UNITED STATES

                                       SECURITIES AND EXCHANGE COMMISSION

                                            Washington, D.C.  20549

                                                    FORM 13F

                                              FORM 13F COVER PAGE



Report for the Calendar Year or Quarter Ended: 12/31/2003



Check here if Amendment       [ ]             Amendment Number:



This Amendment                [ ]             is a restatement

                              [ ]             adds new holding entries



Institutional Investment Manager Filing this Report:



Name:       OLD NATIONAL TRUST COMPANY

Address:    P.O. BOX 207

            EVANSVILLE, IN 47702





13F File Number: 28-02327



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: DAVID R CROW

Title: VICE PRESIDENT

Phone: (812) 465-0616

Signature, Place, and Date of Signing:



DAVID R CROW    EVANSVILLE, IN    01/02/2004



Report Type     (Check only one)

                [X]            13F HOLDINGS REPORT

                [ ]            13F NOTICE

                [ ]            13F COMBINATION REPORT





I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE

ACT OF 1934







                                          FORM 13F SUMMARY PAGE



Report Summary:



Number of Other Included Managers:                0

Form 13F Information Table Entry Total:           539

Form 13F Information Table Value Total:           $ 1,041,055



List of Other Included Managers:



NONE





  FORM 13F INFORMATION TABLE

                                     TITLE                   VALUE
  SHARES/      SH/ PUT/
    NAME OF ISSUER                   OF CLASS        CUSIP    (X $1000)    PRN
  AMOUNT   PRN CALL
    SECURITY NAME                    SUBCLASS



