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

                                  FORM 13F

                             Form 13F COVER PAGE

Report for the Quarter Ended:  December 31, 2001

Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.): [ ]is a restatement
                                  [ ]adds new holdings entries
Institutional Investment Manager Filing this Report:

Name:     Regions Financial Corporation
Address:  417 North 20th Street
          Birmingham, AL  35202

Form 13F File Number:  28-01129

The institutional investment manager filing this report and the
person by whom it is signed hereby represent that the person
signing the report is authorized to submit it, that all
information contained herein is true, correct and complete, and
that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of
this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:     Ronald C. Jackson
Title:    Senior Vice President and Director of Investor Relations
Phone:    205/326-7090

Signature, Place, and Date of Signing:

/s/Ronald C. Jackson        Birmingham, Alabama         February 13, 2002
[Signature]                 [City, State]               [Date]

Report Type (Check only one.):

[X]13F HOLDINGS REPORT.  (Check here if all holdings of this
   reporting manager are reported in this report.)

[ ]13F NOTICE.  (Check here if no holdings reported are in this
   report, and all holdings are reported by other reporting
   manager(s).)

[ ]13F COMBINATION REPORT.  (Check here if a portion of the
   holdings for this reporting manager are reported in this
   report and a portion are reported by other reporting
   manager(s).)

List of Other Managers Reporting for this Manager:  None


                           Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:  0

Form 13F Information Table Entry Total:  749

Form 13F Information Table Value Total:  $2,369,986(thousands)


List of Other Included Managers:  None

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.


