90976 X 0 0 90976
OPENWAVE SYSTEMS INC 683718100 64929 10209 X 9769 0 440
OPENWAVE SYSTEMS INC 683718100 241680 38000 X 38000 0 0
OPPENHEIMER HIGH YIELD FUND A 683796106 124003 13391 X 13391 0 0
OPPENHEIMER HIGH YIELD FUND A 683796106 9535 1030 X 1030 0 0
OPPENHEIMER MAIN STREET FUNDS,INC. 68380D108 196081 5960 X 5960 0 0
OPPENHEIMER MAIN STREET FUNDS,INC. 68380D108 64136 1949 X 1949 0 0
OPPENHEIMER MAIN STREET FUNDS,INC. 68380D801 237574 7427 X 7427 0 0
OPPENHEIMER MAIN STREET FUNDS,INC. 68380D801 21862 683 X 683 0 0
OPPENHEIMER QUEST FOR VALUE FDS 68380E106 250694 7837 X 7837 0 0
OPPENHEIMER STRATEGIC INC FD CL B 68380K201 50627 13358 X 13358 0 0
OPTIMAL ROBOTICS CORP 68388R208 4192384 233950 X 9850 0 224100
ORACLE CORP 68389X105 29941581 2339186 X 1841924 850 496412
ORACLE CORP 68389X105 10742285 839241 X 716193 49524 73524
OPPENHEIMER CHAMPION INCOME FUND B 683944300 93556 10247 X 10247 0 0
OPPENHEIMER 683977102 361059 39160 X 39160 0 0
OPPENHEIMER 683977102 17406 1888 X 1888 0 0
O REILLY AUTOMOTIVE INC 686091109 7213745 228500 X 8900 0 219600
O REILLY AUTOMOTIVE INC 686091109 15785 500 X 500 0 0
TAKEDA CHEMICAL INDUSTRIES (JPY) 6870445S2 2856490 70500 X 700 0 69800
TANABE SEIYAKU CO LTD ORD (JPY) 6870984S9 4242259 456000 X 2200 0 453800
TOKYO GAS CO LTD ORD (JPY) 6895448S6 2422000 1000000 X 10700 0 989300
TOSHIBA CORP ORD (JPY) 6897217S1 2931299 700000 X 7200 0 692800
OWEN FUNERAL HOME COM 690006184 258884 465 X 465 0 0
TOYO INK MFG CO LTD ORD (JPY) 6900104S9 974799 495000 X 4500 0 490500
OVERBROOK CORP 690181904 11573477 100 X 100 0 0
OWEN & MINOR INC NEW 690732102 4196675 213680 X 15550 0 198130
OWENS ILLINOIS INC 690768403 406164 23892 X 14392 0 9500
OWENS ILLINOIS INC 690768403 138091 8123 X 8123 0 0
OXFORD HEALTH PLANS INC 691471106 13373 320 X 320 0 0
OXFORD HEALTH PLANS INC 691471106 459690 11000 X 11000 0 0
PDF SOLUTIONS INC 693282105 1994116 116275 X 4450 0 111825
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 102396998 10828493 6162682 50814 4614997
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
PDG ENVIRONMENTAL INC 693283103 6000 10000 X 10000 0 0
PG&E CORP COM 69331C108 797647 33856 X 6528 0 27328
PG&E CORP COM 69331C108 85570 3632 X 2939 0 693
PFF BANCORP INC 69331W104 3809083 122086 X 8995 0 113091
PIMCO FDS PAC INVT MGMT SER 693390700 82635145 7938054 X 7855085 5750 77220
PIMCO FDS PAC INVT MGMT SER 693390700 5107046 490590 X 435316 6119 49156
PIMCO 693390726 20639922 1982701 X 1928650 0 54051
PIMCO 693390726 59013 5669 X 5669 0 0
PIMCO FDS 693390841 448356 48787 X 48787 0 0
PIMCO 693391633 3377 337 X 337 0 0
PIMCO 693391633 207195 20658 X 20658 0 0
PMC-SIERRA INC 69344F106 321432 19744 X 2796 0 16948
PMC-SIERRA INC 69344F106 323516 19872 X 19872 0 0
PNC FINANCIAL SVCS GROUP 693475105 40673360 661463 X 627722 0 33741
PNC FINANCIAL SVCS GROUP 693475105 23826207 387481 X 299548 18774 69159
PPG INDS INC 693506107 8924412 162528 X 149846 400 12282
PPG INDS INC 693506107 13261808 241519 X 144192 46219 51108
PPL CORPORATION 69351T106 1485850 37512 X 22476 0 15036
PPL CORPORATION 69351T106 381365 9628 X 5750 3778 100
PACCAR INC COM 693718108 566938 7744 X 2328 0 5416
PACCAR INC COM 693718108 6516 89 X 89 0 0
PACIFIC NORTHWEST BANCORP 69466M103 591750 22500 X 22500 0 0
PACKAGING CORP OF AMERICA 695156109 9036411 456615 X 34685 0 421930
PACKAGING CORP OF AMERICA 695156109 19790 1000 X 1000 0 0
PACTIV CORP 695257105 388788 19420 X 3064 0 16356
PACTIV CORP 695257105 149409 7463 X 3725 153 3585
PALL CORP 696429307 312288 15241 X 6622 0 8619
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PALM INC 696642107 77095 19322 X 17472 0 1850