    AFLAC INC                        COMMON STOCK    001055102        2820
   77952 SH
    AFLAC INC                        COMMON STOCK    001055102        1073
   29652 SH
    ABBOTT LABS                      COMMON STOCK    002824100        4972
  106693 SH
    ABBOTT LABS                      COMMON STOCK    002824100        1421
   30490 SH
    ABBOTT LABS                      COMMON STOCK    002824100         182
    3900 SH
    ADOBE SYS INC                    COMMON STOCK    00724F101         140
    3590 SH
    ADOBE SYS INC                    COMMON STOCK    00724F101         234
    5990 SH
    AFFILIATED COMPUTER              COMMON STOCK    008190100        1515
   27810 SH
    AFFILIATED COMPUTER              COMMON STOCK    008190100         482
    8850 SH
    ALBERTO                          COMMON STOCK    013068101        4114
   65211 SH
    ALBERTO                          COMMON STOCK    013068101         581
    9207 SH
    ALCOA INC                        COMMON STOCK    013817101        3284
   86428 SH
    ALCOA INC                        COMMON STOCK    013817101         871
   22912 SH
    ALLSTATE CORP                    COMMON STOCK    020002101         194
    4506 SH
    ALLSTATE CORP                    COMMON STOCK    020002101           8
     184 SH
    ALTRIA GROUP INC                 COMMON STOCK    02209S103        2863
   52616 SH
    ALTRIA GROUP INC                 COMMON STOCK    02209S103         574
   10555 SH
    AMEREN CORP                      COMMON STOCK    023608102         157
    3423 SH
    AMEREN CORP                      COMMON STOCK    023608102          77
    1680 SH
    AMERN EXPRESS CO                 COMMON STOCK    025816109         527
   10934 SH
    AMERN EXPRESS CO                 COMMON STOCK    025816109         163
    3375 SH
    AMERN INTL GROUP INC             COMMON STOCK    026874107       11571
  174580 SH
    AMERN INTL GROUP INC             COMMON STOCK    026874107        2491
   37580 SH
    AMERN INTL GROUP INC             COMMON STOCK    026874107         119
    1800 SH
    AMGEN INC                        COMMON STOCK    031162100        1084
   17547 SH
    AMGEN INC                        COMMON STOCK    031162100          67
    1083 SH
    ANALOG DEVICES INC               COMMON STOCK    032654105        4429
   97015 SH
    ANALOG DEVICES INC               COMMON STOCK    032654105         225
    4924 SH
    ANHEUSER BUSCH CO                COMMON STOCK    035229103        1600
   30379 SH
    ANHEUSER BUSCH CO                COMMON STOCK    035229103         170
    3224 SH
    ANHEUSER BUSCH CO                COMMON STOCK    035229103         158
    3000 SH
    ANTHEM                           COMMON STOCK    03674B104        5524
   73655 SH
    ANTHEM                           COMMON STOCK    03674B104         608
    8107 SH
    APACHE CORP                      COMMON STOCK    037411105        4696
   57905 SH
    APACHE CORP                      COMMON STOCK    037411105         617
    7609 SH
    APOLLO GROUP                     COMMON STOCK    037604105        2345
   34584 SH
    APOLLO GROUP                     COMMON STOCK    037604105         129
    1907 SH
    APPLIED MATLS INC                COMMON STOCK    038222105         276
   12285 SH
    APPLIED MATLS INC                COMMON STOCK    038222105          61
    2718 SH
    AUTOMATIC DATA PROCESSING INC    COMMON STOCK    053015103        1154
   29135 SH
    AUTOMATIC DATA PROCESSING INC    COMMON STOCK    053015103         439
   11089 SH
    AUTOMATIC DATA PROCESSING INC    COMMON STOCK    053015103         119
    3000 SH
    AUTOZONE INC                     COMMON STOCK    053332102        1974
   23165 SH
    AUTOZONE INC                     COMMON STOCK    053332102          26
     305 SH
    AVALONBAY CMNTYS INC             COMMON STOCK    053484101        1000
   20930 SH
    AVALONBAY CMNTYS INC             COMMON STOCK    053484101          19
     400 SH
    AVALONBAY CMNTYS INC             COMMON STOCK    053484101         331
    6925 SH
    AVERY DENNISON CORP              COMMON STOCK    053611109        1354
   24170 SH
    AVERY DENNISON CORP              COMMON STOCK    053611109         850
   15169 SH
    AVERY DENNISON CORP              COMMON STOCK    053611109          22
     400 SH
    AVON PRODS INC                   COMMON STOCK    054303102        4146
   61429 SH
    AVON PRODS INC                   COMMON STOCK    054303102         924
   13685 SH
    BB & T CORP                      COMMON STOCK    054937107        4777
  123628 SH
    BB & T CORP                      COMMON STOCK    054937107          19
     500 SH
    BB & T CORP                      COMMON STOCK    054937107         753
   19484 SH
    BJ SVCS CO                       COMMON STOCK    055482103         634
   17651 SH
    BJ SVCS CO                       COMMON STOCK    055482103          16
     450 SH
    BP PLC SPONS                     FOREIGN STOCK   055622104       16435
  333035 SH
    BP PLC SPONS                     FOREIGN STOCK   055622104          10
     200 SH
    BP PLC SPONS                     FOREIGN STOCK   055622104        6756
  136905 SH
    BP PLC SPONS                     FOREIGN STOCK   055622104          20
     400 SH
    BALL CORP                        COMMON STOCK    058498106        8860
  148730 SH
    BALL CORP                        COMMON STOCK    058498106          60
    1000 SH
    BALL CORP                        COMMON STOCK    058498106       12341
  207176 SH
    BALL CORP                        COMMON STOCK    058498106       12035
  202024 SH
    BK OF AMER CORP                  COMMON STOCK    060505104         469
    5830 SH
    BK OF AMER CORP                  COMMON STOCK    060505104          39
     480 SH
    BANK ONE CORP                    COMMON STOCK    06423A103         914
   20041 SH
    BANK ONE CORP                    COMMON STOCK    06423A103         429
    9405 SH
    BARR LABS INC                    COMMON STOCK    068306109        4931
   64080 SH
    BARR LABS INC                    COMMON STOCK    068306109         345
    4478 SH
    BAXTER INTERNATIONAL INC         COMMON STOCK    071813109        1459
   47795 SH
    BAXTER INTERNATIONAL INC         COMMON STOCK    071813109          91
    2970 SH
    BED BATH & BEYOND INC            COMMON STOCK    075896100        5568
  128445 SH
    BED BATH & BEYOND INC            COMMON STOCK    075896100        1066
   24580 SH
    BELLSOUTH CORP                   COMMON STOCK    079860102        1046
   36977 SH
    BELLSOUTH CORP                   COMMON STOCK    079860102         607
   21457 SH
    BEST BUY INC                     COMMON STOCK    086516101        2113
   40439 SH
    BEST BUY INC                     COMMON STOCK    086516101         382
    7305 SH
    BIOMET INC                       COMMON STOCK    090613100        4619
  127521 SH
    BIOMET INC                       COMMON STOCK    090613100          22
     600 SH
    BIOMET INC                       COMMON STOCK    090613100         909
   25105 SH
    BIOGEN IDEC INC                  COMMON STOCK    09062X103         305
    8304 SH
    BIOGEN IDEC INC                  COMMON STOCK    09062X103          15
     415 SH
    BLUE RIVER BANCSHARES INC        COMMON STOCK    09602P107          31
    5000 SH
    BLUE RIVER BANCSHARES INC        COMMON STOCK    09602P107          32
    5200 SH
    BOEING CO                        COMMON STOCK    097023105         259
    6138 SH
    BOEING CO                        COMMON STOCK    097023105           9
     224 SH
    BOEING CO                        COMMON STOCK    097023105          39
     920 SH
    BOEING CO                        COMMON STOCK    097023105          38
     900 SH
    BRINKER INTL INC                 COMMON STOCK    109641100         542
   16350 SH
    BRINKER INTL INC                 COMMON STOCK    109641100         631
   19016 SH
    BRISTOL MYERS SQUIBB CORP        COMMON STOCK    110122108        2601
   90950 SH
    BRISTOL MYERS SQUIBB CORP        COMMON STOCK    110122108        1604
   56080 SH
    BURLINGTON RESOURCES INC         COMMON STOCK    122014103        2497
   45082 SH
    BURLINGTON RESOURCES INC         COMMON STOCK    122014103         556
   10044 SH
    CACI INTL INC  CL A              COMMON STOCK    127190304        2876
   59145 SH
    CACI INTL INC  CL A              COMMON STOCK    127190304         480
    9870 SH
    CARDINAL HEALTH INC              COMMON STOCK    14149Y108        4323
   70683 SH
    CARDINAL HEALTH INC              COMMON STOCK    14149Y108        1297
   21203 SH
    CARNIVAL CORP                    FOREIGN STOCK   143658300        3980
  100174 SH
    CARNIVAL CORP                    FOREIGN STOCK   143658300          12
     300 SH
    CARNIVAL CORP                    FOREIGN STOCK   143658300         857
   21571 SH
    CATERPILLAR INC                  COMMON STOCK    149123101        2210
   26619 SH
    CATERPILLAR INC                  COMMON STOCK    149123101         525
    6325 SH
    CHEVRONTEXACO CORP               COMMON STOCK    166764100        3298
   38181 SH
    CHEVRONTEXACO CORP               COMMON STOCK    166764100           6
      70 SH
    CHEVRONTEXACO CORP               COMMON STOCK    166764100        1125
   13025 SH
    CHOICE                           COMMON STOCK    169905106        4725
  134029 SH
    CHOICE                           COMMON STOCK    169905106         696
   19750 SH
    CHOICEPOINT INC                  COMMON STOCK    170388102         387
   10159 SH
    CHOICEPOINT INC                  COMMON STOCK    170388102          10
     256 SH
    CHURCH & DWIGHT INC              COMMON STOCK    171340102        6396
  161524 SH
    CHURCH & DWIGHT INC              COMMON STOCK    171340102         844
   21321 SH
    CINERGY CORP                     COMMON STOCK    172474108        2442
   62910 SH
    CINERGY CORP                     COMMON STOCK    172474108        1406
   36230 SH
    CINERGY CORP                     COMMON STOCK    172474108          19
     500 SH
    CISCO SYSTEMS INC                COMMON STOCK    17275R102       13317
  549606 SH
    CISCO SYSTEMS INC                COMMON STOCK    17275R102          12
     500 SH
    CISCO SYSTEMS INC                COMMON STOCK    17275R102        2060
   85015 SH
    CINTAS CORP                      COMMON STOCK    172908105         835
   16675 SH
    CINTAS CORP                      COMMON STOCK    172908105          27
     540 SH
    CITIGROUP INC                    COMMON STOCK    172967101       12478
  257070 SH
    CITIGROUP INC                    COMMON STOCK    172967101          10
     200 SH
    CITIGROUP INC                    COMMON STOCK    172967101        2919
   60130 SH
    COCA COLA CO                     COMMON STOCK    191216100        3267
   64369 SH
    COCA COLA CO                     COMMON STOCK    191216100         517
   10185 SH
    COLGATE PALMOLIVE CO             COMMON STOCK    194162103        3672
   73367 SH
    COLGATE PALMOLIVE CO             COMMON STOCK    194162103         748
   14944 SH
    CONAGRA FOODS INC                COMMON STOCK    205887102         292
   11065 SH
    CONAGRA FOODS INC                COMMON STOCK    205887102          43
    1620 SH
    CONAGRA FOODS INC                COMMON STOCK    205887102          25
     945 SH
    CONSTELLATION BRANDS INC         COMMON STOCK    21036P108        4145
  125884 SH
    CONSTELLATION BRANDS INC         COMMON STOCK    21036P108         348
   10569 SH
    DNP                              EQUITY CLOSED E 23325P104         102