Form 13F INFORMATION TABLE

														                
COLUMN 1			COLUMN 2	COLUMN 3	COLUMN 4	COLUMN 5		COLUMN 6	COLUMN 8
NAME OF ISSUER			TITLE OF CLASS	CUSIP		VALUE		SHRS OR SH/ PUT/	INVESTMENT	VOTING AUTHORITY
								(THOUSANDS)	PRN AMT PRN CALL	DISCRETION	SOLE	SHARED	NONE
GLOBAL CROSSING LTD		COM		G3921A100	         3 	      4,130 	  SH	DEFINED	    3,830		     300
GLOBAL CROSSING LTD		COM		G3921A100	         6 	      7,353 	  SH	OTHER	    7,353
HILFIGER TOMMY CORP		ORD		G8915Z102	     2,750 	    200,000 	  SH	DEFINED	  200,000
TRANSOCEAN SEDCO FOREX INC	ORD		G90078109	       245 	      7,255 	  SH	DEFINED	    6,866		     389
TRANSOCEAN SEDCO FOREX INC	ORD		G90078109	       157 	      4,633 	  SH	OTHER	      937       96	   3,600
AFLAC INC			COM		001055102	     7,577 	    308,510 	  SH	DEFINED	  301,640		   6,870
AFLAC INC			COM		001055102	       412 	     16,784 	  SH	OTHER	    7,290    6,054	   3,440
AGL RES INC			COM		001204106	        88 	      3,828 	  SH	DEFINED	    3,828
AGL RES INC			COM		001204106	       347 	     15,076 	  SH	OTHER	   12,104    2,972
AOL TIME WARNER INC		COM		00184A105	     4,134 	    128,777 	  SH	DEFINED	  106,913    1,160	  20,704
AOL TIME WARNER INC		COM		00184A105	       674 	     20,990 	  SH	OTHER	   10,835    3,730	   6,425
A T & T CORP			COM		001957109	     2,523 	    139,079 	  SH	DEFINED	   65,298		  73,781
A T & T CORP			COM		001957109	     1,002 	     55,261 	  SH	OTHER	   34,952    2,918	  17,391
AT & T WIRELESS SERVICES INC	COM		00209A106	       356 	     24,786 	  SH	DEFINED	   19,760		   5,026
AT & T WIRELESS SERVICES INC	COM		00209A106	       262 	     18,230 	  SH	OTHER	   12,173      466	   5,591
ABBOTT LABORATORIES		COM		002824100	     7,234 	    129,750 	  SH	DEFINED	  127,705		   2,045
ABBOTT LABORATORIES		COM		002824100	     1,585 	     28,432 	  SH	OTHER	   15,770    1,200	  11,462
ABERCROMBIE & FITCH CO CLASS A	CL A		002896207	    10,333 	    389,465 	  SH	DEFINED	  386,840		   2,625
ABERCROMBIE & FITCH CO CLASS A	CL A		002896207	        74 	      2,800 	  SH	OTHER	    2,800
AEGON N V			ORD AMER REG	007924103	       591 	     22,089 	  SH	DEFINED	   22,089
AEGON N V			ORD AMER REG	007924103	       534 	     19,943 	  SH	OTHER	   11,951		   7,992
AETNA INC			COM		00817Y108	       233 	      7,059 	  SH	DEFINED	    1,059		   6,000
AETNA INC			COM		00817Y108	        11 	        330 	  SH	OTHER	      300		      30
AFFILIATED COMPUTER SVCS INC	CL A		008190100	     1,104 	     10,400 	  SH	DEFINED	   10,400
AGILENT TECHNOLOGIES INC	COM		00846U101	     2,658 	     93,234 	  SH	DEFINED	   92,144		   1,090
AGILENT TECHNOLOGIES INC	COM		00846U101	       154 	      5,401 	  SH	OTHER	    4,944		     457
AIR PRODUCTS & CHEMICALS INC	COM		009158106	       136 	      2,900 	  SH	DEFINED	    2,900
AIR PRODUCTS & CHEMICALS INC	COM		009158106	       338 	      7,208 	  SH	OTHER	    2,176    4,032	   1,000
AKZO NOBEL N. V. ADR		SPONSORED ADR	010199305	       220 	      4,896 	  SH	DEFINED	    4,896
AKZO NOBEL N. V. ADR		SPONSORED ADR	010199305	         9 	        190 	  SH	OTHER				     190
ALABAMA NATL BANCORPORATION DEL	COM		010317105	       324 	      9,625 	  SH	DEFINED	    9,625
ALBERTSONS INC			COM		013104104	     4,065 	    129,082 	  SH	DEFINED	  127,879		   1,203
ALBERTSONS INC			COM		013104104	        13 	        400 	  SH	OTHER				     400
ALCOA INC			COM		013817101	     4,087 	    114,975 	  SH	DEFINED	  114,205		     770
ALCOA INC			COM		013817101	       251 	      7,065 	  SH	OTHER	    6,640		     425
ALEXANDER & BALDWIN INC COM	COM		014482103	       969 	     36,299 	  SH	DEFINED	    2,833		  33,466
ALFA CORP			COM		015385107	       331 	     14,734 	  SH	DEFINED	   13,734		   1,000
ALFA CORP			COM		015385107	       487 	     21,698 	  SH	OTHER	      698		  21,000
ALLEGHENY ENERGY INC		COM		017361106	       196 	      5,400 	  SH	DEFINED	    5,200		     200
ALLEGHENY ENERGY INC		COM		017361106	        51 	      1,400 	  SH	OTHER	      600		     800
ALLIANCE CAP MGMT HLDG L P	UNIT LTD PARTN	01855A101	       516 	     10,680 	  SH	DEFINED	   10,180		     500
ALLSTATE CORP			COM		020002101	     2,015 	     59,787 	  SH	DEFINED	   55,072    2,348	   2,367
ALLSTATE CORP			COM		020002101	       425 	     12,600 	  SH	OTHER	    9,826    2,774
ALLTEL CORP			COM		020039103	     4,684 	     75,871 	  SH	DEFINED	   74,656		   1,215
ALLTEL CORP			COM		020039103	       401 	      6,501 	  SH	OTHER	    6,185       16	     300
AMERADA HESS CORP		COM		023551104	     3,484 	     55,750 	  SH	DEFINED	   55,450		     300
AMERADA HESS CORP		COM		023551104	        25 	        400 	  SH	OTHER	      400
AMEREN CORP			COM		023608102	       201 	      4,759 	  SH	DEFINED	    4,709		      50
AMEREN CORP			COM		023608102	        68 	      1,600 	  SH	OTHER		     1,600
AMERICAN EAGLE OUTFITTERS IN	COM		02553E106	     3,140 	    120,000 	  SH	DEFINED	  120,000
AMERICAN ELECTRIC POWER INC	COM		025537101	       922 	     21,190 	  SH	DEFINED	   20,163		   1,027
AMERICAN ELECTRIC POWER INC	COM		025537101	        22 	        512 	  SH	OTHER	      120       60	     332
AMERICAN EXPRESS CO		COM		025816109	     7,427 	    208,089 	  SH	DEFINED	  196,503		  11,586
AMERICAN EXPRESS CO		COM		025816109	     1,898 	     53,192 	  SH	OTHER	   39,178		  14,014
AMERICAN GREETINGS CORP CL A	CL A		026375105	        70 	      5,100 	  SH	DEFINED	    5,100
AMERICAN GREETINGS CORP CL A	CL A		026375105	       124 	      9,000 	  SH	OTHER	    3,600		   5,400
AMERICAN HOME PRODUCTS CORP	COM		026609107	    35,196 	    573,603 	  SH	DEFINED	  543,407    1,140	  29,056
AMERICAN HOME PRODUCTS CORP	COM		026609107	     6,763 	    110,219 	  SH	OTHER	  100,960    2,342	   6,917
AMERICAN INTL GROUP INC		COM		026874107	    15,254 	    192,111 	  SH	DEFINED	  180,013		  12,098
AMERICAN INTL GROUP INC		COM		026874107	     3,310 	     41,694 	  SH	OTHER	   14,473    4,215	  23,006
AMERICAN STD COS INC DEL	COM		029712106	     1,365 	     20,000 	  SH	DEFINED	   20,000
AMERISOURCEBERGEN CORP		COM		03073E105	     1,017 	     16,000 	  SH	DEFINED	   16,000
AMGEN INC			COM		031162100	     7,031 	    124,577 	  SH	DEFINED	  120,505      318	   3,754
AMGEN INC			COM		031162100	       546 	      9,677 	  SH	OTHER	    2,352      490	   6,835
AMSOUTH BANCORPORATION		COM		032165102	     8,079 	    427,483 	  SH	DEFINED	  385,824		  41,659
AMSOUTH BANCORPORATION		COM		032165102	     7,975 	    421,946 	  SH	OTHER	  273,653    5,000	 143,293
ANADARKO PETE CORP		COM		032511107	     4,497 	     79,098 	  SH	DEFINED	   79,078		      20
ANADARKO PETE CORP		COM		032511107	        60 	      1,047 	  SH	OTHER	    1,047
ANDRX GROUP			COM		034553107	     3,521 	     50,000 	  SH	DEFINED	   50,000
ANHEUSER BUSCH COS INC		COM		035229103	    15,453 	    341,799 	  SH	DEFINED	  338,712      380	   2,707
ANHEUSER BUSCH COS INC		COM		035229103	       742 	     16,405 	  SH	OTHER	   12,363    2,408	   1,634
AON CORP			COM		037389103	     1,019 	     28,675 	  SH	DEFINED	    3,000		  25,675
APPLERA CORP APPLID BIOSYS	COM AP BIO GRP	038020103	       236 	      6,000 	  SH	DEFINED	    6,000
APPLERA CORP APPLID BIOSYS	COM AP BIO GRP	038020103	       165 	      4,200 	  SH	OTHER	    4,200
APPLIED MATLS INC		COM		038222105	     2,299 	     57,342 	  SH	DEFINED	   54,527		   2,815
APPLIED MATLS INC		COM		038222105	       169 	      4,225 	  SH	OTHER	    4,150		      75
ASTRAZENECA PLC			SPONSORED ADR	046353108	       270 	      5,800 	SH	DEFINED	    5,800
AUBURN NATIONAL BANCORPORATION	COM		050473107	       165 	     14,500 	  SH	DEFINED	   14,500
AUBURN NATIONAL BANCORPORATION	COM		050473107	       323 	     28,450 	  SH	OTHER	   28,450
AUTOMATIC DATA PROCESSING INC	COM		053015103	     1,572 	     26,681 	  SH	DEFINED	   26,256		     425
AUTOMATIC DATA PROCESSING INC	COM		053015103	       703 	     11,930 	  SH	OTHER	    7,255		   4,675
AVANT IMMUNOTHERAPEUTICS INC	COM		053491106	        46 	     11,542 	  SH	OTHER				  11,542
AVON PRODS INC			COM		054303102	        58 	      1,250 	  SH	DEFINED	    1,000		     250
AVON PRODS INC			COM		054303102	       239 	      5,136 	  SH	OTHER	    5,136
BISYS GROUP INC			COM		055472104	     1,664 	     26,000 	  SH	DEFINED	   26,000
BJS WHSL CLUB INC		COM		05548J106	     3,087 	     70,000 	  SH	DEFINED	   70,000
BJ SVCS CO			COM		055482103	     3,796 	    116,970 	  SH	DEFINED	  116,500		     470
BJ SVCS CO			COM		055482103	        13 	        400 	  SH	OTHER	      400
BP PLC ADR			SPONSORED ADR	055622104	    10,936 	    235,139 	  SH	DEFINED	  229,508		   5,631
BP PLC ADR			SPONSORED ADR	055622104	     2,994 	     64,383 	  SH	OTHER	   54,268    7,924	   2,191
BMC SOFTWARE INC		COM		055921100	     2,505 	    153,046 	  SH	DEFINED	  153,046
BMC SOFTWARE INC		COM		055921100	         2 	        100 	  SH	OTHER	      100
BANK AMER CORP			COM		060505104	    22,103 	    351,123 	  SH	DEFINED	  336,410    4,155	  10,558
BANK AMER CORP			COM		060505104	    14,184 	    225,323 	  SH	OTHER	  214,570   10,253	     500
BANK NEW YORK INC		COM		064057102	     5,007 	    122,730 	  SH	DEFINED	  116,242    6,308	     180
BANK NEW YORK INC		COM		064057102	       587 	     14,380 	  SH	OTHER	      200    3,580	  10,600
BANK ONE CORP			COM		06423A103	       261 	      6,690 	  SH	DEFINED	    5,224		   1,466
BANK ONE CORP			COM		06423A103	       384 	      9,823 	  SH	OTHER	    7,623    1,500	     700
BARRICK GOLD CORP		COM		067901108	       213 	     13,357 	  SH	DEFINED	   13,077		     280
BARR LABS INC			COM		068306109	     1,587 	     20,000 	  SH	DEFINED	   20,000
BAXTER INTERNATIONAL INC	COM		071813109	     2,217 	     41,338 	  SH	DEFINED	   41,158		     180
BAXTER INTERNATIONAL INC	COM		071813109	       742 	     13,838 	  SH	OTHER	   11,260    1,880	     698
BEAR STEARNS COS INC		COM		073902108	       222 	      3,787 	  SH	DEFINED	    3,787