PAN WORLD MINERALS INTL INC 698070109 2 432000 X 432000 0 0
PANCANADIAN ENERGY CORP 69831A107 16268 547 X 547 0 0
PANCANADIAN ENERGY CORP 69831A107 239020 8037 X 8037 0 0
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PARAMETRIC TECHNOLOGY CORP 699173100 133013 22022 X 3495 0 18527
PARAMETRIC TECHNOLOGY CORP 699173100 17564 2908 X 2908 0 0
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ARMADA ADVANTAGE INTERNATIONAL 700910508 5916400 763406 X 763406 0 0
ARMADA ADVANTAGE EQUITY GROWTH FD 700910706 3524849 400096 X 400096 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 237086808 14988878 13754825 81193 1152862
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
PARKER HANNIFIN CORP 701094104 1310374 26260 X 17984 0 8276
PARKER HANNIFIN CORP 701094104 2567854 51460 X 51460 0 0
PATHMARK STORES INC 70322A101 7335598 306288 X 22798 0 283490
PATTERSON DENTAL CO COM 703412106 274012 6266 X 6266 0 0
PATTERSON UTI ENERGY INC 703481101 3894453 130950 X 5050 0 125900
PAW CLUB LLC CLASS B 7038739A9 3 55080 X 55080 0 0
PAX WORLD FD INC 704222108 54890 2738 X 2738 0 0
PAX WORLD FD INC 704222108 1056452 52691 X 45570 7121 0
PAYCHEX INC 704326107 2843830 71633 X 30069 0 41564
PAYCHEX INC 704326107 2287713 57625 X 47075 130 10420
PEABODY ENERGY CORP COM 704549104 4103228 141735 X 37100 0 104635
NORSKE SKOGINDUSTRIER ORD A (NOK) 7070396S7 4064180 214399 X 2250 0 212149
PENN NATL GAMING INC 707569109 3218338 91900 X 3400 0 88500
PENN NATL GAMING INC 707569109 199614 5700 X 5700 0 0
NOVO NORDISK A/S-B ORD (DKK) 7077524S7 3710512 93085 X 1500 0 91585
PENN VIRGINIA CORP 707882106 237688 5920 X 5920 0 0
PENNEY J C CO INC 708160106 1103367 53277 X 34660 0 18617
PENNEY J C CO INC 708160106 1889415 91232 X 8002 77030 6200
AXA ORD (FRF) 7088429S0 2850268 126293 X 2200 0 124093
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PEOPLES BANCORP INC 709789101 1382880 57620 X 57620 0 0
PEOPLES BANCORP INC 709789101 331080 13795 X 13795 0 0
NOVARTIS AG-REG SHS ORD (CHF) 7103065S6 7694279 195621 X 2530 0 193091
FRAPORT AG ORD (DEM) 7107551S8 2264438 99032 X 900 0 98132
PEOPLES ENERGY CORP 711030106 1260672 32013 X 22465 0 9548
PEOPLES ENERGY CORP 711030106 400849 10179 X 8193 400 1586
SUEZ ORD (FRF) 7118047S7 2828284 100000 X 1000 0 99000
NESTLE SA CHAM ET VEVEY ORD (CHF) 7123870S9 7216650 32452 X 470 0 31982
UBS AG - REGD - ORD 7126114S8 7465142 151630 X 1580 0 150050
PEOPLESOFT INC COM 712713106 4166868 114067 X 3594 0 110473
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PEPSICO INC 713448108 201247912 3907726 X 3552319 206990 148417
PERFORMANCE FOOD GROUP CO 713755106 8189201 250741 X 13296 0 237445
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PERKINELMER INC 714046109 26492 1432 X 500 0 932
ENI SPA ORD (ITL) 7145056S8 2931226 200000 X 2000 0 198000
ING GROEP NV (EURO) 7154182S7 6929756 254597 X 3440 0 251157
PETROLEO BRASILEIRO S.A. ADR 71654V408 6691722 252804 X 2400 0 250404
PFIZER INC 717081103 291416897 7333088 X 6599149 6330 727609
PFIZER INC 717081103 189308965 4763688 X 4409528 165642 188518
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 944625064 22549560 17988096 468123 4093341
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
PHARMACEUTICAL RESOURCES INC 717125108 3052420 144050 X 5400 0 138650
PHARMACIA CORP 71713U102 267975941 5944453 X 5036709 4260 903484
PHARMACIA CORP 71713U102 45779515 1015517 X 950579 39554 25384
CREDIT SUISSE GROUP ORD (CHF) 7171589S0 3675929 96976 X 1070 0 95906
PHELPS DODGE CORP 717265102 309056 7341 X 1787 0 5554
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PHILIP MORRIS COS INC 718154107 63324193 1202282 X 999608 3025 199649