    9295 PRN
    DNP                              EQUITY CLOSED E 23325P104          64
    5870 PRN
    DST SYS INC                      COMMON STOCK    233326107         639
   15305 SH
    DST SYS INC                      COMMON STOCK    233326107         461
   11050 SH
    DANAHER CORP                     COMMON STOCK    235851102        6257
   68200 SH
    DANAHER CORP                     COMMON STOCK    235851102        1706
   18598 SH
    DARDEN RESTAURANTS INC           COMMON STOCK    237194105        1128
   53621 SH
    DARDEN RESTAURANTS INC           COMMON STOCK    237194105         527
   25055 SH
    DELL INC                         COMMON STOCK    24702R101        8074
  237623 SH
    DELL INC                         COMMON STOCK    24702R101        1311
   38569 SH
    DENTSPLY INTL INC                COMMON STOCK    249030107        1097
   24275 SH
    DENTSPLY INTL INC                COMMON STOCK    249030107         154
    3415 SH
    DIEBOLD INC                      COMMON STOCK    253651103        9139
  169652 SH
    DIEBOLD INC                      COMMON STOCK    253651103        1329
   24667 SH
    DISNEY WALT CO                   COMMON STOCK    254687106         565
   24205 SH
    DISNEY WALT CO                   COMMON STOCK    254687106         218
    9332 SH
    DOVER CORP                       COMMON STOCK    260003108         234
    5895 SH
    DOVER CORP                       COMMON STOCK    260003108          55
    1390 SH
    DOVER CORP                       COMMON STOCK    260003108          80
    2000 SH
    DOW CHEM CO                      COMMON STOCK    260543103         762
   18331 SH
    DOW CHEM CO                      COMMON STOCK    260543103         394
    9480 SH
    DOW CHEM CO                      COMMON STOCK    260543103          33
     800 SH
    DU PONT E I DE NEMOURS & CO      COMMON STOCK    263534109        1444
   31471 SH
    DU PONT E I DE NEMOURS & CO      COMMON STOCK    263534109         273
    5950 SH
    EMC CORPORATION                  COMMON STOCK    268648102        3593
  278064 SH
    EMC CORPORATION                  COMMON STOCK    268648102           9
     700 SH
    EMC CORPORATION                  COMMON STOCK    268648102         403
   31155 SH
    EBAY INC                         COMMON STOCK    278642103         731
   11320 SH
    EBAY INC                         COMMON STOCK    278642103           3
      50 SH
    ECOLAB INC                       COMMON STOCK    278865100        2289
   83637 SH
    ECOLAB INC                       COMMON STOCK    278865100         125
    4582 SH
    EMERSON ELEC CO                  COMMON STOCK    291011104        2196
   33922 SH
    EMERSON ELEC CO                  COMMON STOCK    291011104         210
    3246 SH
    EQUITY OFFICE PPTYS TR           COMMON STOCK    294741103        5197
  181379 SH
    EQUITY OFFICE PPTYS TR           COMMON STOCK    294741103         918
   32039 SH
    EXPEDITORS INTL WASH INC         COMMON STOCK    302130109        3450
   91614 SH
    EXPEDITORS INTL WASH INC         COMMON STOCK    302130109         738
   19589 SH
    EXPRESS SCRIPTS INC              COMMON STOCK    302182100        2858
   43016 SH
    EXPRESS SCRIPTS INC              COMMON STOCK    302182100         803
   12085 SH
    EXXON MOBIL CORP                 COMMON STOCK    30231G102       31563
  769824 SH
    EXXON MOBIL CORP                 COMMON STOCK    30231G102           8
     200 SH
    EXXON MOBIL CORP                 COMMON STOCK    30231G102        8786
  214287 SH
    EXXON MOBIL CORP                 COMMON STOCK    30231G102          41
    1000 SH
    FPL GROUP INC                    COMMON STOCK    302571104        3226
   49317 SH
    FPL GROUP INC                    COMMON STOCK    302571104         807
   12334 SH
    FAMILY DOLLAR STORES             COMMON STOCK    307000109         420
   11707 SH
    FAMILY DOLLAR STORES             COMMON STOCK    307000109          57
    1602 SH
    FED HOME LN MTG                  COMMON STOCK    313400301        4826
   82755 SH
    FED HOME LN MTG                  COMMON STOCK    313400301         576
    9881 SH
    FED NAT MTG ASSOC                COMMON STOCK    313586109        1487
   19809 SH
    FED NAT MTG ASSOC                COMMON STOCK    313586109        1036
   13798 SH
    FEDERATED INVESTORS INC          COMMON STOCK    314211103        1269
   43209 SH
    FEDERATED INVESTORS INC          COMMON STOCK    314211103         542
   18450 SH
    FIDELITY                         COMMON STOCK    315921106          20
   12165 SH
    FIFTH THIRD BANCORP              COMMON STOCK    316773100        7226
  122264 SH
    FIFTH THIRD BANCORP              COMMON STOCK    316773100        1571
   26584 SH
    1ST FINL CORP                    COMMON STOCK    320218100        3634
  121117 SH
    1ST FINL CORP                    COMMON STOCK    320218100        1259
   41970 SH
    FIRST MERCHANTS CORP             COMMON STOCK    320817109         161
    6327 SH
    FIRST MERCHANTS CORP             COMMON STOCK    320817109         949
   37213 SH
    FLORIDA                          COMMON STOCK    341140101        2008
   36613 SH
    FLORIDA                          COMMON STOCK    341140101         621
   11316 SH
    FOREST LABS INC                  COMMON STOCK    345838106        5724
   92617 SH
    FOREST LABS INC                  COMMON STOCK    345838106         146
    2362 SH
    FORTUNE BRANDS INC               COMMON STOCK    349631101         591
    8262 SH
    FORTUNE BRANDS INC               COMMON STOCK    349631101         134
    1875 SH
    FRANKLIN RES INC                 COMMON STOCK    354613101        1404
   26961 SH
    FRANKLIN RES INC                 COMMON STOCK    354613101          49
     940 SH
    GALLAGHER ARTHUR J & CO          COMMON STOCK    363576109         242
    7463 SH
    GALLAGHER ARTHUR J & CO          COMMON STOCK    363576109          19
     600 SH
    GENERAL DYNAMICS CORP            COMMON STOCK    369550108        3276
   36248 SH
    GENERAL DYNAMICS CORP            COMMON STOCK    369550108         595
    6586 SH
    GEN ELEC CO                      COMMON STOCK    369604103       21404
  690886 SH
    GEN ELEC CO                      COMMON STOCK    369604103          86
    2775 SH
    GEN ELEC CO                      COMMON STOCK    369604103        5068
  163589 SH
    GEN ELEC CO                      COMMON STOCK    369604103          22
     700 SH
    GEN MTRS CORP                    COMMON STOCK    370442105         301
    5633 SH
    GEN MTRS CORP                    COMMON STOCK    370442105         322
    6028 SH
    GERMAN AMERN BANCORP             COMMON STOCK    373865104         505
   28858 SH
    GERMAN AMERN BANCORP             COMMON STOCK    373865104           7
     393 SH
    GILLETTE                         COMMON STOCK    375766102         759
   20665 SH
    GILLETTE                         COMMON STOCK    375766102         519
   14123 SH
    GLAXOSMITHKLINE PLC              FOREIGN STOCK   37733W105         506
   10849 SH
    GLAXOSMITHKLINE PLC              FOREIGN STOCK   37733W105         150
    3220 SH
    GOLDMAN SACHS                    COMMON STOCK    38141G104        6978
   70677 SH
    GOLDMAN SACHS                    COMMON STOCK    38141G104         491
    4975 SH
    GUIDANT CORP                     COMMON STOCK    401698105         694
   11526 SH
    GUIDANT CORP                     COMMON STOCK    401698105          46
     771 SH
    HARLEY DAVIDSON INC              COMMON STOCK    412822108        2045
   43027 SH
    HARLEY DAVIDSON INC              COMMON STOCK    412822108         673
   14150 SH
    HARLEY DAVIDSON INC              COMMON STOCK    412822108           5
     100 SH
    HARRAH'S ENTNT INC               COMMON STOCK    413619107        1695
   34057 SH
    HARRAH'S ENTNT INC               COMMON STOCK    413619107         126
    2525 SH
    HEALTH MGMT ASSOC INC            COMMON STOCK    421933102        4881
  203391 SH
    HEALTH MGMT ASSOC INC            COMMON STOCK    421933102         880
   36662 SH
    HEWLETT PACKARD CO               COMMON STOCK    428236103        1649
   71785 SH
    HEWLETT PACKARD CO               COMMON STOCK    428236103        1150
   50074 SH
    HILLENBRAND INDUSTRIES INC       COMMON STOCK    431573104         397
    6390 SH
    HILLENBRAND INDUSTRIES INC       COMMON STOCK    431573104          50
     800 SH
    HOME DEPOT INC                   COMMON STOCK    437076102        2890
   81421 SH
    HOME DEPOT INC                   COMMON STOCK    437076102         444
   12498 SH
    IL                               COMMON STOCK    452308109        8195
   97665 SH
    IL                               COMMON STOCK    452308109        1648
   19638 SH
    IL                               COMMON STOCK    452308109          34
     400 SH
    IMPERIAL PETROLEUM INC           COMMON STOCK    453078206          42
  300000 SH
    ING GROUP N V                    PREFERRED STOCK 456837202         535
   20000 SH
    INTEL CORP                       COMMON STOCK    458140100       16468
  513822 SH
    INTEL CORP                       COMMON STOCK    458140100          13
     400 SH
    INTEL CORP                       COMMON STOCK    458140100        3563
  111157 SH
    INTEL CORP                       COMMON STOCK    458140100          51
    1600 SH
    INTEGRA BK CORP                  COMMON STOCK    45814P105         487
   22116 SH
    INTEGRA BK CORP                  COMMON STOCK    45814P105           7
     300 SH
    INTEGRA BK CORP                  COMMON STOCK    45814P105         360
   16358 SH
    INTERCONTINENTAL HLDGS INC       COMMON STOCK    458572104           0
   10000 SH
    INTL BUSINESS MACHS CORP         COMMON STOCK    459200101        5192
   56021 SH
    INTL BUSINESS MACHS CORP         COMMON STOCK    459200101        1830
   19746 SH
    INTL GAME TECH                   COMMON STOCK    459902102         566
   15860 SH
    INTL GAME TECH                   COMMON STOCK    459902102          89
    2500 SH
    INTL PAPER CO                    COMMON STOCK    460146103        6084
  141122 SH
    INTL PAPER CO                    COMMON STOCK    460146103        7025
  162947 SH
    ISHARES RUSSELL 2000 INDEX FD    COMMON STOCK    464287655        1263
   11400 SH
    JP MORGAN CHASE & CO             COMMON STOCK    46625H100        2168
   59028 SH
    JP MORGAN CHASE & CO             COMMON STOCK    46625H100         339
    9225 SH
    JACOBS ENGR GROUP INC            COMMON STOCK    469814107        4761
   99174 SH
    JACOBS ENGR GROUP INC            COMMON STOCK    469814107         700
   14571 SH
    JARDEN                           COMMON STOCK    471109108         213
    7800 SH
    JARDEN                           COMMON STOCK    471109108         820
   30000 SH
    JARDEN                           COMMON STOCK    471109108          16
     600 SH
    JARDEN                           COMMON STOCK    471109108        2101
   76845 SH
    JEFFERSON PILOT CORP             COMMON STOCK    475070108        2886
   56974 SH
    JEFFERSON PILOT CORP             COMMON STOCK    475070108        1252
   24726 SH
    JEFFERSON PILOT CORP             COMMON STOCK    475070108          68
    1350 SH
    JOHNSON & JOHNSON                COMMON STOCK    478160104       12615
  244189 SH
    JOHNSON & JOHNSON                COMMON STOCK    478160104           8
     150 SH
    JOHNSON & JOHNSON                COMMON STOCK    478160104        3414
   66079 SH
    JOHNSON CTLS INC                 COMMON STOCK    478366107        4546