BEAR STEARNS COS INC		COM		073902108	        69 	      1,177 	  SH	OTHER	    1,177
BECKMAN COULTER INC		COM		075811109	       886 	     20,000 	  SH	DEFINED	   20,000
BECTON DICKINSON & CO		COM		075887109	       305 	      9,200 	  SH	DEFINED	    9,200
BECTON DICKINSON & CO		COM		075887109	        33 	      1,008 	  SH	OTHER	    1,008
BED BATH & BEYOND INC		COM		075896100	     1,311 	     38,680 	  SH	DEFINED	   37,750		     930
BED BATH & BEYOND INC		COM		075896100	        27 	        800 	  SH	OTHER	      600		     200
BELLSOUTH CORP			COM		079860102	     9,522 	    249,599 	  SH	DEFINED	  222,443    1,650	  25,506
BELLSOUTH CORP			COM		079860102	     5,649 	    148,082 	  SH	OTHER	   82,990   33,860	  31,232
BERKSHIRE HATHAWAY INC DEL CL A	CL A		084670108	       605 	          8 	  SH	DEFINED	        7		       1
BERKSHIRE HATHAWAY INC DEL CL A	CL A		084670108	     1,512 	         20 	  SH	OTHER				      20
BERKSHIRE HATHAWAY INC DEL	CL B		084670207	     1,134 	        449 	  SH	DEFINED	      444        5
BERKSHIRE HATHAWAY INC DEL	CL B		084670207	       631 	        250 	  SH	OTHER	      245		       5
BEST BUY INC			COM		086516101	       749 	     10,050 	  SH	DEFINED	    9,700		     350
BEST BUY INC			COM		086516101	        25 	        340 	  SH	OTHER				     340
BIOCRYST PHARMACEUTICALS INC	COM		09058V103	         6 	      1,500 	  SH	DEFINED	    1,500
BIOCRYST PHARMACEUTICALS INC	COM		09058V103	       452 	    114,054 	  SH	OTHER	    6,000		 108,054
BLACK HILLS CORP		COM		092113109	     1,692 	     50,000 	  SH	DEFINED	   50,000
BLACKROCK INSD MUN TERM TR INC	COM		092474105	       266 	     25,000 	  SH	DEFINED	   25,000
BLOCK H & R INC			COM		093671105	       279 	      6,250 	  SH	DEFINED	    4,400		   1,850
BLOCK H & R INC			COM		093671105	       215 	      4,800 	  SH	OTHER				   4,800
BLOUNT INTL INC NEW		COM		095180105	       131 	     41,851 	  SH	OTHER				  41,851
BOEING CO			COM		097023105	    10,226 	    263,699 	  SH	DEFINED	  262,741		     958
BOEING CO			COM		097023105	       312 	      8,056 	  SH	OTHER	    5,386		   2,670
BRISTOL MYERS SQUIBB CO		COM		110122108	    29,575 	    579,903 	  SH	DEFINED	  550,519    1,340	  28,044
BRISTOL MYERS SQUIBB CO		COM		110122108	     6,832 	    133,952 	  SH	OTHER	  104,090    8,374	  21,488
BURLINGTON NORTHN SANTA FE CORP	COM		12189T104	     3,302 	    115,748 	  SH	DEFINED	  114,324    1,424
BURLINGTON NORTHN SANTA FE CORP	COM		12189T104	       201 	      7,044 	  SH	OTHER	    5,619    1,425
BURLINGTON RESOURCES INC	COM		122014103	       510 	     13,597 	  SH	DEFINED	    9,528    1,436	   2,633
BURLINGTON RESOURCES INC	COM		122014103	       158 	      4,204 	  SH	OTHER	    3,486      718
CDW COMPUTER CTRS INC		COM		125129106	     2,686 	     50,000 	  SH	DEFINED	   50,000
CIGNA CORP			COM		125509109	        28 	        300 	  SH	DEFINED	      300
CIGNA CORP			COM		125509109	       203 	      2,196 	  SH	OTHER				   2,196
CSG SYS INTL INC		COM		126349109	     1,214 	     30,000 	  SH	DEFINED	   30,000
CSX CORP			COM		126408103	       278 	      7,940 	  SH	DEFINED	    7,940
CSX CORP			COM		126408103	        71 	      2,020 	  SH	OTHER	    1,620		     400
CVS CORPORATION (DEL)		COM		126650100	     1,406 	     47,510 	  SH	DEFINED	   46,710		     800
CVS CORPORATION (DEL)		COM		126650100	       211 	      7,114 	  SH	OTHER	    4,512		   2,602
CADENCE DESIGN SYS INC		COM		127387108	     2,192 	    100,000 	  SH	DEFINED	  100,000
CAMPBELL SOUP CO		COM		134429109	       349 	     11,680 	  SH	DEFINED	   11,080      600
CAMPBELL SOUP CO		COM		134429109	        18 	        600 	  SH	OTHER				     600
CARLISLE COS INC		COM		142339100	       214 	      5,800 	  SH	DEFINED	    1,000		   4,800
CATELLUS DEV CORP		COM		149111106	     1,180 	     64,134 	  SH	DEFINED	    6,802		  57,332
CATERPILLAR INC			COM		149123101	     7,155 	    136,942 	  SH	DEFINED	  136,342		     600
CATERPILLAR INC			COM		149123101	       484 	      9,268 	  SH	OTHER	    4,068		   5,200
CENTURYTEL INC			COM		156700106	    11,260 	    343,287 	  SH	DEFINED	   15,058		 328,229
CENTURYTEL INC			COM		156700106	        26 	        800 	  SH	OTHER	      800
CHEVRONTEXACO CORP		COM		166764100	    25,570 	    285,346 	  SH	DEFINED	  276,111    2,120	   7,115
CHEVRONTEXACO CORP		COM		166764100	     3,589 	     40,054 	  SH	OTHER	   27,786    6,073	   6,195
CHICOS FAS INC			COM		168615102	     2,382 	     60,000 	  SH	DEFINED	   60,000
CHIRON CORP			COM		170040109	       627 	     14,300 	  SH	DEFINED	   14,300
CHIRON CORP			COM		170040109	        35 	        800 	  SH	OTHER	      800
CIENA CORP			COM		171779101	     5,585 	    390,280 	  SH	DEFINED	  389,980		     300
CIENA CORP			COM		171779101	         3 	        200 	  SH	OTHER	      200
CINERGY CORP			COM		172474108	       123 	      3,687 	  SH	DEFINED	      337		   3,350
CINERGY CORP			COM		172474108	       401 	     12,000 	  SH	OTHER	    5,000    7,000
CIRCUIT CITY STORES GROUP	CIRCT CITY GRP	172737108	       452 	     17,429 	  SH	DEFINED	   17,144		     285
CIRCUIT CITY STORES GROUP	CIRCT CITY GRP	172737108	        57 	      2,201 	  SH	OTHER	      601		   1,600
CISCO SYS INC			COM		17275R102	    18,000 	    993,934 	  SH	DEFINED	  940,393    3,600	  49,941
CISCO SYS INC			COM		17275R102	     1,134 	     62,606 	  SH	OTHER	   32,351    5,770	  24,485
CIRRUS LOGIC INC		COM		172755100	     1,322 	    100,000 	  SH	DEFINED	  100,000
CITIGROUP INC			COM		172967101	    28,318 	    560,979 	  SH	DEFINED	  524,152      850	  35,977
CITIGROUP INC			COM		172967101	     6,036 	    119,573 	  SH	OTHER	   96,619    5,055	  17,899
CLOROX CO			COM		189054109	     3,795 	     95,947 	  SH	DEFINED	   80,140    1,027	  14,780
CLOROX CO			COM		189054109	       358 	      9,054 	  SH	OTHER	    5,394    2,236	   1,424
COACH INC			COM		189754104	       177 	      4,530 	  SH	DEFINED	    4,530
COACH INC			COM		189754104	        33 	        834 	  SH	OTHER	      834
COCA COLA CO			COM		191216100	    46,941 	    995,573 	  SH	DEFINED	  802,351		 193,222
COCA COLA CO			COM		191216100	    44,308 	    939,715 	  SH	OTHER	  886,300   12,440	  40,975
COCA COLA ENTERPRISES INC	COM		191219104	         2 	        125 	  SH	DEFINED	      125
COCA COLA ENTERPRISES INC	COM		191219104	     9,715 	    512,927 	  SH	OTHER	  512,927
COLGATE PALMOLIVE CO		COM		194162103	     6,234 	    107,946 	  SH	DEFINED	  102,478      500	   4,968
COLGATE PALMOLIVE CO		COM		194162103	    16,021 	    277,428 	  SH	OTHER	  268,028		   9,400
COLONIAL BANCGROUP INC		COM		195493309	       171 	     12,166 	  SH	DEFINED	   12,166
COLONIAL BANCGROUP INC		COM		195493309	       146 	     10,388 	  SH	OTHER	    6,388		   4,000
COLONIAL PPTYS TR (REIT)	COM SH BEN INT	195872106	        44 	      1,400 	  SH	DEFINED	    1,400
COLONIAL PPTYS TR (REIT)	COM SH BEN INT	195872106	       371 	     11,925 	  SH	OTHER	   11,925
COMCAST CORP CL A SPL		CL A SPL	200300200	     2,293 	     63,700 	  SH	DEFINED	   63,000		     700
COMERICA INC			COM		200340107	     4,618 	     80,600 	  SH	DEFINED	   80,200		     400
COMPASS BANCSHARES, INC.	COM		20449H109	     2,467 	     87,179 	  SH	DEFINED	   85,551		   1,628
COMPASS BANCSHARES, INC.	COM		20449H109	     2,618 	     92,521 	  SH	OTHER	   91,509    1,012
COMPAQ COMPUTER CORP		COM		204493100	     1,760 	    180,278 	  SH	DEFINED	  176,553		   3,725
COMPAQ COMPUTER CORP		COM		204493100	       246 	     25,211 	  SH	OTHER	   24,711		     500
COMVERSE TECHNOLOGY INC		COM PAR $0.10	205862402	       360 	     16,090 	  SH	DEFINED	   16,040		      50
COMVERSE TECHNOLOGY INC		COM PAR $0.10	205862402	        67 	      3,000 	  SH	OTHER	    3,000
CONAGRA FOODS INC COM		COM		205887102	     4,180 	    175,850 	  SH	DEFINED	  175,750		     100
CONAGRA FOODS INC COM		COM		205887102	       257 	     10,812 	  SH	OTHER	   10,162		     650
CONEXANT SYS INC		COM		207142100	       218 	     15,210 	  SH	DEFINED	   15,210
CONEXANT SYS INC		COM		207142100	        42 	      2,914 	  SH	OTHER	    1,466		   1,448
CONOCO INC			COM		208251504	     4,751 	    167,868 	  SH	DEFINED	  167,218		     650
CONOCO INC			COM		208251504	       211 	      7,456 	  SH	OTHER	    7,156		     300
CONSOLIDATED EDISON INC		COM		209115104	       135 	      3,351 	  SH	DEFINED	    2,551		     800
CONSOLIDATED EDISON INC		COM		209115104	       167 	      4,150 	  SH	OTHER	    4,150
COOPER CAMERON CORP		COM		216640102	       466 	     11,539 	  SH	DEFINED	   10,860		     679
COOPER CAMERON CORP		COM		216640102	        24 	        605 	  SH	OTHER	      180      325	     100
CORNING INC			COM		219350105	     2,738 	    306,945 	  SH	DEFINED	  303,815		   3,130
CORNING INC			COM		219350105	        89 	     10,009 	  SH	OTHER	    8,309		   1,700
COSTCO WHSL CORP		COM		22160K105	     5,321 	    119,890 	  SH	DEFINED	  119,090		     800
COSTCO WHSL CORP		COM		22160K105	       470 	     10,600 	  SH	OTHER	      400		  10,200
COVANTA ENERGY CORP		COM		22281N103	       108 	     24,000 	  SH	DEFINED	   24,000
DPL INC				COM		233293109	     1,047 	     43,494 	  SH	DEFINED	   40,000		   3,494
DST SYS INC DEL			COM		233326107	       997 	     20,000 	  SH	DEFINED	   20,000
DTE ENERGY CO			COM		233331107	       198 	      4,730 	  SH	DEFINED	    4,650       80
DTE ENERGY CO			COM		233331107	         2 	         50 	  SH	OTHER		        50
DELL COMPUTER CORP		COM		247025109	     2,141 	     78,782 	  SH	DEFINED	   67,276		  11,506
DELL COMPUTER CORP		COM		247025109	       513 	     18,887 	  SH	OTHER	   12,487    1,900	   4,500
DELPHI AUTOMOTIVE SYS CORP	COM		247126105	     5,962 	    436,461 	  SH	DEFINED	  434,861		   1,600
DELPHI AUTOMOTIVE SYS CORP	COM		247126105	        93 	      6,832 	  SH	OTHER	    4,785    1,247	     800
DELTA AIR LINES INC		COM		247361108	       304 	     10,390 	  SH	DEFINED	    9,290		   1,100