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PHILLIPS PETE CO 718507106 16947334 269862 X 70291 0 199571
PHILLIPS PETE CO 718507106 1841736 29327 X 19930 1923 7474
PHYSICIAN WEBLINK 7189559A7 125000 30782 X 30782 0 0
SWISS RE ORD (CHF) 7189816S7 4663262 50680 X 300 0 50380
PHOENIX COMPANIES INC NEW 71902E109 9923750 516862 X 51312 0 465550
PHOENIX COMPANIES INC NEW 71902E109 51494 2682 X 2376 306 0
PHOTRONICS INC 719405102 8313467 246471 X 18681 0 227790
PHOTRONICS INC 719405102 20238 600 X 600 0 0
JULIUS BAER HLDG AG-B ORD (CHF) 7194177S0 3605487 11250 X 205 0 11045
PIER 1 IMPORTS INC 720279108 3614575 175550 X 7500 0 168050
PIER 1 IMPORTS INC 720279108 93685 4550 X 4550 0 0
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PIMCO FD #1805 72200P549 598031 68035 X 49541 12440 6055
PINNACLE BUSINESS MGMT INC 72345F109 1400 200000 X 200000 0 0
PINNACLE WEST CAP CORP 723484101 517081 11402 X 5429 0 5973
PINNACLE WEST CAP CORP 723484101 4535 100 X 100 0 0
PIONEER FD INC CL A 723682100 80621 2008 X 2008 0 0
PIONEER FD INC CL A 723682100 509214 12686 X 8086 4600 0
PIONEER NAT RES CO 723787107 8883947 398562 X 29987 0 368575
PIONEER RAILCORP CLASS A WARRANT 723839114 1 16386 X 16386 0 0
PIONEER RAILCORP CLASS A WARRANT 723839114 2 4000 X 4000 0 0
PIONEER STANDARD ELECTRONICS 723877106 8251601 583152 X 44702 0 538450
PIONEER STANDARD ELECTRONICS 723877106 651579 46048 X 40462 0 5586
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POHANG IRON & STL LTD SPONSORED ADR 730450103 3787723 144846 X 1900 0 142946
BNP PARIBAS (EUR) 7309681S3 6819025 135000 X 1280 0 133720
POLARIS INDUSTRIES INCORPORATED 731068102 89180 1400 X 1400 0 0
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SUBTOTALS FOR THIS PAGE 596781665 15009945 10361322 103642 4544982
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
POLARIS INDUSTRIES INCORPORATED 731068102 178360 2800 X 2800 0 0
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SUBTOTALS FOR THIS PAGE 489102970 6021575 4756355 99492 1165728
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 30638678 2041653 1788254 224 253175
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 50444302 3091292 2617454 23496 450341
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 68244548 2441395 1582875 66965 791555
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 352980204 12212840 9166044 85110 2961683
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SAP AKTIENGESELLSCHAFT 803054204 27156 730 X 730 0 0
SAPIENT CORP COM 803062108 73958 15570 X 2598 0 12972
SAPIENT CORP COM 803062108 3696 778 X 778 0 0
SAPPI LTD -SPONSORED ADR 803069202 8018602 598850 X 46600 0 552250
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 154386751 7474547 4813867 787550 1873131
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SARA LEE CORP COM 803111103 17470723 841557 X 768344 3475 69738
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SCANA CORP NEW 80589M102 182896 5977 X 5851 0 126
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SCHERING-PLOUGH CORP COM 806605101 27483059 878053 X 798002 9800 70251
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CHARLES SCHWAB CORP NEW 808513105 2663187 203452 X 106310 0 97142
CHARLES SCHWAB CORP NEW 808513105 135966 10387 X 9637 750 0
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SCOTTISH PWR PLC 81013T705 329081 16092 X 15594 104 394
SCOTTS CO CL A 810186106 9018614 196999 X 192924 625 3450
SCOTTS CO CL A 810186106 8248457 180176 X 158349 13606 8221
SCRIPPS E W CO 811054204 1809925 22040 X 22040 0 0
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SCUDDER GNMA S SHARES 811158104 138529 9254 X 9254 0 0