   39152 SH
    JOHNSON CTLS INC                 COMMON STOCK    478366107        1728
   14885 SH
    JOHNSON CTLS INC                 COMMON STOCK    478366107          12
     100 SH
    KEYCORP                          COMMON STOCK    493267108         464
   15820 SH
    KIMBALL INTL INC                 COMMON STOCK    494274103         891
   57307 SH
    KIMBALL INTL INC                 COMMON STOCK    494274103           5
     308 SH
    KIMBALL INTL INC                 COMMON STOCK    494274202        1213
   77996 SH
    KOHLS CORP                       COMMON STOCK    500255104        4385
   97574 SH
    KOHLS CORP                       COMMON STOCK    500255104           7
     150 SH
    KOHLS CORP                       COMMON STOCK    500255104         706
   15714 SH
    L-3 COMMUNICATIONS HLDGS INC     COMMON STOCK    502424104        6414
  124885 SH
    L-3 COMMUNICATIONS HLDGS INC     COMMON STOCK    502424104         616
   11993 SH
    LANCASTER COLONY CORP            COMMON STOCK    513847103         271
    6000 SH
    LANCASTER COLONY CORP            COMMON STOCK    513847103         406
    9000 SH
    LEGG MASON INC                   COMMON STOCK    524901105        3341
   43290 SH
    LEGG MASON INC                   COMMON STOCK    524901105          15
     200 SH
    LEGG MASON INC                   COMMON STOCK    524901105         397
    5150 SH
    LEXMARK INTL INC                 COMMON STOCK    529771107         144
    1835 SH
    LEXMARK INTL INC                 COMMON STOCK    529771107         197
    2500 SH
    LILLY ELI & CO                   COMMON STOCK    532457108        7266
  103318 SH
    LILLY ELI & CO                   COMMON STOCK    532457108          18
     250 SH
    LILLY ELI & CO                   COMMON STOCK    532457108        2654
   37743 SH
    LIMITED BRANDS                   COMMON STOCK    532716107        1642
   91076 SH
    LIMITED BRANDS                   COMMON STOCK    532716107         154
    8535 SH
    LINCARE HOLDINGS INC             COMMON STOCK    532791100        1230
   40897 SH
    LINCARE HOLDINGS INC             COMMON STOCK    532791100         583
   19397 SH
    LINCOLN NATL CORP                COMMON STOCK    534187109         721
   17872 SH
    LINCOLN NATL CORP                COMMON STOCK    534187109        1293
   32038 SH
    LINEAR TECHNOLOGY CORP           COMMON STOCK    535678106        2302
   54727 SH
    LINEAR TECHNOLOGY CORP           COMMON STOCK    535678106         348
    8272 SH
    LIZ CLAIBORNE INC                COMMON STOCK    539320101        1649
   46505 SH
    LIZ CLAIBORNE INC                COMMON STOCK    539320101         329
    9270 SH
    LOWE'S COMPANIES INC             COMMON STOCK    548661107       12326
  222527 SH
    LOWE'S COMPANIES INC             COMMON STOCK    548661107        1894
   34202 SH
    MBIA INC                         COMMON STOCK    55262C100        3284
   55439 SH
    MBIA INC                         COMMON STOCK    55262C100         693
   11707 SH
    MBNA CORP                        COMMON STOCK    55262L100        2455
   98783 SH
    MBNA CORP                        COMMON STOCK    55262L100         861
   34647 SH
    MDU RESOURCES                    COMMON STOCK    552690109          80
    3375 SH
    MDU RESOURCES                    COMMON STOCK    552690109        1770
   74358 SH
    MGIC INVT CORP                   COMMON STOCK    552848103         306
    5377 SH
    MGIC INVT CORP                   COMMON STOCK    552848103          16
     286 SH
    MANULIFE FINL CORP               FOREIGN STOCK   56501R106         739
   22885 SH
    MANULIFE FINL CORP               FOREIGN STOCK   56501R106          39
    1209 SH
    MARSH & MCLENNAN CO INC          COMMON STOCK    571748102         108
    2250 SH
    MARSH & MCLENNAN CO INC          COMMON STOCK    571748102         120
    2500 SH
    MARSH SUPERMARKETS INC           COMMON STOCK    571783208         642
   59419 SH
    MARSH SUPERMARKETS INC           COMMON STOCK    571783307         849
   78241 SH
    MCDONALDS CORP                   COMMON STOCK    580135101        1518
   61117 SH
    MCDONALDS CORP                   COMMON STOCK    580135101          43
    1750 SH
    MCGRAW HILL COMPANIES INC        COMMON STOCK    580645109        2622
   37497 SH
    MCGRAW HILL COMPANIES INC        COMMON STOCK    580645109           7
     100 SH
    MCGRAW HILL COMPANIES INC        COMMON STOCK    580645109         784
   11214 SH
    MEDTRONIC INC                    COMMON STOCK    585055106        6232
  128200 SH
    MEDTRONIC INC                    COMMON STOCK    585055106        1412
   29041 SH
    MERCK & CO INC                   COMMON STOCK    589331107        2542
   55012 SH
    MERCK & CO INC                   COMMON STOCK    589331107         382
    8275 SH
    MERCK & CO INC                   COMMON STOCK    589331107          92
    2000 SH
    MERRILL LYNCH & CO INC           COMMON STOCK    590188108          40
     690 SH
    MERRILL LYNCH & CO INC           COMMON STOCK    590188108        4132
   70460 SH
    MICROSOFT CORP                   COMMON STOCK    594918104       12236
  447065 SH
    MICROSOFT CORP                   COMMON STOCK    594918104        2793
  102051 SH
    S&P 400 MIDCAP TR                COMMON STOCK    595635103        7086
   67230 SH
    S&P 400 MIDCAP TR                COMMON STOCK    595635103        2557
   24256 SH
    MOHAWK INDS INC                  COMMON STOCK    608190104        1676
   23760 SH
    MOHAWK INDS INC                  COMMON STOCK    608190104          89
    1267 SH
    MUTUALFIRST FINANCIAL INC        COMMON STOCK    62845B104           4
     150 SH
    MUTUALFIRST FINANCIAL INC        COMMON STOCK    62845B104         645
   25700 SH
    MUTUALFIRST FINANCIAL INC        COMMON STOCK    62845B104          25
    1000 SH
    NATL CITY CORP                   COMMON STOCK    635405103         307
    9058 SH
    NATL CITY CORP                   COMMON STOCK    635405103         223
    6568 SH
    NATL CITY CORP                   COMMON STOCK    635405103       11001
  324117 SH
    NATIONAL FUEL GAS CO             COMMON STOCK    636180101        2015
   82429 SH
    NATIONAL FUEL GAS CO             COMMON STOCK    636180101          10
     400 SH
    NATIONAL FUEL GAS CO             COMMON STOCK    636180101         699
   28606 SH
    NATIONAL FUEL GAS CO             COMMON STOCK    636180101          20
     800 SH
    NEWMONT MNG CORP                 COMMON STOCK    651639106        3312
   68125 SH
    NEWMONT MNG CORP                 COMMON STOCK    651639106         478
    9843 SH
    NEXTEL COMMUNICATIONS INC        COMMON STOCK    65332V103        1036
   36935 SH
    NEXTEL COMMUNICATIONS INC        COMMON STOCK    65332V103         228
    8115 SH
    NISOURCE INC                     COMMON STOCK    65473P105         234
   10666 SH
    NISOURCE INC                     COMMON STOCK    65473P105          37
    1684 SH
    NOKIA CORP                       FOREIGN STOCK   654902204         756
   44475 SH
    NOKIA CORP                       FOREIGN STOCK   654902204          16
     950 SH
    NOBLE                            COMMON STOCK    655044105         509
   11445 SH
    NOBLE                            COMMON STOCK    655044105          18
     400 SH
    NORFOLK SOUTHERN CORP            COMMON STOCK    655844108         352
   14897 SH
    NORFOLK SOUTHERN CORP            COMMON STOCK    655844108          21
     908 SH
    NORTHERN STS PWR CO              PREFERRED STOCK 665772794         546
   20000 SH
    NORTHERN TRUST CORP              COMMON STOCK    665859104         647
   13989 SH
    NORTHERN TRUST CORP              COMMON STOCK    665859104         273
    5900 SH
    NORTHROP GRUMMAN                 COMMON STOCK    666807102         165
    1721 SH
    NORTHROP GRUMMAN                 COMMON STOCK    666807102          64
     669 SH
    ONB CAP TRUST I                  PREFERRED STOCK 670879204         247
    9101 SH
    ONB CAP TRUST I                  PREFERRED STOCK 670879204         588
   21690 SH
    ONB CAP TRUST II 8% PFD          PREFERRED STOCK 67087Y209         728
   27056 SH
    ONB CAP TRUST II 8% PFD          PREFERRED STOCK 67087Y209         318
   11830 SH
    OLD NATIONAL BANCORP             COMMON STOCK    680033107       58607
  2564870 SH
    OLD NATIONAL BANCORP             COMMON STOCK    680033107         167
    7290 SH
    OLD NATIONAL BANCORP             COMMON STOCK    680033107       23335
  1021245 SH
    OLD NATIONAL BANCORP             COMMON STOCK    680033107         960
   42000 SH
    PNC FINL SVCS GROUP              COMMON STOCK    693475105         398
    7267 SH
    PNC FINL SVCS GROUP              COMMON STOCK    693475105          36
     650 SH
    PPG INDS INC                     COMMON STOCK    693506107         282
    4400 SH
    PPG INDS INC                     COMMON STOCK    693506107         193
    3008 SH
    PANAMERICAN BANCORP              COMMON STOCK    69829X101           0
   10000 SH
    PAYCHEX INC                      COMMON STOCK    704326107        1421
   38208 SH
    PAYCHEX INC                      COMMON STOCK    704326107         861
   23150 SH
    PEPSIAMERICAS INC                COMMON STOCK    71343P200         184
   10745 SH
    PEPSICO INC                      COMMON STOCK    713448108       12747
  273429 SH
    PEPSICO INC                      COMMON STOCK    713448108        2243
   48105 SH
    PFIZER INC                       COMMON STOCK    717081103       11584
  327888 SH
    PFIZER INC                       COMMON STOCK    717081103           7
     200 SH
    PFIZER INC                       COMMON STOCK    717081103        3051
   86344 SH
    POGO PRODUCING CO                COMMON STOCK    730448107        1801
   37295 SH
    POGO PRODUCING CO                COMMON STOCK    730448107         104
    2155 SH
    PRAXAIR INC                      COMMON STOCK    74005P104        3375
   88343 SH
    PRAXAIR INC                      COMMON STOCK    74005P104        1048
   27434 SH
    T ROWE PRICE GROUP INC           COMMON STOCK    74144T108        2080
   43878 SH
    T ROWE PRICE GROUP INC           COMMON STOCK    74144T108         427
    9010 SH
    PROCTER & GAMBLE CO              COMMON STOCK    742718109        2479
   24821 SH
    PROCTER & GAMBLE CO              COMMON STOCK    742718109          10
     100 SH
    PROCTER & GAMBLE CO              COMMON STOCK    742718109         929
    9302 SH
    PROVIDIAN FINL CORP              COMMON STOCK    74406A102          70
    6000 SH
    PROVIDIAN FINL CORP              COMMON STOCK    74406A102          80
    6900 SH
    PRUDENTIAL FINL INC              COMMON STOCK    744320102         553
   13235 SH
    PRUDENTIAL FINL INC              COMMON STOCK    744320102          21
     500 SH
    QUALCOMM INC                     COMMON STOCK    747525103        8143
  150995 SH
    QUALCOMM INC                     COMMON STOCK    747525103        1076
   19945 SH
    QUESTAR CORP                     COMMON STOCK    748356102         492
   14000 SH
    ROYAL DUTCH PETE CO              FOREIGN STOCK   780257804        3792
   72386 SH
    ROYAL DUTCH PETE CO              FOREIGN STOCK   780257804         715
   13654 SH
    ROYAL DUTCH PETE CO              FOREIGN STOCK   780257804          10
     200 SH
    SBC COMMUNICATIONS INC           COMMON STOCK    78387G103        1491
   57205 SH
    SBC COMMUNICATIONS INC           COMMON STOCK    78387G103        1590
   61006 SH