DELTA AIR LINES INC		COM		247361108	        79 	      2,688 	  SH	OTHER	    2,688
DELTIC TIMBER CORP		COM		247850100	       504 	     18,386 	  SH	DEFINED	   18,386
DIAL CORP NEW COM		COM		25247D101	     1,590 	     92,696 	  SH	DEFINED	   88,553      543	   3,600
DIAL CORP NEW COM		COM		25247D101	       131 	      7,661 	  SH	OTHER	    5,676    1,735	     250
DIAMOND OFFSHORE DRILLNG INC 	COM		25271C102	     1,635 	     53,785 	  SH	DEFINED	   53,785
DIAMOND OFFSHORE DRILLNG INC 	COM		25271C102	         3 	        100 	  SH	OTHER	      100
DIEBOLD INC			COM		253651103	       304 	      7,523 	  SH	DEFINED	    6,323		   1,200
DILLARDS INC			CL A   		254067101	       149 	      9,292 	  SH	DEFINED	    3,719		   5,573
DILLARDS INC			CL A		254067101	       134 	      8,400 	  SH	OTHER	    8,400
WALT DISNEY COMPANY		COM DISNEY	254687106	     1,820 	     87,814 	  SH	DEFINED	   61,630      500	  25,684
WALT DISNEY COMPANY		COM DISNEY	254687106	     1,386 	     66,899 	  SH	OTHER	   27,977      300	  38,622
DOLLAR TREE STORES INC		COM		256747106	     3,091 	    100,000 	  SH	DEFINED	  100,000
DOMINION RES INC VA NEW		COM		25746U109	     2,889 	     48,067 	  SH	DEFINED	   47,947		     120
DOMINION RES INC VA NEW		COM		25746U109	        66 	      1,100 	  SH	OTHER	    1,100
DOVER CORP			COM		260003108	     1,003 	     27,044 	  SH	DEFINED	    2,000		  25,044
DOVER CORP			COM		260003108	       228 	      6,145 	  SH	OTHER	    3,041		   3,104
DOW CHEM CO COM			COM		260543103	     1,472 	     43,568 	  SH	DEFINED	   42,683		     885
DOW CHEM CO COM			COM		260543103	       582 	     17,219 	  SH	OTHER	   12,482    1,633	   3,104
DREYFUS STRATEGIC MUNS INC	COM		261932107	       504 	     50,183 	  SH	DEFINED	   50,000		     183
DREYFUS STRATEGIC MUNS INC	COM		261932107	        34 	      3,400 	  SH	OTHER	    3,400
DREYFUS STRATEGIC MUN BD FD INC	COM		26202F107	       433 	     51,548 	  SH	DEFINED	   51,548
DU PONT E I DE NEMOURS & CO	COM		263534109	    14,095 	    331,563 	  SH	DEFINED	  324,948		   6,615
DU PONT E I DE NEMOURS & CO	COM		263534109	     2,354 	     55,381 	  SH	OTHER	   41,025    1,206	  13,150
DUFF & PHELPS UTILS INCOME,INC	COM		264324104	       225 	     20,329 	  SH	DEFINED	   19,725		     604
DUFF & PHELPS UTILS INCOME,INC	COM		264324104	       144 	     12,980 	  SH	OTHER	   12,980
DUKE ENERGY CORP		COM		264399106	     6,753 	    172,001 	  SH	DEFINED	  159,144		  12,857
DUKE ENERGY CORP		COM		264399106	       706 	     17,974 	  SH	OTHER	   16,624      800	     550
DURECT CORP			COM		266605104	       366 	     31,617 	  SH	OTHER				  31,617
E M C CORP MASS			COM		268648102	     7,424 	    552,391 	  SH	DEFINED	  516,459		  35,932
E M C CORP MASS			COM		268648102	       524 	     38,977 	  SH	OTHER	   28,195      332	  10,450
E TRADE GROUP INC		COM		269246104	     5,445 	    531,250 	  SH	DEFINED	  530,650		     600
E TRADE GROUP INC		COM		269246104	         5 	        500 	  SH	OTHER	      500
EATON CORP			COM		278058102	       293 	      3,932 	  SH	DEFINED	    3,760		     172
EATON VANCE MUNICIPAL INCOME FD	SH BEN INT	27826U108	       462 	     33,332 	  SH	DEFINED	   33,332
EL PASO CORP			COM		28336L109	       385 	      8,625 	  SH	DEFINED	    7,125		   1,500
EL PASO CORP			COM		28336L109	       473 	     10,593 	  SH	OTHER	    7,437		   3,156
ELECTRONIC ARTS			COM		285512109	     2,638 	     44,000 	  SH	DEFINED	   44,000
ELECTRONIC ARTS			COM		285512109	       282 	      4,700 	  SH	OTHER	      700		   4,000
ELECTRONIC DATA SYS CORP NEW	COM		285661104	     4,732 	     69,037 	  SH	DEFINED	   68,339       40	     658
ELECTRONIC DATA SYS CORP NEW	COM		285661104	       964 	     14,056 	  SH	OTHER	    3,156      800	  10,100
EMERSON ELECTRIC CO		COM		291011104	     6,890 	    120,669 	  SH	DEFINED	  119,819		     850
EMERSON ELECTRIC CO		COM		291011104	       537 	      9,410 	  SH	OTHER	    8,210    1,200
ENERGEN CORP			COM		29265N108	       141 	      5,700 	  SH	DEFINED	    5,700
ENERGEN CORP			COM		29265N108	       238 	      9,650 	  SH	OTHER	    5,600		   4,050
ENERGYSOUTH INC			COM		292970100	     1,310 	     54,473 	  SH	DEFINED	   46,696		   7,777
ENERGYSOUTH INC			COM		292970100	        48 	      2,000 	  SH	OTHER	    2,000
ENTERGY CORP			COM		29364G103	       560 	     14,309 	  SH	DEFINED	   12,567		   1,742
ENTERGY CORP			COM		29364G103	        82 	      2,100 	  SH	OTHER	      100    1,000	   1,000
EQUITABLE RES INC		COM		294549100	     1,439 	     42,250 	  SH	DEFINED	   42,250
EQUITY INCOME FUND		UT 1 EX SR-ATT	294700703	       362 	      3,083 	  SH	DEFINED	    2,600		     483
EQUITY INCOME FUND		UT 1 EX SR-ATT	294700703	        53 	        450 	  SH	OTHER				     450
EXELON CORP			COM		30161N101	       287 	      5,988 	  SH	DEFINED	    4,997		     991
EXELON CORP			COM		30161N101	       108 	      2,246 	  SH	OTHER	    1,194		   1,052
EXPRESS SCRIPTS INC		COM		302182100	     1,309 	     28,000 	  SH	DEFINED	   28,000
EXXON MOBIL CORP		COM		30231G102	    58,043 	  1,476,925 	  SH	DEFINED	1,370,953    5,676	 100,296
EXXON MOBIL CORP		COM		30231G102	    15,676 	    398,888 	  SH	OTHER	  339,589   30,960	  28,339
FPL GROUP INC			COM		302571104	     2,990 	     53,009 	  SH	DEFINED	   51,551		   1,458
FPL GROUP INC			COM		302571104	        85 	      1,500 	  SH	OTHER	      500      400	     600
FAMILY DOLLAR STORES INC	COM		307000109	       824 	     27,500 	  SH	DEFINED	   27,300		     200
FAMILY DOLLAR STORES INC	COM		307000109	         9 	        300 	  SH	OTHER	      300
FEDERAL HOME LN MTG CORP	COM		313400301	     9,500 	    145,257 	  SH	DEFINED	  143,061		   2,196
FEDERAL HOME LN MTG CORP	COM		313400301	        29 	        436 	  SH	OTHER	      336		     100
FEDERAL NATIONAL MORTGAGE ASSN	COM		313586109	    11,732 	    147,573 	  SH	DEFINED	  135,758      320	  11,495
FEDERAL NATIONAL MORTGAGE ASSN	COM		313586109	       975 	     12,267 	  SH	OTHER	    9,045      615	   2,607
FEDEX CORP			COM		31428X106	     1,976 	     38,083 	  SH	DEFINED	    4,821		  33,262
FEDEX CORP			COM		31428X106	        48 	        929 	  SH	OTHER	      929
FIRST DATA CORP			COM		319963104	     1,127 	     14,365 	  SH	DEFINED	   14,365
FIRST DATA CORP			COM		319963104	       149 	      1,902 	  SH	OTHER	    1,902
FIRST HEALTH GROUP CORP		COM		320960107	     1,237 	     50,000 	  SH	DEFINED	   50,000
FIRST HEALTH GROUP CORP		COM		320960107	        10 	        400 	  SH	OTHER				     400
FIRST TENNESSEE NATIONAL CORP	COM		337162101	       217 	      5,992 	  SH	OTHER	    5,992
FIRST VIRGINIA BANKSHARES, INC.	COM		337477103	     1,199 	     23,619 	  SH	OTHER	   23,619
FIRSTENERGY CORP		COM		337932107	       248 	      7,091 	  SH	DEFINED	    6,891		     200
FIRSTENERGY CORP		COM		337932107	         7 	        190 	  SH	OTHER		       190
FLEETBOSTON FINL CORP		COM		339030108	     6,925 	    189,723 	  SH	DEFINED	  189,053		     670
FLEETBOSTON FINL CORP		COM		339030108	        84 	      2,302 	  SH	OTHER	    2,302
FLEMING COMPANIES INC		COM		339130106	       336 	     18,150 	  SH	DEFINED	   18,150
FLORIDA ROCK INDS INC		COM		341140101	       323 	      8,824 	  SH	DEFINED	    6,450    2,374
FLORIDA ROCK INDS INC		COM		341140101	        39 	      1,057 	  SH	OTHER		     1,057
FOOT LOCKER INC			COM		344849104	       200 	     12,800 	  SH	DEFINED	   12,800
FORD MTR CO DEL			COM PAR $0.01	345370860	     3,665 	    233,137 	  SH	DEFINED	  211,818		  21,319
FORD MTR CO DEL			COM PAR $0.01	345370860	       439 	     27,913 	  SH	OTHER	   20,231		   7,682
FOREST LABS INC			COM		345838106	     2,652 	     32,365 	  SH	DEFINED	   31,765		     600
FOREST LABS INC			COM		345838106	        16 	        200 	  SH	OTHER	      200
FORTUNE BRANDS INC		COM		349631101	       649 	     16,395 	  SH	DEFINED	   14,520		   1,875
FORTUNE BRANDS INC		COM		349631101	       185 	      4,680 	  SH	OTHER	    4,680
FRONTIER AIRLINES		COM		359065109	       850 	     50,000 	  SH	DEFINED	   50,000
GALLAGHER ARTHUR J & CO		COM		363576109	     1,725 	     50,000 	  SH	DEFINED	   50,000
GALLAHER GROUP PLC		SPONSORED ADR	363595109	       447 	     16,572 	  SH	DEFINED	   16,572
GALLAHER GROUP PLC		SPONSORED ADR	363595109	        99 	      3,680 	  SH	OTHER	    3,680
GANNETT INC			COM		364730101	       964 	     14,345 	  SH	DEFINED	   10,345      600	   3,400
GANNETT INC			COM		364730101	       836 	     12,434 	  SH	OTHER	   11,738		     696
GAP INC				COM		364760108	     3,970 	    284,800 	  SH	DEFINED	  261,335    1,800	  21,665
GAP INC				COM		364760108	         3 	        200 	  SH	OTHER	      200
GENENTECH INC			COM NEW		368710406	         9 	        157 	  SH	DEFINED	      157
GENENTECH INC			COM NEW		368710406	       293 	      5,400 	  SH	OTHER				   5,400
GENERAL DYNAMICS CORP		COM		369550108	     4,568 	     57,353 	  SH	DEFINED	   55,398		   1,955
GENERAL DYNAMICS CORP		COM		369550108	        19 	        234 	  SH	OTHER	       34		     200
GENERAL ELECTRIC CO		COM		369604103	    62,123 	  1,549,988 	  SH	DEFINED	1,481,792    5,270	  62,926
GENERAL ELECTRIC CO		COM		369604103	    24,437 	    609,703 	  SH	OTHER	  529,829   13,826	  66,048
GENERAL MILLS INC		COM		370334104	     8,251 	    158,650 	  SH	DEFINED	  150,462		   8,188
GENERAL MILLS INC		COM		370334104	       693 	     13,317 	  SH	OTHER	   11,027    1,050	   1,240
GENERAL MOTORS CORP		COM		370442105	     5,135 	    105,652 	  SH	DEFINED	   82,736      150	  22,766
GENERAL MOTORS CORP		COM		370442105	       670 	     13,777 	  SH	OTHER	   12,537      600	     640
GENERAL MTRS CORP CLASS H NEW	CL H NEW	370442832	     1,200 	     77,684 	  SH	DEFINED	    3,868		  73,816
GENERAL MTRS CORP CLASS H NEW	CL H NEW	370442832	        26 	      1,708 	  SH	OTHER	    1,708
GENUINE PARTS CO		COM		372460105	     1,375 	     37,455 	  SH	DEFINED	   32,955		   4,500