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SCUDDER MANAGED 811170109 194497 21805 X 21805 0 0
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SCUDDER MANAGED MUN BDS 811170802 625153 70163 X 69650 0 513
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SCUDDER STRATEGIC INCOME FD 81123J209 64098 14803 X 14803 0 0
SCUDDER US GOVT SECS FD 81123L105 255894 29929 X 29929 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 244152311 7244156 6272853 136194 835108
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SCUDDER US GOVT SECS FD 81123L105 474887 55542 X 54198 1344 0
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SELIGMAN HIGH-YIELD BOND SERIES CL B 816336606 84215 23590 X 23590 0 0
SELIGMAN OHIO MUNICIPAL FUND CL A 816346506 22597 2879 X 2879 0 0
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SHARON TUBE CO COM 819819103 1080000 600 X 600 0 0
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SIFCO INDS VTG TR 8265469A3 2480380 496076 X 454763 0 41313
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 53824236 2742816 2449138 12432 281249
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SIGMA ALDRICH CORP COM 826552101 1328733 28295 X 23098 0 5197
SIGMA ALDRICH CORP COM 826552101 1668066 35521 X 34749 400 372
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SIMON PPTY GROUP INC NEW 828806109 37068 1136 X 1136 0 0
SIMON PPTY GROUP INC NEW 828806109 639711 19605 X 17305 2300 0
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SIT MUT FDS INC 82980D301 316303 13234 X 0 13234 0
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AMERICAN SMALLCAP WORLD FUND 831681101 396138 16900 X 16900 0 0
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SMUCKER J M CO 832696306 642200 19000 X 19000 0 0
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SONOCO PRODS CO COM 835495102 649676 22708 X 15608 6000 1100
SONY CORP AMERN SH NEW 835699307 4575243 88496 X 1350 0 87146
SONY CORP AMERN SH NEW 835699307 337808 6534 X 6534 0 0
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SOUTHWEST BANCORPORATION TEX 84476R109 156698 4700 X 3400 0 1300
SOVEREIGN BANCORP 845905108 56200 4000 X 0 0 4000
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SUBTOTALS FOR THIS PAGE 132893860 7974024 4318842 37093 3618089
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SOVEREIGN BANCORP 845905108 146823 10450 X 10450 0 0
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SPHERION CORP 848420105 6299881 570125 X 43690 0 526435
SPRINT CORP COM 852061100 3434623 224632 X 141681 0 82951
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SPRINT CORP 852061506 6247738 607166 X 525983 475 80708
SPRINT CORP 852061506 2560574 248841 X 216533 4426 27882
STANCORP INC 852890904 7233600 13200 X 13200 0 0
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STANDARD FOODS INC COM 8534059A8 3 17595 X 17595 0 0
STANDISH SMALL CAP GROWTH INSTL. 854268828 1945254 57230 X 54989 0 2241
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STAPLES INC COM 855030102 756484 37881 X 37881 0 0
STAR OF THE WEST MILLING COMPANY 85515P103 1170000 9750 X 9750 0 0
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STARBUCKS CORP COM 855244109 518459 22415 X 22415 0 0
STARWOOD HOTELS & RESORTS WORLDWIDE 85590A203 884963 23530 X 3073 0 20457
STARWOOD HOTELS & RESORTS WORLDWIDE 85590A203 29148 775 X 572 0 203
STATE FARM BALANCE FD INC 856834106 220710 4688 X 4688 0 0
STATE STREET GLOBAL ADVISORS S&P 500 8574609A9 18539490 999380 X 999380 0 0
STATE STR CORP 857477103 78667179 1420498 X 1366478 520 53500
STATE STR CORP 857477103 55819163 1007930 X 981287 4030 22613