    SPDR TR UNIT SER 1               COMMON STOCK    78462F103        9053
   81349 SH
    SPDR TR UNIT SER 1               COMMON STOCK    78462F103        2299
   20660 SH
    SARA LEE CORP                    COMMON STOCK    803111103         630
   29023 SH
    SARA LEE CORP                    COMMON STOCK    803111103          63
    2900 SH
    SARA LEE CORP                    COMMON STOCK    803111103          98
    4500 SH
    SCHLUMBERGER LTD                 COMMON STOCK    806857108         157
    2865 SH
    SCHLUMBERGER LTD                 COMMON STOCK    806857108         101
    1841 SH
    AMEX                             COMMON STOCK    81369Y209        2183
   72400 SH
    AMEX                             COMMON STOCK    81369Y209         407
   13500 SH
    AMEX                             COMMON STOCK    81369Y308         329
   15100 SH
    AMEX                             COMMON STOCK    81369Y308         360
   16550 SH
    AMEX                             COMMON STOCK    81369Y407         211
    6690 SH
    AMEX                             COMMON STOCK    81369Y605        2882
  102461 SH
    AMEX                             COMMON STOCK    81369Y605         352
   12500 SH
    AMEX                             COMMON STOCK    81369Y704         965
   36045 SH
    AMEX                             COMMON STOCK    81369Y704         407
   15200 SH
    AMEX                             COMMON STOCK    81369Y803        6528
  320293 SH
    AMEX                             COMMON STOCK    81369Y803        1045
   51276 SH
    SIEBEL SYS INC                   COMMON STOCK    826170102         175
   12561 SH
    SIEBEL SYS INC                   COMMON STOCK    826170102           4
     288 SH
    SIGMA ALDRICH CORP               COMMON STOCK    826552101        1789
   31294 SH
    SIGMA ALDRICH CORP               COMMON STOCK    826552101         507
    8875 SH
    SMITH INTL INC                   COMMON STOCK    832110100        1652
   39780 SH
    SMITH INTL INC                   COMMON STOCK    832110100         881
   21230 SH
    SOUTHERN CO                      COMMON STOCK    842587107         236
    7804 SH
    SOUTHERN CO                      COMMON STOCK    842587107         124
    4100 SH
    SOUTHTRUST CORP                  COMMON STOCK    844730101        9521
  290802 SH
    SOUTHTRUST CORP                  COMMON STOCK    844730101         858
   26192 SH
    STAPLES INC                      COMMON STOCK    855030102        2662
   97525 SH
    STAPLES INC                      COMMON STOCK    855030102         143
    5224 SH
    STATE STR CORP                   COMMON STOCK    857477103        9307
  178701 SH
    STATE STR CORP                   COMMON STOCK    857477103        1331
   25565 SH
    STRYKER CORP                     COMMON STOCK    863667101        5584
   65685 SH
    STRYKER CORP                     COMMON STOCK    863667101          26
     300 SH
    STRYKER CORP                     COMMON STOCK    863667101         925
   10878 SH
    SUN LIFE                         COMMON STOCK    866796105         354
   14148 SH
    SUNGARD DATA SYSTEM              COMMON STOCK    867363103        3427
  123663 SH
    SUNGARD DATA SYSTEM              COMMON STOCK    867363103         698
   25188 SH
    SYMANTEC CORP                    COMMON STOCK    871503108        7979
  231285 SH
    SYMANTEC CORP                    COMMON STOCK    871503108        1174
   34037 SH
    SYNOVUS FINL CORP                COMMON STOCK    87161C105         733
   25335 SH
    SYNOVUS FINL CORP                COMMON STOCK    87161C105          30
    1025 SH
    SYSCO CORP                       COMMON STOCK    871829107        4255
  114285 SH
    SYSCO CORP                       COMMON STOCK    871829107        1463
   39308 SH
    TJX CO INC                       COMMON STOCK    872540109        3563
  161609 SH
    TJX CO INC                       COMMON STOCK    872540109        1157
   52470 SH
    TAKE 2 INTERACTIVE SOFTWARE INC  COMMON STOCK    874054109        2782
   96525 SH
    TAKE 2 INTERACTIVE SOFTWARE INC  COMMON STOCK    874054109          88
    3050 SH
    TARGET CORP                      COMMON STOCK    87612E106        1736
   45209 SH
    TARGET CORP                      COMMON STOCK    87612E106         429
   11165 SH
    TARGET CORP                      COMMON STOCK    87612E106          15
     400 SH
    3M                               COMMON STOCK    88579Y101        8253
   97058 SH
    3M                               COMMON STOCK    88579Y101           9
     106 SH
    3M                               COMMON STOCK    88579Y101        1482
   17424 SH
    US BANCORP DE NEW                COMMON STOCK    902973304        8434
  283212 SH
    US BANCORP DE NEW                COMMON STOCK    902973304        1380
   46326 SH
    US BANCORP DE NEW                COMMON STOCK    902973304          45
    1500 SH
    UNION PACIFIC CORP               COMMON STOCK    907818108          65
     940 SH
    UNION PACIFIC CORP               COMMON STOCK    907818108         250
    3600 SH
    UN PLANTERS CORP                 COMMON STOCK    908068109         708
   22475 SH
    UN PLANTERS CORP                 COMMON STOCK    908068109         166
    5286 SH
    UNITED TECHNOLOGIES CORP         COMMON STOCK    913017109        8611
   90859 SH
    UNITED TECHNOLOGIES CORP         COMMON STOCK    913017109        2167
   22864 SH
    UNITED TECHNOLOGIES CORP         COMMON STOCK    913017109          19
     200 SH
    VECTREN CORP                     COMMON STOCK    92240G101        8995
  364901 SH
    VECTREN CORP                     COMMON STOCK    92240G101          10
     400 SH
    VECTREN CORP                     COMMON STOCK    92240G101        1838
   74544 SH
    TOTAL STCK MK VIPERS             COMMON STOCK    922908769         244
    2295 SH
    VERIZON COMMUNICATIONS           COMMON STOCK    92343V104        3478
   99141 SH
    VERIZON COMMUNICATIONS           COMMON STOCK    92343V104         960
   27360 SH
    WACHOVIA CORP                    COMMON STOCK    929903102         314
    6747 SH
    WACHOVIA CORP                    COMMON STOCK    929903102          83
    1780 SH
    WALMART STORES INC               COMMON STOCK    931142103        5487
  103426 SH
    WALMART STORES INC               COMMON STOCK    931142103         558
   10516 SH
    WALGREEN CO                      COMMON STOCK    931422109        2186
   60101 SH
    WALGREEN CO                      COMMON STOCK    931422109          11
     300 SH
    WALGREEN CO                      COMMON STOCK    931422109         916
   25173 SH
    WALGREEN CO                      COMMON STOCK    931422109         236
    6500 SH
    WELLS FARGO & CO                 COMMON STOCK    949746101         645
   10947 SH
    WELLS FARGO & CO                 COMMON STOCK    949746101          99
    1685 SH
    WESTWOOD ONE INC                 COMMON STOCK    961815107        1007
   29424 SH
    WESTWOOD ONE INC                 COMMON STOCK    961815107         127
    3715 SH
    WEYERHAEUSER CO                  COMMON STOCK    962166104         182
    2839 SH
    WEYERHAEUSER CO                  COMMON STOCK    962166104          54
     846 SH
    WHIRLPOOL CORP                   COMMON STOCK    963320106        1636
   22518 SH
    WHIRLPOOL CORP                   COMMON STOCK    963320106         262
    3600 SH
    WRIGLEY (WM) JR                  COMMON STOCK    982526105          22
     400 SH
    WRIGLEY (WM) JR                  COMMON STOCK    982526105         621
   11050 SH
    WYETH                            COMMON STOCK    983024100        1101
   25934 SH
    WYETH                            COMMON STOCK    983024100          16
     375 SH
    WYETH                            COMMON STOCK    983024100         667
   15709 SH
    YUM                              COMMON STOCK    988498101         506
   14696 SH
    ZIMMER HLDGS INC                 COMMON STOCK    98956P102         754
   10717 SH
    ZIMMER HLDGS INC                 COMMON STOCK    98956P102           3
      40 SH
    ZIMMER HLDGS INC                 COMMON STOCK    98956P102         368
    5230 SH
    CMNTY BK OF WEST KY              CLOSELY HELD ST CH0000000         276
   23000 SH
    ADVANCED MICRO ELECTRONICS       CLOSELY HELD ST CH0000067        3248
  400000 SH
    MEDICAL TECHNOLOGY CORP          CLOSELY HELD ST CH0000133          20
   20000 SH
    MAX COOPRIDER FARM INC           MISCELLANEOUS A CH0000166         676
     845 PRN
    MAXON CORPORATION                CLOSELY HELD ST CH0000182         966
   47000 SH
    AUBURN FOUNDRY INC               CLOSELY HELD ST CH0000307         631
    3578 SH
    MAXON CORP UNRESTRICTED          CLOSELY HELD ST CH0000380         390
   18972 SH
    MAXON CORP UNRESTRICTED          CLOSELY HELD ST CH0000380          41
    2000 SH
    MEEKS MORTUARY INC               CLOSELY HELD ST CH0000406         236
     820 SH
    MINNETRISTA CORP                 CLOSELY HELD ST CH0000422       15326
   40703 SH
    MINNETRISTA CORP                 CLOSELY HELD ST CH0000422        1149
    3052 SH
    NOBLE'S SUPERMARKET INC          CLOSELY HELD ST CH0000448         232
     256 SH
    ONTARIO CORP                     CLOSELY HELD ST CH0000455           0
   29370 SH
    ONTARIO CORP                     CLOSELY HELD ST CH0000455           0
   24392 SH
    WABASH COFFEE INC                CLOSELY HELD ST CH0000596         254
      93 SH
    CRESCENT PLASTICS INC            CLOSELY HELD ST CH0000620        2118
   54000 SH
    CRESLINE PLASTIC PIP CO INC      CLOSELY HELD ST CH0000638       13851
  540000 SH
    FT SACKVILLE WHSE                CLOSELY HELD ST CH0000653        1154
    3150 SH
    ROYAL GIFT STAMPS                CLOSELY HELD ST CH0000661         338
     623 SH
    R & W RLTY CORP                  CLOSELY HELD ST CH0000679         222
    1128 SH
    TRAYLOR BROS INC                 CLOSELY HELD ST CH0000745        4500
    9000 SH
    CHARLIE QUINN LMBR CO            CLOSELY HELD ST CH0000760         313
     439 SH
    JOFCO INC                        CLOSELY HELD ST CH0000828         365
      73 SH
    LEE EQUIP CO                     CLOSELY HELD ST CH0000919         325
    1060 SH
    SMALL FARMS INC                  CLOSELY HELD ST CH0000943         210
     211 SH
    INWOOD OFFICE FURNITURE INC      CLOSELY HELD ST CH0000950         779
      76 SH
    FREEDOM BK DALE IN               CLOSELY HELD ST CH0001024         232
   18000 SH
    ACORN SVC GROUP INC              CLOSELY HELD ST CH0001040           5
   25000 SH
    M & J RLTY                       CLOSELY HELD ST CH0001065          77
   90693 SH
    GENERAL TOOL & DIE CORP          CLOSELY HELD ST CH0001081        1409
      90 SH
    EAGLE CONSTR & DEV CORP-48% INT  CLOSELY HELD ST CH0001099         407
       1 SH
    EMPLOYERS SEC (MEIS VENTURES)    CLOSELY HELD ST CH0001149           0
   50000 SH
    EMPLOYERS SEC HLDG CO            CLOSELY HELD ST CH0001156           0
   42234 SH
    EMPLOYERS SEC (MEIS VENTURES)    CLOSELY HELD ST CH0001180           0
  129101 SH
    EVEREST RE GROUP LTD             COMMON STOCK    G3223R108         183
    2168 SH
    EVEREST RE GROUP LTD             COMMON STOCK    G3223R108         429
    5075 SH
    INGERSOLL                        COMMON STOCK    G4776G101        3184
   46900 SH
    INGERSOLL                        COMMON STOCK    G4776G101         750
   11055 SH
    FLEXTRONICS INTL LTD             COMMON STOCK    Y2573F102         132
    8947 SH
    FLEXTRONICS INTL LTD             COMMON STOCK    Y2573F102          27
    1793 SH