GENUINE PARTS CO		COM		372460105	       758 	     20,645 	  SH	OTHER	   20,045		     600
GENZYME CORP			COM GENL DIV	372917104	     4,789 	     80,000 	  SH	DEFINED	   80,000
GEORGIA PAC CORP 		COM GA PAC GRP	373298108	     2,979 	    107,908 	  SH	DEFINED	  105,256    2,072	     580
GEORGIA PAC CORP 		COM GA PAC GRP	373298108	        55 	      2,000 	  SH	OTHER				   2,000
GILEAD SCIENCES INC		COM		375558103	     4,600 	     70,000 	  SH	DEFINED	   70,000
GILLETTE CO			COM		375766102	     4,096 	    122,633 	  SH	DEFINED	  101,394		  21,239
GILLETTE CO			COM		375766102	     2,458 	     73,579 	  SH	OTHER	   53,029    1,700	  18,850
GLAXO SMITHKLINE		SPONSORED ADR	37733W105	       187 	      3,761 	  SH	DEFINED	    3,716		      45
GLAXO SMITHKLINE		SPONSORED ADR	37733W105	       102 	      2,050 	  SH	OTHER	    2,050
GRAY COMMUNICATIONS SYSTEM INC	COM		389190109	     1,562 	    112,502 	  SH	DEFINED	  112,502
HCB BANCSHARES INC		COM		40413N106	     2,592 	    204,855 	  SH	DEFINED				 204,855
HALLIBURTON CO			COM		406216101	       277 	     21,115 	  SH	DEFINED	   20,815		     300
HALLIBURTON CO			COM		406216101	       164 	     12,494 	  SH	OTHER	    7,620		   4,874
HARTFORD FINL SVCS GROUP INC	COM		416515104	       214 	      3,405 	  SH	DEFINED	    3,405
HARTFORD FINL SVCS GROUP INC	COM		416515104	        14 	        225 	  SH	OTHER				     225
HEALTHSOUTH CORP		COM		421924101	        80 	      5,375 	  SH	DEFINED				   5,375
HEALTHSOUTH CORP		COM		421924101	       106 	      7,150 	  SH	OTHER	    7,150
HEALTH MGMT ASSOC INC NEW	CL A		421933102	       368 	     20,000 	  SH	DEFINED	   20,000
HEINZ H J CO			COM		423074103	     1,963 	     47,736 	  SH	DEFINED	   46,836		     900
HEINZ H J CO			COM		423074103	       360 	      8,745 	  SH	OTHER	    7,845		     900
HERSHEY FOODS CORP		COM		427866108	       934 	     13,798 	  SH	DEFINED	   13,373		     425
HERSHEY FOODS CORP		COM		427866108	       699 	     10,332 	  SH	OTHER	    8,800      100	   1,432
HEWLETT PACKARD CO		COM		428236103	     1,601 	     77,945 	  SH	DEFINED	   76,945		   1,000
HEWLETT PACKARD CO		COM		428236103	       648 	     31,541 	  SH	OTHER	   26,692		   4,849
HIBERNIA CORP			CL A		428656102	       444 	     24,976 	  SH	DEFINED	   24,976
HILTON HOTELS			COM		432848109	     1,278 	    116,993 	  SH	DEFINED	   15,777		 101,216
HOME DEPOT INC			COM		437076102	    26,255 	    514,697 	  SH	DEFINED	  499,151    2,069	  13,477
HOME DEPOT INC			COM		437076102	     1,885 	     36,948 	  SH	OTHER	   25,846    2,062	   9,040
HONEYWELL INTERNATIONAL INC	COM		438516106	       680 	     20,101 	  SH	DEFINED	   19,216		     885
HONEYWELL INTERNATIONAL INC	COM		438516106	       370 	     10,933 	  SH	OTHER	    2,027		   8,906
HOST MARRIOTT CORP NEW (REIT)	COM		44107P104	       713 	     79,263 	  SH	DEFINED	    4,465		  74,798
HOUSEHOLD INTERNATIONAL CORP	COM		441815107	       365 	      6,308 	  SH	DEFINED	    6,308
HOUSEHOLD INTERNATIONAL CORP	COM		441815107	       401 	      6,927 	  SH	OTHER				   6,927
HOUSTON EXPL CO			COM		442120101	     2,686 	     80,000 	  SH	DEFINED	   80,000
ICN PHARMACEUTICALS INC NEW	COM		448924100	     1,518 	     45,300 	  SH	DEFINED	   45,300
ICOS CORP			COM		449295104	     2,298 	     40,000 	  SH	DEFINED	   40,000
IDEC PHARMACEUTICALS CORP	COM		449370105	     4,825 	     70,000 	  SH	DEFINED	   70,000
INPRIMIS INC			COM		45769X103		     	     10,000 	  SH	OTHER	   10,000
INSURED MUNICIPAL INCOME FUND	COM		45809F104	       600 	     44,583 	  SH	DEFINED	   44,583
INSURED MUNICIPAL INCOME FUND	COM		45809F104	        12 	        865 	  SH	OTHER	      865
INTEGRATED DEVICE TECH INC	COM		458118106	     1,861 	     70,000 	  SH	DEFINED	   70,000
INTEL CORP			COM		458140100	    54,934 	  1,746,725 	  SH	DEFINED	1,668,000    4,060	  74,665
INTEL CORP			COM		458140100	     6,929 	    220,317 	  SH	OTHER	  176,248    9,550	  34,519
INTERGRAPH CORP			COM		458683109	       416 	     30,250 	  SH	DEFINED	   30,250
INTERGRAPH CORP			COM		458683109	        48 	      3,500 	  SH	OTHER	    3,500
INTL BUSINESS MACHINES CORP	COM		459200101	    54,109 	    447,328 	  SH	DEFINED	  417,515      480	  29,333
INTL BUSINESS MACHINES CORP	COM		459200101	     7,254 	     59,967 	  SH	OTHER	   46,558    3,160	  10,249
INTL FLAVORS & FRAGRANCES INC	COM		459506101	       125 	      4,208 	  SH	DEFINED	    3,958		     250
INTL FLAVORS & FRAGRANCES INC	COM		459506101	       114 	      3,822 	  SH	OTHER	    3,522		     300
INTERNATIONAL GAME TECHNOLOGY	COM		459902102	       410 	      6,000 	  SH	DEFINED	    6,000
INTERNATIONAL PAPER CO		COM		460146103	     9,024 	    223,654 	  SH	DEFINED	  221,571      300	   1,783
INTERNATIONAL PAPER CO		COM		460146103	     1,728 	     42,818 	  SH	OTHER	   42,418		     400
INTERPUBLIC GROUP COS INC	COM		460690100	        83 	      2,794 	  SH	DEFINED	    2,794
INTERPUBLIC GROUP COS INC	COM		460690100	       143 	      4,842 	  SH	OTHER	    4,312		     530
INVESTMENT TECHNOLOGY GRP NE	COM		46145F105	     1,172 	     30,000 	  SH	DEFINED	   30,000
IVAX CORP			COM		465823102	     2,429 	    120,616 	  SH	DEFINED	  120,616
JDS UNIPHASE CORP		COM		46612J101	     6,271 	    722,443 	  SH	DEFINED	  715,260		   7,183
JDS UNIPHASE CORP		COM		46612J101	        78 	      9,011 	  SH	OTHER	    3,411      425	   5,175
JP MORGAN CHASE & CO		COM		46625H100	    13,102 	    360,454 	  SH	DEFINED	  349,478    3,980	   6,996
JP MORGAN CHASE & CO		COM		46625H100	     1,255 	     34,523 	  SH	OTHER	   20,458    8,025	   6,040
JEFFERSON PILOT CORP		COM		475070108	    12,548 	    271,182 	  SH	DEFINED	  241,974    1,005	  28,203
JEFFERSON PILOT CORP		COM		475070108	     4,530 	     97,915 	  SH	OTHER	   58,388    3,665	  35,862
JOHNSON & JOHNSON		COM		478160104	    54,828 	    927,718 	  SH	DEFINED	  873,766    2,500	  51,452
JOHNSON & JOHNSON		COM		478160104	     5,332 	     90,214 	  SH	OTHER	   61,700    5,874	  22,640
JONES APPAREL GROUP INC		COM		480074103	     1,990 	     60,000 	  SH	DEFINED	   60,000
KELLOGG CO			COM		487836108	       137 	      4,545 	  SH	DEFINED	    3,345		   1,200
KELLOGG CO			COM		487836108	       337 	     11,200 	  SH	OTHER	   10,400		     800
KEYCORP NEW			COM		493267108	     1,209 	     49,667 	  SH	DEFINED	   48,347		   1,320
KEYCORP NEW			COM		493267108	        12 	        500 	  SH	OTHER	      400		     100
KIMBERLY CLARK CORP		COM		494368103	    21,734 	    363,449 	  SH	DEFINED	  340,600      489	  22,360
KIMBERLY CLARK CORP		COM		494368103	     3,661 	     61,222 	  SH	OTHER	   53,259    4,488	   3,475
KNIGHT RIDDER INC		COM		499040103	     2,071 	     31,897 	  SH	DEFINED	    3,333		  28,564
KRAFT FOODS INC			CL A		50075N104	       809 	     23,765 	  SH	DEFINED	   22,270		   1,495
KRAFT FOODS INC			CL A		50075N104	         7 	        200 	  SH	OTHER				     200
LEGG MASON INC			COM		524901105	     2,499 	     50,000 	  SH	DEFINED	   50,000
LEHMAN BROS HLDGS INC		COM		524908100	       132 	      1,978 	  SH	DEFINED	    1,938		      40
LEHMAN BROS HLDGS INC		COM		524908100	       104 	      1,554 	  SH	OTHER	    1,240		     314
LILLY ELI & CO			COM		532457108	     2,952 	     37,590 	  SH	DEFINED	   37,280		     310
LILLY ELI & CO			COM		532457108	     2,601 	     33,113 	  SH	OTHER	   29,913		   3,200
LIMITED INC			COM		532716107	     4,922 	    334,376 	  SH	DEFINED	  332,776		   1,600
LIMITED INC			COM		532716107	        19 	      1,300 	  SH	OTHER	    1,300
LINCARE HLDGS INC		COM		532791100	     1,490 	     52,000 	  SH	DEFINED	   52,000
LINCOLN NATIONAL CORP IND	COM		534187109	     6,726 	    138,480 	  SH	DEFINED	  137,530		     950
LINCOLN NATIONAL CORP IND	COM		534187109	        53 	      1,100 	  SH	OTHER	    1,100
LIZ CLAIBORNE INC		COM		539320101	     1,401 	     28,169 	  SH	DEFINED	   28,169
LIZ CLAIBORNE INC		COM		539320101	        35 	        700 	  SH	OTHER	      700
LOCKHEED MARTIN CORP		COM		539830109	        98 	      2,099 	  SH	DEFINED	    1,839		     260
LOCKHEED MARTIN CORP		COM		539830109	       165 	      3,537 	  SH	OTHER	    3,256		     281
LOEWS CORP			COM		540424108	         7 	        130 	  SH	DEFINED				     130
LOEWS CORP			COM		540424108	       997 	     18,000 	  SH	OTHER	   18,000
LONE STAR TECHNOLOGIES INC	COM		542312103	     3,344 	    190,000 	  SH	DEFINED	  190,000
LOUISIANA PACIFIC CORP		COM		546347105	       804 	     95,247 	  SH	DEFINED	   94,969      278
LOWES COS INC			COM		548661107	    15,728 	    338,900 	  SH	DEFINED	  335,147		   3,753
LOWES COS INC			COM		548661107	       142 	      3,050 	  SH	OTHER	    2,650		     400
LUCENT TECHNOLOGIES INC		COM		549463107	       153 	     24,222 	  SH	DEFINED	   22,326		   1,896
LUCENT TECHNOLOGIES INC		COM		549463107	       238 	     37,845 	  SH	OTHER	   23,719    1,036	  13,090
MBNA CORP			COM		55262L100	       327 	      9,286 	  SH	DEFINED	    9,286
MBNA CORP			COM		55262L100	       224 	      6,354 	  SH	OTHER	    6,354
MFS MULTIMARKET INCOME TRUST	SH BEN INT	552737108	        57 	      9,565 	  SH	DEFINED	    9,565
MFS MULTIMARKET INCOME TRUST	SH BEN INT	552737108	         4 	        600 	  SH	OTHER	      600
MANULIFE FINL CORP		COM		56501R106	       216 	      8,299 	  SH	DEFINED	    8,299
MARSH & MCLENNAN COS INC	COM		571748102	     3,663 	     34,087 	  SH	DEFINED	   33,195		     892
MARSH & MCLENNAN COS INC	COM		571748102	       820 	      7,634 	  SH	OTHER	    1,116      100	   6,418
MARRIOTT INTL INC NEW		CL A		571903202	     5,104 	    125,548 	  SH	DEFINED	   92,216		  33,332
MARRIOTT INTL INC NEW		CL A		571903202	       297 	      7,300 	  SH	OTHER				   7,300
MASCO CORP			COM		574599106	       249 	     10,150 	  SH	DEFINED	   10,150
MASCO CORP			COM		574599106	       453 	     18,500 	  SH	OTHER	    3,400		  15,100
MATTEL, INC.			COM		577081102	       211 	     12,266 	  SH	DEFINED	   11,866		     400