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STATE STREET INVESTMENT 857483101 123054 12994 X 12994 0 0
STATE STREET INVESTMENT 857483101 690243 72887 X 72887 0 0
STATE STR BK 857499909 1495978 1495978 X 1495978 0 0
STATE STREET RESEARCH TAX EXEMPT FD 857513105 24608 3016 X 3016 0 0
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STILWELL FINL INC 860831106 730341 29822 X 7098 0 22724
STILWELL FINL INC 860831106 128573 5250 X 1000 0 4250
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SSGA PRIME FD 8618809A2 25111123 25111123 X 25111123 0 0
STORAGENETWORKS INC 86211E103 24472 7012 X 6648 0 364
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SUBTOTALS FOR THIS PAGE 272199878 34062064 32942773 80311 1038979
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
STORAGENETWORKS INC 86211E103 132390 37934 X 37934 0 0
STRONG CORPORATE BOND FUND 862912102 277488 27693 X 27691 0 3
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STRATTEC SECURITY CORP 863111100 223035 4780 X 4780 0 0
STRONG 86334C109 293158 14434 X 14434 0 0
STRONG HIGH-YIELD MUNICIPAL BOND 863345104 510776 67207 X 40894 7873 18441
STRONG OPPORTUNITY FUND INC 86335K100 238893 6024 X 6024 0 0
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STRYKER CORP COM 863667101 1732678 28720 X 27120 0 1600
SUMMIT PROPERTIES INC COM 866239106 6753646 275659 X 21679 0 253980
SUMMIT PROPERTIES INC COM 866239106 25725 1050 X 1050 0 0
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SUN LIFE FINL SVCS CDA INC 866796105 1328718 61316 X 61316 0 0
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SUN MICROSYSTEMS INC COM 866810104 10883051 1233906 X 972213 0 261693
SUN MICROSYSTEMS INC COM 866810104 5126625 581250 X 503305 38200 39745
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SUNGARD DATA SYS INC COM 867363103 79056884 2397843 X 1576822 2940 818081
SUNGARD DATA SYS INC COM 867363103 7651612 232078 X 196673 21170 14235
SUNOCO INC 86764P109 299395 7483 X 1936 0 5547
SUNOCO INC 86764P109 167562 4188 X 2249 1939 0
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SUREQUEST SYSTEMS INC 868663105 43838 250500 X 250500 0 0
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SYCAMORE NETWORKS INC 871206108 88875 22500 X 22500 0 0
SYMBOL TECHNOLOGIES INC COM 871508107 305222 27155 X 3707 0 23448
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SUBTOTALS FOR THIS PAGE 171236112 7481151 5297164 75972 2108018
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SYMBOL TECHNOLOGIES INC COM 871508107 261914 23302 X 16902 0 6400
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TF FINL CORP COM 872391107 350250 15000 X 15000 0 0
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TAIWAN SEMICONDUCTOR MFG LTD 874039100 257674 12418 X 11858 0 560
TALISMAN ENERGY INC COM 87425E103 15484413 370973 X 32595 0 338378
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TARGET CORP 87612E106 68292206 1583771 X 1037690 765 545316
TARGET CORP 87612E106 8867887 205656 X 195801 2280 7575
AMERICAN FUNDS 876902107 331808 27720 X 27720 0 0
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TELEFLEX INC COM 879369106 95235 1742 X 1742 0 0
TELEFLEX INC COM 879369106 711147 13008 X 12708 300 0
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SUBTOTALS FOR THIS PAGE 226088956 6061453 3439261 69488 2552705
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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THOMAS REALTY COMPANY 883996100 881058 60 X 60 0 0
THOMAS & BETTS CORP COM 884315102 200068 9455 X 1752 300 7403
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 247850802 10440436 7978298 152735 2309401