    NAME OF ISSUER                  INVSTMT OTHER         VOTING AUTHORITY

    SECURITY NAME                   DISCRTN MANAGERS      SOLE         SHARED
     NONE


    AFLAC INC                       SOLE                  76276

    AFLAC INC                       SOLE
     1676
    AFLAC INC                       OTHER                 6632

    AFLAC INC                       OTHER
     23020
    ABBOTT LABS                     SOLE                  104548

    ABBOTT LABS                     SOLE
     2145
    ABBOTT LABS                     OTHER                 13790

    ABBOTT LABS                     OTHER
     16700
    ABBOTT LABS                     DEF/OTH               3900

    ADOBE SYS INC                   SOLE                  3590

    ADOBE SYS INC                   OTHER                 590

    ADOBE SYS INC                   OTHER
     5400
    AFFILIATED COMPUTER             SOLE                  27585

    AFFILIATED COMPUTER             SOLE
     225
    AFFILIATED COMPUTER             OTHER                 1550

    AFFILIATED COMPUTER             OTHER
     7300
    ALBERTO                         SOLE                  64796

    ALBERTO                         SOLE
     415
    ALBERTO                         OTHER                 1857

    ALBERTO                         OTHER
     7350
    ALCOA INC                       SOLE                  85610

    ALCOA INC                       SOLE
     818
    ALCOA INC                       OTHER                 10776

    ALCOA INC                       OTHER
     12136
    ALLSTATE CORP                   SOLE                  3950

    ALLSTATE CORP                   SOLE
     556
    ALLSTATE CORP                   OTHER                 184

    ALTRIA GROUP INC                SOLE                  49741

    ALTRIA GROUP INC                SOLE
     2875
    ALTRIA GROUP INC                OTHER                 10271

    ALTRIA GROUP INC                OTHER
     284
    AMEREN CORP                     SOLE                  1054

    AMEREN CORP                     SOLE
     2369
    AMEREN CORP                     OTHER                 1680

    AMERN EXPRESS CO                SOLE                  10934

    AMERN EXPRESS CO                OTHER                 3375

    AMERN INTL GROUP INC            SOLE                  173374

    AMERN INTL GROUP INC            SOLE
     1206
    AMERN INTL GROUP INC            OTHER                 21619

    AMERN INTL GROUP INC            OTHER
     15961
    AMERN INTL GROUP INC            DEF/OTH               1800

    AMGEN INC                       SOLE                  17227

    AMGEN INC                       SOLE
     320
    AMGEN INC                       OTHER                 1083

    ANALOG DEVICES INC              SOLE                  94760

    ANALOG DEVICES INC              SOLE
     2255
    ANALOG DEVICES INC              OTHER                 4324

    ANALOG DEVICES INC              OTHER
     600
    ANHEUSER BUSCH CO               SOLE                  28779

    ANHEUSER BUSCH CO               SOLE
     1600
    ANHEUSER BUSCH CO               OTHER                 3224

    ANHEUSER BUSCH CO               DEF/OTH               3000

    ANTHEM                          SOLE                  73192

    ANTHEM                          SOLE
     463
    ANTHEM                          OTHER                 3370

    ANTHEM                          OTHER
     4737
    APACHE CORP                     SOLE                  56790

    APACHE CORP                     SOLE
     1115
    APACHE CORP                     OTHER                 3309

    APACHE CORP                     OTHER
     4300
    APOLLO GROUP                    SOLE                  34119

    APOLLO GROUP                    SOLE
     465
    APOLLO GROUP                    OTHER                 1907

    APPLIED MATLS INC               SOLE                  12285

    APPLIED MATLS INC               OTHER                 2718

    AUTOMATIC DATA PROCESSING INC   SOLE                  28510

    AUTOMATIC DATA PROCESSING INC   SOLE
     625
    AUTOMATIC DATA PROCESSING INC   OTHER                 1089

    AUTOMATIC DATA PROCESSING INC   OTHER
     10000
    AUTOMATIC DATA PROCESSING INC   DEF/OTH               3000

    AUTOZONE INC                    SOLE                  22945

    AUTOZONE INC                    SOLE
     220
    AUTOZONE INC                    OTHER                 280

    AUTOZONE INC                    OTHER
     25
    AVALONBAY CMNTYS INC            SOLE                  20930

    AVALONBAY CMNTYS INC            DEFINED               400

    AVALONBAY CMNTYS INC            OTHER                 2725

    AVALONBAY CMNTYS INC            OTHER
     4200
    AVERY DENNISON CORP             SOLE                  23895

    AVERY DENNISON CORP             SOLE
     275
    AVERY DENNISON CORP             OTHER                 1669

    AVERY DENNISON CORP             OTHER
     13500
    AVERY DENNISON CORP             DEF/OTH               400

    AVON PRODS INC                  SOLE                  60999

    AVON PRODS INC                  SOLE
     430
    AVON PRODS INC                  OTHER                 10569

    AVON PRODS INC                  OTHER
     3116
    BB & T CORP                     SOLE                  122153

    BB & T CORP                     SOLE
     1475
    BB & T CORP                     DEFINED               500

    BB & T CORP                     OTHER                 7484

    BB & T CORP                     OTHER
     12000
    BJ SVCS CO                      SOLE                  17651

    BJ SVCS CO                      OTHER                 350

    BJ SVCS CO                      OTHER
     100
    BP PLC SPONS                    SOLE                  326143

    BP PLC SPONS                    SOLE
     6892
    BP PLC SPONS                    DEFINED               200

    BP PLC SPONS                    OTHER                 87492

    BP PLC SPONS                    OTHER                              24744

    BP PLC SPONS                    OTHER
     24669
    BP PLC SPONS                    DEF/OTH               400

    BALL CORP                       SOLE                  148730

    BALL CORP                       DEFINED
     1000
    BALL CORP                       OTHER                 2176

    BALL CORP                       OTHER                              205000

    BALL CORP                       DEF/OTH               202024

    BK OF AMER CORP                 SOLE                  5830

    BK OF AMER CORP                 OTHER                 480

    BANK ONE CORP                   SOLE                  19776

    BANK ONE CORP                   SOLE
     265
    BANK ONE CORP                   OTHER                 9405

    BARR LABS INC                   SOLE                  63026

    BARR LABS INC                   SOLE
     1054
    BARR LABS INC                   OTHER                 3995

    BARR LABS INC                   OTHER
     483
    BAXTER INTERNATIONAL INC        SOLE                  47070

    BAXTER INTERNATIONAL INC        SOLE
     725
    BAXTER INTERNATIONAL INC        OTHER                 2570

    BAXTER INTERNATIONAL INC        OTHER
     400
    BED BATH & BEYOND INC           SOLE                  126697

    BED BATH & BEYOND INC           SOLE
     1748
    BED BATH & BEYOND INC           OTHER                 11364

    BED BATH & BEYOND INC           OTHER
     13216
    BELLSOUTH CORP                  SOLE                  36577

    BELLSOUTH CORP                  SOLE
     400
    BELLSOUTH CORP                  OTHER                 17937

    BELLSOUTH CORP                  OTHER
     3520
    BEST BUY INC                    SOLE                  40163

    BEST BUY INC                    SOLE
     276
    BEST BUY INC                    OTHER                 6775

    BEST BUY INC                    OTHER
     530
    BIOMET INC                      SOLE                  123455

    BIOMET INC                      SOLE
     4066
    BIOMET INC                      DEFINED               600

    BIOMET INC                      OTHER                 20755

    BIOMET INC                      OTHER
     4350
    BIOGEN IDEC INC                 SOLE                  8304

    BIOGEN IDEC INC                 OTHER                 415

    BLUE RIVER BANCSHARES INC       DEFINED
     5000
    BLUE RIVER BANCSHARES INC       OTHER
     5200
    BOEING CO                       SOLE                  6138