MATTEL, INC.			COM		577081102	        53 	      3,100 	  SH	OTHER	    3,100
MAY DEPT STORES CO		COM		577778103	       100 	      2,700 	  SH	DEFINED	    2,700
MAY DEPT STORES CO		COM		577778103	       186 	      5,022 	  SH	OTHER	    5,022
MAYTAG CORP			COM		578592107	    22,051 	    710,648 	  SH	DEFINED	  710,648
MAYTAG CORP			COM		578592107	        73 	      2,350 	  SH	OTHER	    2,000		     350
MCCORMICK & CO INC COMMON STOCK	COM		579780206	       754 	     17,964 	  SH	DEFINED	   17,964
MCCORMICK & CO INC COMMON STOCK	COM NON VTG	579780206	        37 	        888 	  SH	OTHER	      888
MCDONALDS CORP			COM NON VTG	580135101	     1,743 	     65,829 	  SH	DEFINED	   62,529		   3,300
MCDONALDS CORP			COM		580135101	     1,476 	     55,750 	  SH	OTHER	   50,150		   5,600
MCGRAW-HILL COMPANIES INC NEW	COM		580645109	       916 	     15,014 	  SH	DEFINED	   14,614		     400
MCGRAW-HILL COMPANIES INC NEW	COM		580645109	        85 	      1,400 	  SH	OTHER	    1,200		     200
MCKESSON CORPORATION		COM		58155Q103	       186 	      4,968 	  SH	DEFINED	    4,968
MCKESSON CORPORATION		COM		58155Q103	       127 	      3,383 	  SH	OTHER	    3,383
MEAD CORP			COM		582834107	     1,636 	     52,965 	  SH	DEFINED	   49,889		   3,076
MEAD CORP			COM		582834107	     2,540 	     82,228 	  SH	OTHER	   30,816		  51,412
MEDICIS PHARMACEUTICAL CORP	CL A NEW	584690309	       210 	      3,250 	  SH	DEFINED	    3,250
MEDIMMUNE INC			COM		584699102	     1,670 	     36,030 	  SH	DEFINED	   36,030
MEDTRONIC INC			COM		585055106	     6,236 	    121,768 	  SH	DEFINED	  121,149		     619
MEDTRONIC INC			COM		585055106	       794 	     15,500 	  SH	OTHER	    3,500		  12,000
MELLON FINL CORP		COM		58551A108	     1,208 	     32,100 	  SH	DEFINED	   32,000		     100
MELLON FINL CORP		COM		58551A108	        45 	      1,200 	  SH	OTHER	      600      600
MERCK & CO INC			COM		589331107	    17,402 	    295,950 	  SH	DEFINED	  271,977    1,730	  22,243
MERCK & CO INC			COM		589331107	     9,207 	    156,586 	  SH	OTHER	  120,363    2,184	  34,039
MERRILL LYNCH & CO INC		COM		590188108	     6,663 	    127,834 	  SH	DEFINED	  127,834
MERRILL LYNCH & CO INC		COM		590188108	         3 	         50 	  SH	OTHER	       50
MICREL INC			COM		594793101	     1,049 	     40,000 	  SH	DEFINED	   40,000
MICROSOFT CORP			COM		594918104	    47,932 	    723,499 	  SH	DEFINED	  693,026    3,022	  27,451
MICROSOFT CORP			COM		594918104	     3,758 	     56,728 	  SH	OTHER	   42,961    1,734	  12,033
MICROCHIP TECHNOLOGY INC	COM		595017104	     2,324 	     60,000 	  SH	DEFINED	   60,000
MICRON TECHNOLOGY INC		COM		595112103	       490 	     15,810 	  SH	DEFINED	   13,710      250	   1,850
MICRON TECHNOLOGY INC		COM		595112103	       135 	      4,350 	  SH	OTHER	    3,500      250	     600
MILLENNIUM PHARMACTCLS INC	COM		599902103	     4,414 	    180,100 	  SH	DEFINED	  180,000		     100
MINNESOTA MINING & MFG CO	COM		604059105	     2,609 	     22,071 	  SH	DEFINED	   20,021    1,266	     784
MINNESOTA MINING & MFG CO	COM		604059105	     2,209 	     18,688 	  SH	OTHER	   15,021      883	   2,784
MIRANT CORP			COM		604675108	     4,542 	    283,513 	  SH	DEFINED	  275,611      119	   7,783
MIRANT CORP			COM		604675108	       580 	     36,202 	  SH	OTHER	   26,533    1,753	   7,916
MORGAN STANLEY DEAN WITTER & CO	COM NEW		617446448	    10,524 	    188,134 	  SH	DEFINED	  185,657		   2,477
MORGAN STANLEY DEAN WITTER & CO	COM NEW		617446448	       530 	      9,468 	  SH	OTHER	    9,468
MOTOROLA INC			COM		620076109	     2,548 	    169,621 	  SH	DEFINED	  166,271		   3,350
MOTOROLA INC			COM		620076109	       503 	     33,500 	  SH	OTHER	   27,700		   5,800
MUNIHOLDINGS FD II INC		COM		625935101	       135 	     10,900 	  SH	DEFINED	   10,900
MUNIHOLDINGS INSD FD II INC	COM		62625A102	       128 	     10,000 	  SH	DEFINED	   10,000
MUNIHOLDINGS INSD FD II INC	COM		62625A102	         9 	        700 	  SH	OTHER		       700
MURPHY OIL CORP			COM		626717102	     1,609 	     19,150 	  SH	DEFINED	   19,150
MYLAN LABORATORIES INC		COM		628530107	     1,500 	     40,000 	  SH	DEFINED	   40,000
NASDAQ 100 TR			UNIT SER 1	631100104	    18,723 	    481,175 	  SH	DEFINED	  480,675		     500
NASDAQ 100 TR			UNIT SER 1	631100104	       110 	      2,836 	  SH	OTHER	      316		   2,520
NATIONAL CITY CORP		COM		635405103	       230 	      7,852 	  SH	DEFINED	    7,682		     170
NATIONAL CITY CORP		COM		635405103	        58 	      2,000 	  SH	OTHER				   2,000
NATIONAL COMM FINL CORP		COM		63545P104	     2,530 	    100,000 	  SH	DEFINED	  100,000
NATIONAL COMM FINL CORP		COM		63545P104	        89 	      3,499 	  SH	OTHER	    3,331		     168
NATIONAL-OILWELL INC		COM		637071101	     1,237 	     60,000 	  SH	DEFINED	   60,000
NETWORK APPLIANCE INC DELEWARE	COM		64120L104	     1,567 	     71,644 	  SH	DEFINED	   71,444		     200
NIKE INC CL B			CL B		654106103	       418 	      7,425 	  SH	DEFINED	    7,425
NIKE INC CL B			CL B		654106103	        62 	      1,100 	  SH	OTHER				   1,100
NOKIA CORP			SPONSORED ADR	654902204	     5,609 	    228,640 	  SH	DEFINED	  211,570		  17,070
NOKIA CORP			SPONSORED ADR	654902204	       772 	     31,456 	  SH	OTHER	    7,881		  23,575
NOBLE DRILLING CORP		COM		655042109	     1,838 	     54,000 	  SH	DEFINED	   54,000
NORFOLK SOUTHERN CORPORATION	COM		655844108	       305 	     16,641 	  SH	DEFINED	   15,633		   1,008
NORFOLK SOUTHERN CORPORATION	COM		655844108	       330 	     18,009 	  SH	OTHER	   14,409		   3,600
NORTEL NETWORKS CORP NEW	COM		656568102	     2,042 	    273,777 	  SH	DEFINED	  271,593		   2,184
NORTEL NETWORKS CORP NEW	COM		656568102	        58 	      7,824 	  SH	OTHER	    5,774		   2,050
NORTH FORK BANCORP INC N Y	COM		659424105	     3,199 	    100,000 	  SH	DEFINED	  100,000
NUCOR CORP			COM		670346105	       180 	      3,400 	  SH	DEFINED	    3,400
NUCOR CORP			COM		670346105	        85 	      1,600 	  SH	OTHER	    1,600
NUVEEN PERFORM PLUS MUN FD INC	COM		67062P108	       178 	     12,650 	  SH	DEFINED	   12,650
NUVEEN PERFORM PLUS MUN FD INC	COM		67062P108	        10 	        700 	  SH	OTHER	      700
NVIDIA CORP			COM		67066G104	     5,620 	     84,000 	  SH	DEFINED	   84,000
NUVEEN DIVIDEND ADV MUNI 3	COM SH BEN INT	67070X101	       272 	     20,000 	  SH	DEFINED	   20,000
OGE ENERGY CORP			COM		670837103	       171 	      7,400 	  SH	DEFINED	    7,400
OGE ENERGY CORP			COM		670837103	        54 	      2,350 	  SH	OTHER	    2,200      150
NUVEEN MUN VALUE FD INC		COM		670928100	       202 	     21,912 	  SH	DEFINED	   20,608		   1,304
NUVEEN MUN VALUE FD INC		COM		670928100	        34 	      3,666 	  SH	OTHER	    3,666
NUVEEN TEX QUAL INCM MUN FD	COM		670983105	       722 	     49,800 	  SH	DEFINED	   49,800
OCCIDENTAL PETE CORP		COM		674599105	       552 	     20,796 	  SH	DEFINED	   20,546		     250
OCCIDENTAL PETE CORP		COM		674599105	         5 	        200 	  SH	OTHER				     200
OLD REPUBLIC INTL CORP		COM		680223104	        68 	      2,438 	  SH	DEFINED	    2,438
OLD REPUBLIC INTL CORP		COM		680223104	     9,130 	    325,960 	  SH	OTHER	   77,686		 248,274
OMNICOM GROUP			COM		681919106	       109 	      1,219 	  SH	DEFINED	    1,219
OMNICOM GROUP			COM		681919106	       534 	      5,982 	  SH	OTHER				   5,982
ONEOK INC NEW			COM		682680103	       332 	     18,606 	  SH	DEFINED	   18,606
ORACLE CORPORATION		COM		68389X105	    10,305 	    746,185 	  SH	DEFINED	  725,405   10,591	  10,189
ORACLE CORPORATION		COM		68389X105	       536 	     38,814 	  SH	OTHER	   28,858    9,496	     460
OUTBACK STEAKHOUSE INC		COM		689899102	       331 	      9,650 	  SH	DEFINED	    9,650
OXFORD HEALTH PLANS INC		COM		691471106	     1,206 	     40,000 	  SH	DEFINED	   40,000
PNC FINANCIAL SERVICES GROUP	COM		693475105	       112 	      1,990 	  SH	DEFINED	      950    1,000	      40
PNC FINANCIAL SERVICES GROUP	COM		693475105	       152 	      2,701 	  SH	OTHER	      400    1,791	     510
PPG INDUSTRIES INC		COM		693506107	         7 	        126 	  SH	DEFINED	      126
PPG INDUSTRIES INC		COM		693506107	       321 	      6,200 	  SH	OTHER	    5,800		     400
PEMCO AVIATION GROUP INC	COM		706444106	       159 	     10,000 	  SH	DEFINED				  10,000
PEOPLES BANCTRUST INC		COM		709796106	     4,760 	    405,100 	  SH	DEFINED	  405,100
PEOPLES BANCTRUST INC		COM		709796106	        58 	      4,928 	  SH	OTHER	    4,928
PEPSICO INC			COM		713448108	    23,459 	    481,799 	  SH	DEFINED	  469,166      450	  12,183
PEPSICO INC			COM		713448108	     2,427 	     49,841 	  SH	OTHER	   26,965    5,294	  17,582
PFIZER INC			COM		717081103	    45,025 	  1,129,855 	  SH	DEFINED	1,077,876      700	  51,279
PFIZER INC			COM		717081103	     5,986 	    150,203 	  SH	OTHER	   95,509    5,116	  49,578
PHARMACIA CORP			COM		71713U102	     8,897 	    208,607 	  SH	DEFINED	  200,726      290	   7,591
PHARMACIA CORP			COM		71713U102	     1,958 	     45,906 	  SH	OTHER	   30,126    4,030	  11,750
PHILIP MORRIS COS INC		COM		718154107	    15,395 	    335,761 	  SH	DEFINED	  330,225      900	   4,636
PHILIP MORRIS COS INC		COM		718154107	     2,981 	     65,024 	  SH	OTHER	   57,122    6,500	   1,402
PHILLIPS PETE CO		COM		718507106	    10,025 	    166,360 	  SH	DEFINED	  165,580		     780
PHILLIPS PETE CO		COM		718507106	        84 	      1,400 	  SH	OTHER	    1,400
PIONEER NATURAL RESOURCES CO	COM		723787107	       992 	     51,500 	  SH	DEFINED	    5,000		  46,500
PITNEY BOWES INC		COM		724479100	     1,252 	     33,296 	  SH	DEFINED	   32,200		   1,096
PITNEY BOWES INC		COM		724479100	       436 	     11,600 	  SH	OTHER	   11,600
PLUM CREEK TIMBER CO INC	COM		729251108	     4,252 	    149,968 	  SH	DEFINED	   92,201		  57,767
PLUM CREEK TIMBER CO INC	COM		729251108	       131 	      4,625 	  SH	OTHER	    3,575		   1,050
PRAXAIR INC			COM		74005P104	        50 	        900 	  SH	DEFINED	      900