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
THOMAS & BETTS CORP COM 884315102 20673 977 X 865 112 0
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3COM CORP COM 885535104 6110 1000 X 1000 0 0
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TORCHMARK CORP COM 891027104 232957 5782 X 5382 0 400
TORONTO DOMINION BK ONT 891160509 123225 4494 X 4494 0 0
TORONTO DOMINION BK ONT 891160509 197424 7200 X 7200 0 0
TOTAL FINA ELF S.A. SPONSORED ADR 89151E109 2151694 28090 X 3310 0 24780
TOTAL FINA ELF S.A. SPONSORED ADR 89151E109 157183 2052 X 2052 0 0
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TOYS R US INC COM 892335100 163041 9078 X 6078 3000 0
TRACTOR SUPPLY CO 892356106 262200 5700 X 5700 0 0
TRANSAMERICA INVS INC 893509109 839316 49959 X 49959 0 0
TRI-CONTINENTAL CORPORATION 895436103 171267 8851 X 8851 0 0
TRI-CONTINENTAL CORPORATION 895436103 316844 16374 X 5335 0 11039
TRIAD GUARANTY INC 895925105 6117533 140730 X 10690 0 130040
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TRICON GLOBAL RESTAURANTS 895953107 2817854 47939 X 41460 5898 581
TRIBUNE CO NEW COM 896047107 1765166 38829 X 17807 0 21022
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TWEEDY BROWNE FD INC 901165209 1497116 62173 X 0 0 62173
TWEEDY BROWNE FD INC 901165209 72001 2990 X 2990 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 60584067 2465878 712843 20357 1732678
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
TYCO INTL LTD NEW 902124106 117564970 3637530 X 3281757 3098 352675
TYCO INTL LTD NEW 902124106 48099076 1488214 X 1295377 50415 142422
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UST INC 902911106 2482800 63776 X 40503 0 23273
UST INC 902911106 1506085 38687 X 37812 875 0
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US BANCORP DEL COM NEW 902973304 4673491 207067 X 199770 3925 3372
US DIAGNOSTIC INC COM 90328Q108 6000 1000000 X 0 0 1000000
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UNITED DEFENSE INDS INC 91018B104 142040 5300 X 5300 0 0
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UNITEDHEALTH GROUP INC 91324P102 8061240 105486 X 73476 0 32010
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UNIVISION COMMUNICATIONS INC 914906102 1015476 24178 X 2609 0 21569
UNIZAN FINANCIAL CORP 91528W101 92752 4892 X 4892 0 0
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SUBTOTALS FOR THIS PAGE 389551703 11589316 7525666 92123 3971527
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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VANGUARD WORLD FD 921910204 575730 38178 X 38178 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 26641777 1691656 604807 17084 1069765
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
VANGUARD WORLD FD 921910204 49012 3250 X 3250 0 0
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SUBTOTALS FOR THIS PAGE 89196727 7325614 6619775 10449 695390
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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VANGUARD 922908306 304665 11754 X 8450 0 3304
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SUBTOTALS FOR THIS PAGE 156505953 18891012 18577100 149220 164693
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
VANGUARD 922908405 521833 27350 X 23939 0 3411
VANGUARD 922908405 525383 27536 X 27536 0 0
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VANGUARD INDEX TR 922908678 2786687 146053 X 146053 0 0
VANGUARD # 48 922908702 1674055 81225 X 28817 0 52409
VANGUARD # 48 922908702 409566 19872 X 19872 0 0
VANGUARD INDEX TR 922908710 4724721 44636 X 40720 0 3916
VANGUARD INDEX TR 922908793 1202696 108547 X 106721 0 1826