    BOEING CO                       DEFINED               224

    BOEING CO                       OTHER                 920

    BOEING CO                       DEF/OTH               900

    BRINKER INTL INC                SOLE                  16350

    BRINKER INTL INC                OTHER                 1016

    BRINKER INTL INC                OTHER
     18000
    BRISTOL MYERS SQUIBB CORP       SOLE                  90800

    BRISTOL MYERS SQUIBB CORP       SOLE
     150
    BRISTOL MYERS SQUIBB CORP       OTHER                 56080

    BURLINGTON RESOURCES INC        SOLE                  44653

    BURLINGTON RESOURCES INC        SOLE
     429
    BURLINGTON RESOURCES INC        OTHER                 4484

    BURLINGTON RESOURCES INC        OTHER
     5560
    CACI INTL INC  CL A             SOLE                  58870

    CACI INTL INC  CL A             SOLE
     275
    CACI INTL INC  CL A             OTHER                 1820

    CACI INTL INC  CL A             OTHER
     8050
    CARDINAL HEALTH INC             SOLE                  70163

    CARDINAL HEALTH INC             SOLE
     520
    CARDINAL HEALTH INC             OTHER                 5136

    CARDINAL HEALTH INC             OTHER
     16067
    CARNIVAL CORP                   SOLE                  97842

    CARNIVAL CORP                   SOLE
     2332
    CARNIVAL CORP                   DEFINED               300

    CARNIVAL CORP                   OTHER                 6571

    CARNIVAL CORP                   OTHER
     15000
    CATERPILLAR INC                 SOLE                  26494

    CATERPILLAR INC                 SOLE
     125
    CATERPILLAR INC                 OTHER                 6325

    CHEVRONTEXACO CORP              SOLE                  37384

    CHEVRONTEXACO CORP              SOLE
     797
    CHEVRONTEXACO CORP              DEFINED               70

    CHEVRONTEXACO CORP              OTHER                 12255

    CHEVRONTEXACO CORP              OTHER
     770
    CHOICE                          SOLE                  133324

    CHOICE                          SOLE
     705
    CHOICE                          OTHER                 4550

    CHOICE                          OTHER
     15200
    CHOICEPOINT INC                 SOLE                  10159

    CHOICEPOINT INC                 OTHER                 256

    CHURCH & DWIGHT INC             SOLE                  159838

    CHURCH & DWIGHT INC             SOLE
     1686
    CHURCH & DWIGHT INC             OTHER                 4480

    CHURCH & DWIGHT INC             OTHER
     16841
    CINERGY CORP                    SOLE                  59054

    CINERGY CORP                    SOLE
     3856
    CINERGY CORP                    OTHER                 21633

    CINERGY CORP                    OTHER
     14597
    CINERGY CORP                    DEF/OTH               500

    CISCO SYSTEMS INC               SOLE                  542615

    CISCO SYSTEMS INC               SOLE
     6991
    CISCO SYSTEMS INC               DEFINED               500

    CISCO SYSTEMS INC               OTHER                 62715

    CISCO SYSTEMS INC               OTHER
     22300
    CINTAS CORP                     SOLE                  16125

    CINTAS CORP                     SOLE
     550
    CINTAS CORP                     OTHER                 540

    CITIGROUP INC                   SOLE                  252435

    CITIGROUP INC                   SOLE
     4635
    CITIGROUP INC                   DEFINED               200

    CITIGROUP INC                   OTHER                 36004

    CITIGROUP INC                   OTHER
     24126
    COCA COLA CO                    SOLE                  56152

    COCA COLA CO                    SOLE
     8217
    COCA COLA CO                    OTHER                 7385

    COCA COLA CO                    OTHER
     2800
    COLGATE PALMOLIVE CO            SOLE                  72679

    COLGATE PALMOLIVE CO            SOLE
     688
    COLGATE PALMOLIVE CO            OTHER                 5049

    COLGATE PALMOLIVE CO            OTHER
     9895
    CONAGRA FOODS INC               SOLE                  11065

    CONAGRA FOODS INC               DEFINED               1620

    CONAGRA FOODS INC               OTHER                 945

    CONSTELLATION BRANDS INC        SOLE                  124938

    CONSTELLATION BRANDS INC        SOLE
     946
    CONSTELLATION BRANDS INC        OTHER                 8988

    CONSTELLATION BRANDS INC        OTHER
     1581
    DNP                             SOLE                  9295

    DNP                             OTHER                 5870

    DST SYS INC                     SOLE                  15030

    DST SYS INC                     SOLE
     275
    DST SYS INC                     OTHER                 1650

    DST SYS INC                     OTHER
     9400
    DANAHER CORP                    SOLE                  67970

    DANAHER CORP                    SOLE
     230
    DANAHER CORP                    OTHER                 6754

    DANAHER CORP                    OTHER
     11844
    DARDEN RESTAURANTS INC          SOLE                  53471

    DARDEN RESTAURANTS INC          SOLE
     150
    DARDEN RESTAURANTS INC          OTHER                 4255

    DARDEN RESTAURANTS INC          OTHER
     20800
    DELL INC                        SOLE                  233675

    DELL INC                        SOLE
     3948
    DELL INC                        OTHER                 16143

    DELL INC                        OTHER
     22426
    DENTSPLY INTL INC               SOLE                  24050

    DENTSPLY INTL INC               SOLE
     225
    DENTSPLY INTL INC               OTHER                 1365

    DENTSPLY INTL INC               OTHER
     2050
    DIEBOLD INC                     SOLE                  168009

    DIEBOLD INC                     SOLE
     1643
    DIEBOLD INC                     OTHER                 9391

    DIEBOLD INC                     OTHER
     15276
    DISNEY WALT CO                  SOLE                  23780

    DISNEY WALT CO                  SOLE
     425
    DISNEY WALT CO                  OTHER                 8232

    DISNEY WALT CO                  OTHER
     1100
    DOVER CORP                      SOLE                  5745

    DOVER CORP                      SOLE
     150
    DOVER CORP                      OTHER                 1390

    DOVER CORP                      DEF/OTH               2000

    DOW CHEM CO                     SOLE                  18331

    DOW CHEM CO                     OTHER                 8880

    DOW CHEM CO                     OTHER
     600
    DOW CHEM CO                     DEF/OTH               800

    DU PONT E I DE NEMOURS & CO     SOLE                  31471

    DU PONT E I DE NEMOURS & CO     OTHER                 5350

    DU PONT E I DE NEMOURS & CO     OTHER
     600
    EMC CORPORATION                 SOLE                  273059

    EMC CORPORATION                 SOLE
     5005
    EMC CORPORATION                 DEFINED               700

    EMC CORPORATION                 OTHER                 28010

    EMC CORPORATION                 OTHER
     3145
    EBAY INC                        SOLE                  11220

    EBAY INC                        SOLE
     100
    EBAY INC                        OTHER                 50

    ECOLAB INC                      SOLE                  83039

    ECOLAB INC                      SOLE
     598
    ECOLAB INC                      OTHER                 3653

    ECOLAB INC                      OTHER
     929
    EMERSON ELEC CO                 SOLE                  33072

    EMERSON ELEC CO                 SOLE
     850
    EMERSON ELEC CO                 OTHER                 2246

    EMERSON ELEC CO                 OTHER
     1000
    EQUITY OFFICE PPTYS TR          SOLE                  178971

    EQUITY OFFICE PPTYS TR          SOLE
     2408
    EQUITY OFFICE PPTYS TR          OTHER                 8989

    EQUITY OFFICE PPTYS TR          OTHER
     23050
    EXPEDITORS INTL WASH INC        SOLE                  90142

    EXPEDITORS INTL WASH INC        SOLE
     1472
    EXPEDITORS INTL WASH INC        OTHER                 8750

    EXPEDITORS INTL WASH INC        OTHER
     10839
    EXPRESS SCRIPTS INC             SOLE                  42649

    EXPRESS SCRIPTS INC             SOLE
     367
    EXPRESS SCRIPTS INC             OTHER                 2291

    EXPRESS SCRIPTS INC             OTHER
     9794
    EXXON MOBIL CORP                SOLE                  763047

    EXXON MOBIL CORP                SOLE                               1430

    EXXON MOBIL CORP                SOLE
     5347
    EXXON MOBIL CORP                DEFINED               200

    EXXON MOBIL CORP                OTHER                 165001

    EXXON MOBIL CORP                OTHER
     49286
    EXXON MOBIL CORP                DEF/OTH               1000

    FPL GROUP INC                   SOLE                  48367

    FPL GROUP INC                   SOLE
     950
    FPL GROUP INC                   OTHER                 11334

    FPL GROUP INC                   OTHER
     1000
    FAMILY DOLLAR STORES            SOLE                  11594

    FAMILY DOLLAR STORES            SOLE
     113
    FAMILY DOLLAR STORES            OTHER                 1406

    FAMILY DOLLAR STORES            OTHER
     196
    FED HOME LN MTG                 SOLE                  81625

    FED HOME LN MTG                 SOLE
     1130
    FED HOME LN MTG                 OTHER                 2581

    FED HOME LN MTG                 OTHER
     7300
    FED NAT MTG ASSOC               SOLE                  19809

    FED NAT MTG ASSOC               OTHER                 9723

    FED NAT MTG ASSOC               OTHER
     4075
    FEDERATED INVESTORS INC         SOLE                  42854

    FEDERATED INVESTORS INC         SOLE
     355
    FEDERATED INVESTORS INC         OTHER                 2050

    FEDERATED INVESTORS INC         OTHER
     16400
    FIDELITY                        OTHER                 366

    FIDELITY                        OTHER
     11799
    FIFTH THIRD BANCORP             SOLE                  121772

    FIFTH THIRD BANCORP             SOLE
     492
    FIFTH THIRD BANCORP             OTHER                 23844

    FIFTH THIRD BANCORP             OTHER
     2740
    1ST FINL CORP                   SOLE                  121117

    1ST FINL CORP                   OTHER                 35824

    1ST FINL CORP                   OTHER
     6146
    FIRST MERCHANTS CORP            SOLE                  4559

    FIRST MERCHANTS CORP            SOLE
     1768
    FIRST MERCHANTS CORP            OTHER                 3715

    FIRST MERCHANTS CORP            OTHER
     33498
    FLORIDA                         SOLE                  36188

    FLORIDA                         SOLE
     425
    FLORIDA                         OTHER                 2016

    FLORIDA                         OTHER
     9300
    FOREST LABS INC                 SOLE                  91310

    FOREST LABS INC                 SOLE
     1307
    FOREST LABS INC                 OTHER                 2362

    FORTUNE BRANDS INC              SOLE                  8212

    FORTUNE BRANDS INC              SOLE
     50
    FORTUNE BRANDS INC              OTHER                 1625

    FORTUNE BRANDS INC              OTHER
     250
    FRANKLIN RES INC                SOLE                  26446

    FRANKLIN RES INC                SOLE
     515
    FRANKLIN RES INC                OTHER                 940

    GALLAGHER ARTHUR J & CO         SOLE                  7363

    GALLAGHER ARTHUR J & CO         SOLE
     100
    GALLAGHER ARTHUR J & CO         OTHER                 600

    GENERAL DYNAMICS CORP           SOLE                  35793

    GENERAL DYNAMICS CORP           SOLE
     455
    GENERAL DYNAMICS CORP           OTHER                 3161

    GENERAL DYNAMICS CORP           OTHER
     3425
    GEN ELEC CO                     SOLE                  676234

    GEN ELEC CO                     SOLE
     14652
    GEN ELEC CO                     DEFINED               1675

    GEN ELEC CO                     DEFINED
     1100
    GEN ELEC CO                     OTHER                 114305

    GEN ELEC CO                     OTHER
     49284
    GEN ELEC CO                     DEF/OTH               700

    GEN MTRS CORP                   SOLE                  5433

    GEN MTRS CORP                   SOLE
     200
    GEN MTRS CORP                   OTHER                 6028

    GERMAN AMERN BANCORP            SOLE                  26139

    GERMAN AMERN BANCORP            SOLE
     2719
    GERMAN AMERN BANCORP            OTHER                 105

    GERMAN AMERN BANCORP            OTHER
     288
    GILLETTE                        SOLE                  20665

    GILLETTE                        OTHER                 14123

    GLAXOSMITHKLINE PLC             SOLE                  10449

    GLAXOSMITHKLINE PLC             SOLE
     400
    GLAXOSMITHKLINE PLC             OTHER                 2554

    GLAXOSMITHKLINE PLC             OTHER
     666
    GOLDMAN SACHS                   SOLE                  69786

    GOLDMAN SACHS                   SOLE
     891
    GOLDMAN SACHS                   OTHER                 4200

    GOLDMAN SACHS                   OTHER
     775
    GUIDANT CORP                    SOLE                  11526

    GUIDANT CORP                    OTHER                 771

    HARLEY DAVIDSON INC             SOLE                  42502

    HARLEY DAVIDSON INC             SOLE
     525
    HARLEY DAVIDSON INC             OTHER                 1775

    HARLEY DAVIDSON INC             OTHER
     12375
    HARLEY DAVIDSON INC             DEF/OTH               100

    HARRAH'S ENTNT INC              SOLE                  33802

    HARRAH'S ENTNT INC              SOLE
     255
    HARRAH'S ENTNT INC              OTHER                 1475

    HARRAH'S ENTNT INC              OTHER
     1050
    HEALTH MGMT ASSOC INC           SOLE                  201637

    HEALTH MGMT ASSOC INC           SOLE
     1754
    HEALTH MGMT ASSOC INC           OTHER                 15962

    HEALTH MGMT ASSOC INC           OTHER
     20700
    HEWLETT PACKARD CO              SOLE                  71595

    HEWLETT PACKARD CO              SOLE
     190
    HEWLETT PACKARD CO              OTHER                 24167

    HEWLETT PACKARD CO              OTHER
     25907
    HILLENBRAND INDUSTRIES INC      SOLE                  6390

    HILLENBRAND INDUSTRIES INC      OTHER                 800

    HOME DEPOT INC                  SOLE                  80871

    HOME DEPOT INC                  SOLE
     550
    HOME DEPOT INC                  OTHER                 11998

    HOME DEPOT INC                  OTHER
     500
    IL                              SOLE                  96722

    IL                              SOLE
     943
    IL                              OTHER                 5783

    IL                              OTHER
     13855
    IL                              DEF/OTH               400

    IMPERIAL PETROLEUM INC          OTHER                 300000

    ING GROUP N V                   SOLE                  20000

    INTEL CORP                      SOLE                  508912

    INTEL CORP                      SOLE
     4910
    INTEL CORP                      DEFINED               400

    INTEL CORP                      OTHER                 73330

    INTEL CORP                      OTHER
     37827
    INTEL CORP                      DEF/OTH               1600

    INTEGRA BK CORP                 SOLE                  19404

    INTEGRA BK CORP                 SOLE
     2712
    INTEGRA BK CORP                 DEFINED               300

    INTEGRA BK CORP                 OTHER                 15443

    INTEGRA BK CORP                 OTHER
     915
    INTERCONTINENTAL HLDGS INC      OTHER                 10000