PRAXAIR INC			COM		74005P104	       180 	      3,255 	  SH	OTHER	    1,350      300	   1,605
PROASSURANCE CORP		COM		74267C106	       287 	     16,329 	  SH	DEFINED	   13,238		   3,091
PROASSURANCE CORP		COM		74267C106	        29 	      1,633 	  SH	OTHER	    1,633
PROCTER & GAMBLE CO		COM		742718109	    26,740 	    337,925 	  SH	DEFINED	  318,214      830	  18,881
PROCTER & GAMBLE CO		COM		742718109	     6,816 	     86,138 	  SH	OTHER	   56,950    3,530	  25,658
PROGRESS ENERGY INC		COM		743263105	       757 	     16,804 	  SH	DEFINED	   16,554		     250
PROGRESS ENERGY INC		COM		743263105	       154 	      3,422 	  SH	OTHER	    1,327       95	   2,000
PROTECTIVE LIFE CORP		COM		743674103	     1,748 	     60,423 	  SH	DEFINED	   60,423
PROTECTIVE LIFE CORP		COM		743674103	     6,559 	    226,710 	  SH	OTHER	  225,354      700	     656
PROTEIN DESIGN LABS INC		COM		74369L103	     1,968 	     60,000 	  SH	DEFINED	   60,000
PROVIDIAN FINL CORP		COM		74406A102	         1 	        222 	  SH	DEFINED	      222
PROVIDIAN FINL CORP		COM		74406A102	       105 	     29,680 	  SH	OTHER	   15,880		  13,800
PUBLIC SVC ENTERPRISE GROUP INC	COM		744573106	       190 	      4,497 	  SH	DEFINED	    4,497
PUBLIC SVC ENTERPRISE GROUP INC	COM		744573106	        36 	        844 	  SH	OTHER	       94      750
PUTNAM INVT GRADE MUN TR	COM		746805100	       317 	     31,000 	  SH	DEFINED	   31,000
PUTNAM MANAGED MUN INCOME TR	COM		746823103	     2,606 	    327,816 	  SH	DEFINED	  325,367		   2,449
PUTNAM PREMIER INCOME TR	SH BEN INT	746853100	        76 	     12,568 	  SH	DEFINED	    7,718		   4,850
PUTNAM PREMIER INCOME TR	SH BEN INT	746853100	        10 	      1,600 	  SH	OTHER	    1,600
QUALCOMM INC			COM		747525103	     5,052 	    100,036 	  SH	DEFINED	   91,131		   8,905
QUALCOMM INC			COM		747525103	       735 	     14,549 	  SH	OTHER	    4,999		   9,550
QUEST DIAGNOSTICS INC		COM		74834L100	     3,586 	     50,000 	  SH	DEFINED	   50,000
QUESTAR CORP			COM		748356102	       304 	     12,150 	  SH	DEFINED	   12,050		     100
QUESTAR CORP			COM		748356102	        25 	      1,000 	  SH	OTHER	    1,000
QWEST COMM INTL INC		COM		749121109	       190 	     13,439 	  SH	DEFINED	   12,395		   1,044
QWEST COMM INTL INC		COM		749121109	        91 	      6,472 	  SH	OTHER	    5,321		   1,151
RADIOSHACK CORP			COM		750438103	        77 	      2,567 	  SH	DEFINED	    2,467		     100
RADIOSHACK CORP			COM		750438103	       205 	      6,800 	  SH	OTHER	    6,800
RATIONAL SOFTWARE CORP		COM NEW		75409P202	     1,365 	     70,000 	  SH	DEFINED	   70,000
RAYTHEON CO (NEW)		COM NEW		755111507	     3,782 	    116,481 	  SH	DEFINED	  115,451		   1,030
RAYTHEON CO (NEW)		COM NEW		755111507	        88 	      2,724 	  SH	OTHER	    1,769      300	     655
REGIONS FINANCIAL CORP		COM		758940100	   100,622 	  3,360,789 	  SH	DEFINED	2,584,563   10,495	 765,731
REGIONS FINANCIAL CORP		COM		758940100	    55,580 	  1,856,379 	  SH	OTHER	1,581,074   44,791	 230,514
RELIANT ENERGY INC		COM		75952J108	       578 	     21,786 	  SH	DEFINED	   20,820		     966
RELIANT ENERGY INC		COM		75952J108	       206 	      7,773 	  SH	OTHER	    1,247    4,028	   2,498
ROCKWELL INTL CORP NEW		COM		773903109	       308 	     17,262 	  SH	DEFINED	   17,262
ROCKWELL INTL CORP NEW		COM		773903109	        55 	      3,089 	  SH	OTHER	    1,642		   1,447
ROCKWELL COLLINS INC		COM		774341101	       344 	     17,662 	  SH	DEFINED	   17,662
ROCKWELL COLLINS INC		COM		774341101	        60 	      3,089 	  SH	OTHER	    1,642		   1,447
ROSS STORES INC			COM		778296103	     1,925 	     60,000 	  SH	DEFINED	   60,000
ROYAL DUTCH PETROLEUM COMPANY	NY REG GLD1.25	780257804	     3,858 	     78,699 	  SH	DEFINED	   78,299      300	     100
ROYAL DUTCH PETROLEUM COMPANY	NY REG GLD1.25	780257804	       646 	     13,184 	  SH	OTHER	   10,184    2,000	   1,000
RUBY TUESDAY INC		COM		781182100	     5,341 	    258,887 	  SH	DEFINED	  211,747      824	  46,316
RUBY TUESDAY INC		COM		781182100	     1,760 	     85,328 	  SH	OTHER	   71,528		  13,800
RUSSELL CORP			COM		782352108	        50 	      3,315 	  SH	DEFINED	    3,315
RUSSELL CORP			COM		782352108	       154 	     10,246 	  SH	OTHER	      950		   9,296
SBC COMMUNICATIONS INC NEW	COM		78387G103	     8,146 	    207,970 	  SH	DEFINED	  191,200      450	  16,320
SBC COMMUNICATIONS INC NEW	COM		78387G103	     2,691 	     68,692 	  SH	OTHER	   42,259    6,809	  19,624
SPDR TR				UNIT SER 1	78462F103	       641 	      5,610 	  SH	DEFINED	    2,180		   3,430
SPDR TR				UNIT SER 1	78462F103	       322 	      2,820 	  SH	OTHER	    2,120		     700
SABINE ROYALTY TRUST INTEREST	UNIT BEN INT	785688102	       262 	     12,010 	  SH	DEFINED	   12,010
SAFEWAY INC			COM NEW		786514208	       319 	      7,649 	  SH	DEFINED	    7,649
SAFEWAY INC			COM NEW		786514208	         9 	        225 	  SH	OTHER				     225
ST PAUL COS INC			COM		792860108	       403 	      9,163 	  SH	DEFINED	    8,825		     338
ST PAUL COS INC			COM		792860108	       200 	      4,548 	  SH	OTHER	    4,548
SAKS INC			COM		79377W108	       290 	     30,999 	  SH	DEFINED	    3,333		  27,666
SAKS INC			COM		79377W108	         1 	        132 	  SH	OTHER	      132
SANMINA CORP			COM		800907107	       142 	      7,142 	  SH	DEFINED	    4,932		   2,210
SANMINA CORP			COM		800907107	       146 	      7,344 	  SH	OTHER	    6,800		     544
SARA LEE CORP			COM		803111103	       522 	     23,493 	  SH	DEFINED	   23,493
SARA LEE CORP			COM		803111103	       434 	     19,504 	  SH	OTHER	   14,334		   5,170
SCANA CORP NEW			COM		80589M102	       864 	     31,035 	  SH	DEFINED	   28,185		   2,850
SCANA CORP NEW			COM		80589M102	       186 	      6,697 	  SH	OTHER	    6,597      100
SCHERING-PLOUGH CORP		COM		806605101	    12,190 	    340,413 	  SH	DEFINED	  332,673		   7,740
SCHERING-PLOUGH CORP		COM		806605101	     1,046 	     29,199 	  SH	OTHER	   16,943    8,471	   3,785
SCHLUMBERGER LTD		COM		806857108	     5,993 	    109,072 	  SH	DEFINED	   96,407		  12,665
SCHLUMBERGER LTD		COM		806857108	     1,283 	     23,355 	  SH	OTHER	   12,755      300	  10,300
SCHWAB CHARLES CORP NEW		COM		808513105	     3,498 	    226,136 	  SH	DEFINED	  226,136
SCHWAB CHARLES CORP NEW		COM		808513105	         3 	        200 	  SH	OTHER	      200
SCUDDER MUN INCOME TR		COM SH BEN INT	81118R604	       468 	     42,185 	  SH	DEFINED	   41,000		   1,185
SEARS ROEBUCK & CO		COM		812387108	       807 	     16,949 	  SH	DEFINED	   15,115    1,584	     250
SEARS ROEBUCK & CO		COM		812387108	       263 	      5,524 	  SH	OTHER	    4,733      791
SECTOR SPDR TRUST		SBI INT-TECH	81369Y803	       600 	     25,000 	  SH	DEFINED	   25,000
SEMPRA ENERGY			COM		816851109	       258 	     10,506 	  SH	DEFINED	   10,506
SEPRACOR INC			COM		817315104	     5,706 	    100,000 	  SH	DEFINED	  100,000
SERVICEMASTER CO		COM		81760N109	     1,689 	    122,375 	  SH	DEFINED	   13,375		 109,000
SHELL TRANS & TRAD PLC SH NEW	NEW YRK SH NEW	822703609	       162 	      3,900 	  SH	DEFINED	    3,675      225
SHELL TRANS & TRAD PLC SH NEW	NEW YRK SH NEW	822703609	       199 	      4,800 	  SH	OTHER	    4,800
SICOR INC			COM		825846108	     2,352 	    150,000 	  SH	DEFINED	  150,000
SIMON PPTY GROUP INC NEW (REIT)	COM		828806109	       106 	      3,615 	  SH	DEFINED	    3,615
SIMON PPTY GROUP INC NEW (REIT)	COM		828806109	       100 	      3,425 	  SH	OTHER	    3,425
SMITH INTL INC			COM		832110100	     2,456 	     45,800 	  SH	DEFINED	   45,800
SOLECTRON CORP			COM		834182107	     3,534 	    313,320 	  SH	DEFINED	  311,820		   1,500
SOLECTRON CORP			COM		834182107	        88 	      7,775 	  SH	OTHER	    7,000		     775
SOLUTIA INC			COM		834376105	     1,285 	     91,666 	  SH	DEFINED	   91,566		     100
SOLUTIA INC			COM		834376105	        18 	      1,316 	  SH	OTHER	    1,316
SONOCO PRODUCTS CO		COM		835495102	       358 	     13,462 	  SH	DEFINED	    3,462   10,000
SONOCO PRODUCTS CO		COM		835495102	       189 	      7,122 	  SH	OTHER		     7,122
SOUTH ALABAMA BANCORP INC	COM		836234104	       240 	     24,305 	  SH	DEFINED	   21,305		   3,000
SOUTH ALABAMA BANCORP INC	COM		836234104	       209 	     21,100 	  SH	OTHER				  21,100
SOUTHERN CO			COM		842587107	     7,223 	    284,926 	  SH	DEFINED	  267,419      300	  17,207
SOUTHERN CO			COM		842587107	     2,696 	    106,362 	  SH	OTHER	   83,068    3,179	  20,115
SOUTHSIDE BANCSHARES INC	COM		84470P109	       167 	     13,334 	  SH	DEFINED	   13,334
SOUTHTRUST CORP			COM		844730101	     5,475 	    221,926 	  SH	DEFINED	  193,092      870	  27,964
SOUTHTRUST CORP			COM		844730101	     7,416 	    300,594 	  SH	OTHER	  252,536		  48,058
SOUTHWEST AIRLINES CO		COM		844741108	     4,314 	    233,468 	  SH	DEFINED	  231,243		   2,225
SOUTHWEST AIRLINES CO		COM		844741108	        78 	      4,237 	  SH	OTHER	    3,487		     750
SPRINT CORP (FON GROUP)		COM FON GROUP	852061100	     3,130 	    155,860 	  SH	DEFINED	  155,860
SPRINT CORP (FON GROUP)		COM FON GROUP	852061100	       200 	      9,938 	  SH	OTHER	    9,802      136
SPRINT CORP			PCS COM SER 1	852061506	       706 	     28,928 	  SH	DEFINED	   28,928
SPRINT CORP			PCS COM SER 1	852061506	        87 	      3,582 	  SH	OTHER	    3,514       68
STATE STR CORP			COM		857477103	       163 	      3,128 	  SH	DEFINED	    3,128
STATE STR CORP			COM		857477103	       841 	     16,096 	  SH	OTHER	   16,096
STERLING BANCSHARES INC		COM		858907108	       402 	     32,116 	  SH	DEFINED	   32,116
STILWELL FINL INC		COM		860831106	       362 	     13,288 	  SH	DEFINED	   13,288
SUN MICROSYSTEMS INC		COM		866810104	    10,054 	    817,364 	  SH	DEFINED	  793,073      700	  23,591
SUN MICROSYSTEMS INC		COM		866810104	       495 	     40,232 	  SH	OTHER	   24,427    6,190	   9,615
SUNGARD DATA SYS INC		COM		867363103	     3,944 	    136,330 	  SH	DEFINED	  126,330		  10,000