VANGUARD INDEX TR 922908793 58862 5312 X 5312 0 0
VANGUARD TOTAL STOCK MARKET 922908801 794707 30660 X 0 0 30660
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VERIZON COMMUNICATIONS 92343V104 69432777 1506134 X 1212165 111374 182595
VERITAS SOFTWARE CORP COM 923436109 3392617 77404 X 36158 0 41246
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VIVENDI UNIVERSAL 92851S204 348040 9040 X 8400 0 640
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SUBTOTALS FOR THIS PAGE 348372529 10724725 7163947 139359 3421420
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
VODAFONE GROUP PLC NEW 92857W100 3638202 197407 X 173917 0 23490
VODAFONE GROUP PLC NEW 92857W100 5144182 279120 X 253648 10510 14962
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SUBTOTALS FOR THIS PAGE 558432191 12857448 10523244 144648 2189559
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
WATERFIELD MTG CO INC COM 9413289A6 0 138081 X 138081 0 0
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WILSHIRE TARGET FDS INC 971897863 221536 24159 X 24159 0 0
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SUBTOTALS FOR THIS PAGE 4468932305 8569768 7192459 52993 1324316
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 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
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
WINN-DIXIE STORES INC COM 974280109 424290 26452 X 16533 0 9919
WINN-DIXIE STORES INC COM 974280109 84114 5244 X 5244 0 0
WINNEBAGO INDS INC 974637100 4770064 113600 X 4350 0 109250
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WOODWARD GOVERNOR COMPANY 980745103 68800 1000 X 0 0 1000
WORLDCOM INC/WORLDCOM GROUP 98157D106 7811377 1158958 X 715511 0 443447
WORLDCOM INC/WORLDCOM GROUP 98157D106 3896731 578150 X 487656 21987 68507
WORLDCOM INC-MCI GROUP 98157D304 53799 9103 X 9029 6 68
WORLDCOM INC-MCI GROUP 98157D304 47422 8024 X 7502 239 283
WORTHINGTON INDS INC 981811102 3683082 239784 X 160043 0 79741
WORTHINGTON INDS INC 981811102 182907 11908 X 4533 7375 0
WRIGLEY WILLIAM JR CO COM 982526105 1524026 28588 X 12695 0 15893
WRIGLEY WILLIAM JR CO COM 982526105 643345 12068 X 9782 0 2286
WYETH COM 983024100 99742111 1519301 X 1294302 4800 220199
WYETH COM 983024100 81675953 1244112 X 1122568 40114 81430
XCEL ENERGY INC 98389B100 2630570 103770 X 65984 0 37786
XCEL ENERGY INC 98389B100 1326008 52308 X 46382 0 5926
XILINX INC COM 983919101 1654668 41512 X 7218 0 34294
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XEROX CORP COM 984121103 698793 65004 X 13496 200 51308
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YAHOO! INC COM 984332106 1290000 69843 X 11102 0 58741
YAHOO! INC COM 984332106 42426 2297 X 2237 0 60
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YORK INTL CORP COM NEW 986670107 218990 6100 X 6100 0 0
ZEROTREE TECHNOLOGIES INC 98950V105 1197 66492 X 66492 0 0
ZEROTREE TECHNOLOGIES INC 98950V105 319 17730 X 17730 0 0
ZIMMER HLDGS INC 98956P102 7597733 223135 X 187138 0 35997
ZIMMER HLDGS INC 98956P102 12408739 364427 X 346671 5653 12103
ZIONS BANCORP COM 989701107 633063 10681 X 1262 0 9419
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ZORAN CORP 98975F101 3771768 86350 X 5400 0 80950
ZORAN CORP 98975F101 101338 2320 X 2320 0 0
ZURICH YIELDWISE 989823307 2498000 2498000 X 2498000 0 0
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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 1030838 404 X 404 0 0
PHILLIPS RESOURCES INC, COM 997310990 6950663 2726 X 296 488 1942
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SUBTOTALS FOR THIS PAGE 281519629 9846638 7431545 89702 2325391
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 DEPT ID# 001 PAGE 77
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
RCR GROUP INC COM 997506019 961875 35625 X 0 35625 0
SHEFFIELD INC 997650213 245656 50 X 50 0 0
SEVEN FIELDS DEVELOPMENT CORP 998225460 1 17685 X 0 0 17685
SPANG & CO COM 998463970 345600 3200 X 3200 0 0
SPANG & CO COM (RESTRICTED I) 998463988 324000 3000 X 3000 0 0
THE STACKPOLE CORPORATION CLASS A 998769434 1000 25625 X 0 0 25625
WEINMAN PUMP & SUPPLY CO COM 999487523 747000 90 X 90 0 0
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SUBTOTALS FOR THIS PAGE 2625132 85275 6340 35625 43310
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SUBTOTALS FOR COMMON STOCK 35446271909 1318092464 1030124821 17707967 270259674
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 DEPT ID# 001 PAGE 78
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
B. PREFERRED STOCK INSTR OTHER
PREFERRED STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ARMSTRONG INTERNATIONAL INCORPORATED 000567990 4132847 58010 X 0 0 58010
APPLIED TECHNOLOGY VENTURES 0382839B5 277920 579 X 579 0 0
DUKE ENERGY CAP TRUST II 26439G209 171465 6900 X 6900 0 0
DUKE ENERGY CAP TRUST II 26439G209 186375 7500 X 4000 0 3500
NOVALABS LLC 3741599P8 120000 120000 X 120000 0 0
MICHIGAN CON GAS PFD 594457400 525705 20820 X 20820 0 0
MICHIGAN CON GAS PFD 594457400 15150 600 X 600 0 0
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SUBTOTALS FOR THIS PAGE 5429462 214409 152899 0 61510
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SUBTOTALS FOR PREFERRED STOCK 5429462 214409 152899 0 61510
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 DEPT ID# 001 PAGE 79
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
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ABN AMRO BK N V LONDON BRH DEBT 00079FAH5 26163 25000 X 25000 0 0
ALGOMA STEEL INC SECD CONV NT 01566MAB1 977937 1377376 X 0 0 1377376
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ALLWASTE INC SUB DEB CONV 020047AA4 1875 25000 X 0 0 25000
ANIXTER INTL INC LIQUID YIELD OPT 035290AC9 4078 14000 X 14000 0 0
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CRAY RESEARCH INC SUB DEB CONV 225224AA2 7900 20000 X 0 20000 0
DECOR CORP SUB DEB CONV 243590AA4 100000 100000 X 100000 0 0
DEVON ENERGY CORP NEW SR DEB 25179MAB9 20100 20000 X 0 20000 0
INTERIM SVCS INC SUB NT CONV 45868PAA8 353675 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
MAGNA INTL INC SUB DEB CONV 559222AG9 513275 490000 X 460000 30000 0
MERIDIAN DIAGNOSTICS INC SUB DEB 589602AB7 7913 10000 X 10000 0 0
MERIDIAN DIAGNOSTICS INC SUB DEB 589602AB7 11869 15000 X 15000 0 0
NEXTEL COMMUNICATIONS INC 65332VAY9 15000 30000 X 0 30000 0
NORAM ENERGY CORP 655419AC3 13350 15000 X 15000 0 0
NORTHWEST NATURAL GAS CO CONV DEB 667655AM6 19706 15000 X 15000 0 0
REPTRON ELECTRONICS INC 76026WAA7 10850 20000 X 20000 0 0
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SUBTOTALS FOR THIS PAGE 2292283 3345064 1109000 145000 2091064
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SUBTOTALS FOR OTHER 2292283 3345064 1109000 145000 2091064
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 04/01/02 AS OF 03/31/02 DEPT ID# 001 PAGE 80
**SUMMARY PAGE FOR: NATIONAL CITY **
CATEGORY MARKET SH/PV SOLE SHARED NONE
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
A. COMMON STOCK 35446271909 1318092464 1030124821 17707967 270259674
B. PREFERRED STOCK 5429462 214409 152899 0 61510
C. OTHER 2292283 3345064 1109000 145000 2091064
----------- ---------- ---------- ---------- ----------
**GRAND TOTALS** 35453993654 1321651937 1031386720 17852967 272412248
</TABLE>