SUNGARD DATA SYS INC		COM		867363103	        20 	        700 	  SH	OTHER	      700
SUNTRUST BANKS INC		COM		867914103	     3,962 	     63,184 	  SH	DEFINED	   58,884		   4,300
SUNTRUST BANKS INC		COM		867914103	     1,102 	     17,575 	  SH	OTHER	   15,746    1,829
SYBASE INC			COM		871130100	       788 	     50,000 	  SH	DEFINED	   50,000
SYNOVUS FINANCIAL CORP		COM		87161C105	     1,048 	     41,840 	  SH	DEFINED	   16,444      450	  24,946
SYNOVUS FINANCIAL CORP		COM		87161C105	     2,756 	    110,040 	  SH	OTHER	  106,120      505	   3,415
SYSCO CORP			COM		871829107	       666 	     25,414 	  SH	DEFINED	   23,265		   2,149
SYSCO CORP			COM		871829107	       200 	      7,644 	  SH	OTHER	    6,844      800
TCF FINL CORP			COM		872275102	     2,399 	     50,000 	  SH	DEFINED	   50,000
TECO ENERGY INC			COM		872375100	       511 	     19,490 	  SH	DEFINED	   19,490
TECO ENERGY INC			COM		872375100	        21 	        800 	  SH	OTHER	      800
TJX COMPANIES INC		COM		872540109	       287 	      7,200 	  SH	DEFINED	    7,000		     200
TRW INC				COM		872649108	        57 	      1,540 	  SH	DEFINED	    1,540
TRW INC				COM		872649108	       163 	      4,398 	  SH	OTHER	      200		   4,198
TXU CORP			COM		873168108	     7,064 	    149,821 	  SH	DEFINED	  148,791		   1,030
TXU CORP			COM		873168108	       263 	      5,587 	  SH	OTHER	    3,181    2,150	     256
TARGET CORP			COM		87612E106	     8,185 	    199,398 	  SH	DEFINED	  193,078      790	   5,530
TARGET CORP			COM		87612E106	       662 	     16,135 	  SH	OTHER	    9,280    1,230	   5,625
TELEFONICA S. A.		SPONSORED ADR	879382208	       487 	     12,152 	  SH	DEFINED	   12,152
TELEFONICA S. A.		SPONSORED ADR	879382208	        10 	        256 	  SH	OTHER				     256
TELEPHONE & DATA SYS INC	COM		879433100	       269 	      3,000 	  SH	DEFINED				   3,000
TELLABS INC			COM		879664100	     2,449 	    163,694 	  SH	DEFINED	  161,549		   2,145
TELLABS INC			COM		879664100	        65 	      4,314 	  SH	OTHER	    2,616      743	     955
TERADYNE INC			COM		880770102	     3,106 	    103,050 	  SH	DEFINED	  103,050
TEXAS INSTRUMENTS INC		COM		882508104	    14,242 	    508,647 	  SH	DEFINED	  491,415		  17,232
TEXAS INSTRUMENTS INC		COM		882508104	       680 	     24,303 	  SH	OTHER	   16,537    1,166	   6,600
TEXTRON INC			COM		883203101	       319 	      7,700 	  SH	OTHER				   7,700
TOPPS COMPANY			COM		890786106	       182 	     15,000 	  SH	OTHER	   15,000
TORCHMARK CORP			COM		891027104	     8,910 	    226,545 	  SH	DEFINED	  205,435      800	  20,310
TORCHMARK CORP			COM		891027104	    10,237 	    260,295 	  SH	OTHER	  254,317      594	   5,384
TRICON GLOBAL RESTAURANTS	COM		895953107	     1,636 	     33,260 	  SH	DEFINED	    4,192		  29,068
TRIQUINT SEMICONDUCTOR INC	COM		89674K103	       666 	     54,350 	  SH	DEFINED	   54,350
TRIZEC HAHN CORPORATION		SUB VTG		896938107	     1,074 	     68,400 	  SH	DEFINED	    7,000		  61,400
TRUSTMARK CORP			COM		898402102	       903 	     37,270 	  SH	DEFINED	   37,270
TYCO INTL LTD NEW		COM		902124106	    18,725 	    317,917 	  SH	DEFINED	  296,867    1,630	  19,420
TYCO INTL LTD NEW		COM		902124106	     1,612 	     27,369 	  SH	OTHER	   20,759    2,720	   3,890
USX-MARATHON GRP		COM NEW		902905827	     2,042 	     68,068 	  SH	DEFINED	   65,523		   2,545
USX-MARATHON GRP		COM NEW		902905827	       101 	      3,383 	  SH	OTHER	    1,650		   1,733
UST INC				COM		902911106	    15,028 	    429,360 	  SH	DEFINED	  429,100		     260
UST INC				COM		902911106	       102 	      2,925 	  SH	OTHER	    2,400		     525
US BANCORP DEL COM NEW		COM NEW		902973304	     4,692 	    224,156 	  SH	DEFINED	  224,156
US BANCORP DEL COM NEW		COM NEW		902973304	       454 	     21,711 	  SH	OTHER	   21,077      634
UNION PACIFIC CORP		COM		907818108	     2,998 	     52,595 	  SH	DEFINED	   52,595
UNION PACIFIC CORP		COM		907818108	       255 	      4,481 	  SH	OTHER	    3,475		   1,006
UNION PLANTERS CORP		COM		908068109	     2,260 	     50,080 	  SH	DEFINED	   49,690		     390
UNION PLANTERS CORP		COM		908068109	     8,028 	    177,892 	  SH	OTHER	   34,500		 143,392
UNITED PARCEL SVC INC		CL B		911312106	        65 	      1,185 	  SH	DEFINED	    1,085		     100
UNITED PARCEL SVC INC		CL B		911312106	       229 	      4,200 	  SH	OTHER				   4,200
UNITED SEC BANCSHARES INC	SHS		911459105	     3,082 	    108,793 	  SH	DEFINED	   56,320      500	  51,973
UNITED SEC BANCSHARES INC	SHS		911459105	        14 	        500 	  SH	OTHER		       500
UNITED TECHNOLOGIES CORP	COM		913017109	     1,021 	     15,791 	  SH	DEFINED	   15,731		      60
UNITED TECHNOLOGIES CORP	COM		913017109	       548 	      8,484 	  SH	OTHER	    8,364      120
UNITEDHEALTH GROUP INC		COM		91324P102	     1,448 	     20,458 	  SH	DEFINED	   20,458
UNITEDHEALTH GROUP INC		COM		91324P102	        14 	        200 	  SH	OTHER				     200
UNOCAL CORP			COM		915289102	     4,278 	    118,598 	  SH	DEFINED	  118,598
UNOCAL CORP			COM		915289102	        36 	      1,000 	  SH	OTHER	    1,000
USINTERNETWORKING INC		COM		917311805	         4 	     19,686 	  SH	OTHER	   19,686
V F CORP			COM		918204108	     2,709 	     69,448 	  SH	DEFINED	   52,770      150	  16,528
V F CORP			COM		918204108	        16 	        400 	  SH	OTHER	      400
VERIZON COMMUNICATIONS		COM		92343V104	    15,101 	    318,194 	  SH	DEFINED	  281,277      880	  36,037
VERIZON COMMUNICATIONS		COM		92343V104	     3,428 	     72,227 	  SH	OTHER	   48,843   10,275	  13,109
VERTEX PHARMACEUTICALS INC	COM		92532F100	     1,475 	     60,000 	  SH	DEFINED	   60,000
VIACOM INC			CL B		925524308	       696 	     15,757 	  SH	DEFINED	   10,645    4,678	     434
VIACOM INC			CL B		925524308	        40 	        911 	  SH	OTHER				     911
VITESSE SEMICONDUCTOR CORP	COM		928497106	     2,791 	    224,500 	  SH	DEFINED	  224,500
VITESSE SEMICONDUCTOR CORP	COM		928497106	        17 	      1,400 	  SH	OTHER	    1,400
VIVENDI UNIVERSAL		SPON ADR NEW	92851S204	       118 	      2,200 	  SH	DEFINED	    2,200
VIVENDI UNIVERSAL		SPON ADR NEW	92851S204	       207 	      3,840 	  SH	OTHER	    3,840
VODAFONE GROUP PLC NEW		SPONSORED ADR	92857W100	     6,966 	    271,255 	  SH	DEFINED	  265,536		   5,719
VODAFONE GROUP PLC NEW		SPONSORED ADR	92857W100	       439 	     17,104 	  SH	OTHER	    4,130    3,410	   9,564
VULCAN MATERIALS CO		COM		929160109	    13,247 	    276,321 	  SH	DEFINED	  274,773		   1,548
VULCAN MATERIALS CO		COM		929160109	     6,324 	    131,922 	  SH	OTHER	   68,285      600	  63,037
WACHOVIA CORP			COM		929903102	     7,856 	    250,519 	  SH	DEFINED	  246,509      610	   3,400
WACHOVIA CORP			COM		929903102	       689 	     21,956 	  SH	OTHER	   10,884    2,710	   8,362
WADDELL & REED FINL INC CL A	CL A		930059100	       547 	     16,980 	  SH	DEFINED	   16,980
WADDELL & REED FINL INC CL A	CL A		930059100	     3,252 	    100,995 	  SH	OTHER	   98,772      266	   1,957
WAL MART STORES INC		COM		931142103	    48,324 	    839,685 	  SH	DEFINED	  811,769      271	  27,645
WAL MART STORES INC		COM		931142103	     5,818 	    101,099 	  SH	OTHER	   79,068    5,549	  16,482
WALGREEN CO			COM		931422109	     2,544 	     75,575 	  SH	DEFINED	   64,375		  11,200
WALGREEN CO			COM		931422109	        44 	      1,300 	  SH	OTHER	    1,100		     200
WASHINGTON MUTUAL INC		COM		939322103	       424 	     12,977 	  SH	DEFINED	   11,837		   1,140
WASHINGTON MUTUAL INC		COM		939322103	        78 	      2,397 	  SH	OTHER	    2,397
WASTE MANAGEMENT COM		COM		94106L109	     1,883 	     59,003 	  SH	DEFINED	    6,663		  52,340
WATSON PHARMACEUTICALS INC	COM		942683103	       940 	     29,934 	  SH	DEFINED	   28,490		   1,444
WATSON PHARMACEUTICALS INC	COM		942683103	        18 	        583 	  SH	OTHER	      583
WEATHERFORD INTL INC NEW	COM		947074100	     1,639 	     44,000 	  SH	DEFINED	   44,000
WELLS FARGO & CO NEW		COM		949746101	    10,238 	    235,514 	  SH	DEFINED	  233,219		   2,295
WELLS FARGO & CO NEW		COM		949746101	       663 	     15,256 	  SH	OTHER	   14,020    1,136	     100
WESTAMERICA BANCORPORATION	COM		957090103	     1,583 	     40,000 	  SH	DEFINED	   40,000
WEYERHAEUSER CO			COM		962166104	       924 	     17,081 	  SH	DEFINED	   16,715      116	     250
WEYERHAEUSER CO			COM		962166104	       134 	      2,479 	  SH	OTHER	    1,779		     700
WILLIAMS COS INC		COM		969457100	       423 	     16,573 	  SH	DEFINED	   12,985		   3,588
WILLIAMS COS INC		COM		969457100	        79 	      3,093 	  SH	OTHER	    2,993		     100
WILMINGTON TR CORP		COM		971807102	     1,519 	     24,000 	  SH	DEFINED	   24,000
WINN DIXIE STORES INC		COM		974280109	        17 	      1,165 	  SH	DEFINED	    1,165
WINN DIXIE STORES INC		COM		974280109	     1,077 	     75,546 	  SH	OTHER	   75,316		     230
WISCONSIN ENERGY CORP		COM		976657106	       427 	     18,930 	  SH	DEFINED	   17,930		   1,000
WISCONSIN ENERGY CORP		COM		976657106	        27 	      1,186 	  SH	OTHER	    1,186
WORLDCOM INC/WORLDCOM GROUP	WRLDCOM GP COM	98157D106	     3,070 	    218,030 	  SH	DEFINED	  168,279      850	  48,901
WORLDCOM INC/WORLDCOM GROUP	WRLDCOM GP COM	98157D106	       808 	     57,404 	  SH	OTHER	   39,745		  17,659
WRIGLEY WM JR CO		COM		982526105	     3,005 	     58,502 	  SH	DEFINED	   58,002		     500
WRIGLEY WM JR CO		COM		982526105	       627 	     12,200 	  SH	OTHER	   12,200
XTO ENERGY INC			COM		98385X106	       262 	     14,944 	  SH	DEFINED	   14,944
XCEL ENERGY INC			COM		98389B100	       223 	      8,050 	  SH	DEFINED	    7,980		      70
XCEL ENERGY INC			COM		98389B100	        19 	        702 	  SH	OTHER	      470      232
XILINX INC			COM		983919101	     1,856 	     47,537 	  SH	DEFINED	   47,237		     300
ZIMMER HLDGS INC		COM		98956P102	       342 	     11,192 	  SH	DEFINED	   10,757		     435
ZIMMER HLDGS INC		COM		98956P102	       205 	      6,718 	  SH	OTHER	    5,425		   1,293