    INTL BUSINESS MACHS CORP        SOLE                  54534

    INTL BUSINESS MACHS CORP        SOLE
     1487
    INTL BUSINESS MACHS CORP        OTHER                 9954

    INTL BUSINESS MACHS CORP        OTHER
     9792
    INTL GAME TECH                  SOLE                  15760

    INTL GAME TECH                  SOLE
     100
    INTL GAME TECH                  OTHER                 2500

    INTL PAPER CO                   SOLE                  141122

    INTL PAPER CO                   OTHER                 162703

    INTL PAPER CO                   OTHER
     244
    ISHARES RUSSELL 2000 INDEX FD   SOLE                  11400

    JP MORGAN CHASE & CO            SOLE                  57881

    JP MORGAN CHASE & CO            SOLE
     1147
    JP MORGAN CHASE & CO            OTHER                 9225

    JACOBS ENGR GROUP INC           SOLE                  96204

    JACOBS ENGR GROUP INC           SOLE
     2970
    JACOBS ENGR GROUP INC           OTHER                 3727

    JACOBS ENGR GROUP INC           OTHER
     10844
    JARDEN                          SOLE                  7800

    JARDEN                          DEFINED
     30000
    JARDEN                          OTHER                 600

    JARDEN                          DEF/OTH               76845

    JEFFERSON PILOT CORP            SOLE                  56377

    JEFFERSON PILOT CORP            SOLE
     597
    JEFFERSON PILOT CORP            OTHER                 8251

    JEFFERSON PILOT CORP            OTHER
     16475
    JEFFERSON PILOT CORP            DEF/OTH               1350

    JOHNSON & JOHNSON               SOLE                  241485

    JOHNSON & JOHNSON               SOLE
     2704
    JOHNSON & JOHNSON               DEFINED               150

    JOHNSON & JOHNSON               OTHER                 43204

    JOHNSON & JOHNSON               OTHER
     22875
    JOHNSON CTLS INC                SOLE                  38692

    JOHNSON CTLS INC                SOLE
     460
    JOHNSON CTLS INC                OTHER                 2610

    JOHNSON CTLS INC                OTHER
     12275
    JOHNSON CTLS INC                DEF/OTH               100

    KEYCORP                         SOLE                  15820

    KIMBALL INTL INC                SOLE                  30319

    KIMBALL INTL INC                SOLE
     26988
    KIMBALL INTL INC                OTHER                 308

    KIMBALL INTL INC                SOLE                  76496

    KIMBALL INTL INC                SOLE
     1500
    KOHLS CORP                      SOLE                  96342

    KOHLS CORP                      SOLE
     1232
    KOHLS CORP                      DEFINED               150

    KOHLS CORP                      OTHER                 10441

    KOHLS CORP                      OTHER
     5273
    L-3 COMMUNICATIONS HLDGS INC    SOLE                  123500

    L-3 COMMUNICATIONS HLDGS INC    SOLE
     1385
    L-3 COMMUNICATIONS HLDGS INC    OTHER                 3893

    L-3 COMMUNICATIONS HLDGS INC    OTHER
     8100
    LANCASTER COLONY CORP           SOLE                  6000

    LANCASTER COLONY CORP           OTHER
     9000
    LEGG MASON INC                  SOLE                  42425

    LEGG MASON INC                  SOLE
     865
    LEGG MASON INC                  DEFINED               200

    LEGG MASON INC                  OTHER                 1850

    LEGG MASON INC                  OTHER
     3300
    LEXMARK INTL INC                SOLE                  1835

    LEXMARK INTL INC                OTHER
     2500
    LILLY ELI & CO                  SOLE                  101318

    LILLY ELI & CO                  SOLE
     2000
    LILLY ELI & CO                  DEFINED               250

    LILLY ELI & CO                  OTHER                 24533

    LILLY ELI & CO                  OTHER                              800

    LILLY ELI & CO                  OTHER
     12410
    LIMITED BRANDS                  SOLE                  89726

    LIMITED BRANDS                  SOLE
     1350
    LIMITED BRANDS                  OTHER                 7935

    LIMITED BRANDS                  OTHER
     600
    LINCARE HOLDINGS INC            SOLE                  40797

    LINCARE HOLDINGS INC            SOLE
     100
    LINCARE HOLDINGS INC            OTHER                 3797

    LINCARE HOLDINGS INC            OTHER
     15600
    LINCOLN NATL CORP               SOLE                  17872

    LINCOLN NATL CORP               OTHER                 32038

    LINEAR TECHNOLOGY CORP          SOLE                  54027

    LINEAR TECHNOLOGY CORP          SOLE
     700
    LINEAR TECHNOLOGY CORP          OTHER                 4772

    LINEAR TECHNOLOGY CORP          OTHER
     3500
    LIZ CLAIBORNE INC               SOLE                  46235

    LIZ CLAIBORNE INC               SOLE
     270
    LIZ CLAIBORNE INC               OTHER                 2420

    LIZ CLAIBORNE INC               OTHER
     6850
    LOWE'S COMPANIES INC            SOLE                  218823

    LOWE'S COMPANIES INC            SOLE
     3704
    LOWE'S COMPANIES INC            OTHER                 21542

    LOWE'S COMPANIES INC            OTHER
     12660
    MBIA INC                        SOLE                  54654

    MBIA INC                        SOLE
     785
    MBIA INC                        OTHER                 3707

    MBIA INC                        OTHER
     8000
    MBNA CORP                       SOLE                  97883

    MBNA CORP                       SOLE
     900
    MBNA CORP                       OTHER                 7597

    MBNA CORP                       OTHER
     27050
    MDU RESOURCES                   SOLE                  3375

    MDU RESOURCES                   OTHER                 74358

    MGIC INVT CORP                  SOLE                  5377

    MGIC INVT CORP                  OTHER                 286

    MANULIFE FINL CORP              SOLE                  22885

    MANULIFE FINL CORP              OTHER                 1209

    MARSH & MCLENNAN CO INC         SOLE                  2250

    MARSH & MCLENNAN CO INC         OTHER                 2500

    MARSH SUPERMARKETS INC          OTHER                 59419

    MARSH SUPERMARKETS INC          OTHER                 78241

    MCDONALDS CORP                  SOLE                  60317

    MCDONALDS CORP                  SOLE
     800
    MCDONALDS CORP                  OTHER                 1750

    MCGRAW HILL COMPANIES INC       SOLE                  36738

    MCGRAW HILL COMPANIES INC       SOLE
     759
    MCGRAW HILL COMPANIES INC       DEFINED               100

    MCGRAW HILL COMPANIES INC       OTHER                 2779

    MCGRAW HILL COMPANIES INC       OTHER
     8435
    MEDTRONIC INC                   SOLE                  126710

    MEDTRONIC INC                   SOLE
     1490
    MEDTRONIC INC                   OTHER                 15100

    MEDTRONIC INC                   OTHER
     13941
    MERCK & CO INC                  SOLE                  54267

    MERCK & CO INC                  SOLE
     745
    MERCK & CO INC                  OTHER                 8225

    MERCK & CO INC                  OTHER
     50
    MERCK & CO INC                  DEF/OTH               2000

    MERRILL LYNCH & CO INC          SOLE                  690

    MERRILL LYNCH & CO INC          OTHER                 70460

    MICROSOFT CORP                  SOLE                  436616

    MICROSOFT CORP                  SOLE
     10449
    MICROSOFT CORP                  OTHER                 62245

    MICROSOFT CORP                  OTHER
     39806
    S&P 400 MIDCAP TR               SOLE                  66430

    S&P 400 MIDCAP TR               SOLE
     800
    S&P 400 MIDCAP TR               OTHER                 7680

    S&P 400 MIDCAP TR               OTHER
     16576
    MOHAWK INDS INC                 SOLE                  23415

    MOHAWK INDS INC                 SOLE
     345
    MOHAWK INDS INC                 OTHER                 1267

    MUTUALFIRST FINANCIAL INC       SOLE                  100

    MUTUALFIRST FINANCIAL INC       SOLE
     50
    MUTUALFIRST FINANCIAL INC       DEFINED
     25700
    MUTUALFIRST FINANCIAL INC       OTHER                 1000

    NATL CITY CORP                  SOLE                  9058

    NATL CITY CORP                  DEFINED               6568

    NATL CITY CORP                  OTHER                 1000

    NATL CITY CORP                  OTHER
     323117
    NATIONAL FUEL GAS CO            SOLE                  82055

    NATIONAL FUEL GAS CO            SOLE
     374
    NATIONAL FUEL GAS CO            DEFINED               400

    NATIONAL FUEL GAS CO            OTHER                 6730

    NATIONAL FUEL GAS CO            OTHER
     21876
    NATIONAL FUEL GAS CO            DEF/OTH               800

    NEWMONT MNG CORP                SOLE                  66970

    NEWMONT MNG CORP                SOLE
     1155
    NEWMONT MNG CORP                OTHER                 3843

    NEWMONT MNG CORP                OTHER
     6000
    NEXTEL COMMUNICATIONS INC       SOLE                  36830

    NEXTEL COMMUNICATIONS INC       SOLE
     105
    NEXTEL COMMUNICATIONS INC       OTHER                 4240

    NEXTEL COMMUNICATIONS INC       OTHER
     3875
    NISOURCE INC                    SOLE                  10666

    NISOURCE INC                    OTHER                 1684

    NOKIA CORP                      SOLE                  42550

    NOKIA CORP                      SOLE
     1925
    NOKIA CORP                      OTHER                 950

    NOBLE                           SOLE                  11190

    NOBLE                           SOLE
     255
    NOBLE                           OTHER                 400

    NORFOLK SOUTHERN CORP           SOLE                  14897

    NORFOLK SOUTHERN CORP           OTHER                 908

    NORTHERN STS PWR CO             SOLE                  20000

    NORTHERN TRUST CORP             SOLE                  9309

    NORTHERN TRUST CORP             SOLE
     4680
    NORTHERN TRUST CORP             OTHER                 400

    NORTHERN TRUST CORP             OTHER
     5500
    NORTHROP GRUMMAN                SOLE                  1721

    NORTHROP GRUMMAN                OTHER                 669

    ONB CAP TRUST I                 SOLE                  9101

    ONB CAP TRUST I                 OTHER                 17690

    ONB CAP TRUST I                 OTHER
     4000
    ONB CAP TRUST II 8% PFD         SOLE                  26681

    ONB CAP TRUST II 8% PFD         SOLE
     375
    ONB CAP TRUST II 8% PFD         OTHER                 11830

    OLD NATIONAL BANCORP            SOLE                  811077

    OLD NATIONAL BANCORP            SOLE
     1753793
    OLD NATIONAL BANCORP            DEFINED               1214

    OLD NATIONAL BANCORP            DEFINED
     6076
    OLD NATIONAL BANCORP            OTHER                 463762

    OLD NATIONAL BANCORP            OTHER                              32338

    OLD NATIONAL BANCORP            OTHER
     525145
    OLD NATIONAL BANCORP            DEF/OTH               42000

    PNC FINL SVCS GROUP             SOLE                  7267

    PNC FINL SVCS GROUP             OTHER                 300

    PNC FINL SVCS GROUP             OTHER
     350
    PPG INDS INC                    SOLE                  4400

    PPG INDS INC                    OTHER                 3008

    PANAMERICAN BANCORP             OTHER
     10000
    PAYCHEX INC                     SOLE                  37808

    PAYCHEX INC                     SOLE
     400
    PAYCHEX INC                     OTHER                 1150

    PAYCHEX INC                     OTHER
     22000
    PEPSIAMERICAS INC               SOLE                  10745

    PEPSICO INC                     SOLE                  271317

    PEPSICO INC                     SOLE
     2112
    PEPSICO INC                     OTHER                 33345

    PEPSICO INC                     OTHER
     14760
    PFIZER INC                      SOLE                  324794

    PFIZER INC                      SOLE
     3094
    PFIZER INC                      DEFINED               200

    PFIZER INC                      OTHER                 58190

    PFIZER INC                      OTHER
     28154
    POGO PRODUCING CO               SOLE                  36120

    POGO PRODUCING CO               SOLE
     1175
    POGO PRODUCING CO               OTHER                 2155

    PRAXAIR INC                     SOLE                  87803

    PRAXAIR INC                     SOLE
     540
    PRAXAIR INC                     OTHER                 12120

    PRAXAIR INC                     OTHER
     15314
    T ROWE PRICE GROUP INC          SOLE                  42928

    T ROWE PRICE GROUP INC          SOLE
     950
    T ROWE PRICE GROUP INC          OTHER                 2160

    T ROWE PRICE GROUP INC          OTHER
     6850
    PROCTER & GAMBLE CO             SOLE                  22366

    PROCTER & GAMBLE CO             SOLE
     2455
    PROCTER & GAMBLE CO             DEFINED               100

    PROCTER & GAMBLE CO             OTHER                 2881

    PROCTER & GAMBLE CO             OTHER
     6421
    PROVIDIAN FINL CORP             SOLE                  6000

    PROVIDIAN FINL CORP             OTHER                 6900

    PRUDENTIAL FINL INC             SOLE                  13235

    PRUDENTIAL FINL INC             OTHER                 500

    QUALCOMM INC                    SOLE                  149455

    QUALCOMM INC                    SOLE
     1540
    QUALCOMM INC                    OTHER                 3865

    QUALCOMM INC                    OTHER
     16080
    QUESTAR CORP                    OTHER                 14000

    ROYAL DUTCH PETE CO             SOLE                  69362

    ROYAL DUTCH PETE CO             SOLE
     3024
    ROYAL DUTCH PETE CO             OTHER                 4577

    ROYAL DUTCH PETE CO             OTHER
     9077
    ROYAL DUTCH PETE CO             DEF/OTH               200

    SBC COMMUNICATIONS INC          SOLE                  55753

    SBC COMMUNICATIONS INC          SOLE
     1452
    SBC COMMUNICATIONS INC          OTHER                 59773

    SBC COMMUNICATIONS INC          OTHER
     1233
    SPDR TR UNIT SER 1              SOLE                  78925

    SPDR TR UNIT SER 1              SOLE
     2424
    SPDR TR UNIT SER 1              OTHER                 6282

    SPDR TR UNIT SER 1              OTHER
     14378
    SARA LEE CORP                   SOLE                  24623

    SARA LEE CORP                   SOLE
     4400
    SARA LEE CORP                   OTHER                 2900

    SARA LEE CORP                   DEF/OTH               4500

    SCHLUMBERGER LTD                SOLE                  2865

    SCHLUMBERGER LTD                OTHER                 1014

    SCHLUMBERGER LTD                OTHER
     827
    AMEX                            SOLE                  72400

    AMEX                            OTHER                 2100

    AMEX                            OTHER
     11400
    AMEX                            SOLE                  15000

    AMEX                            SOLE
     100
    AMEX                            OTHER                 1550

    AMEX                            OTHER
     15000
    AMEX                            SOLE                  6690

    AMEX                            SOLE                  99986

    AMEX                            SOLE
     2475
    AMEX                            OTHER                 1500

    AMEX                            OTHER
     11000
    AMEX                            SOLE                  36045

    AMEX                            OTHER                 5200

    AMEX                            OTHER
     10000
    AMEX                            SOLE                  314683

    AMEX                            SOLE
     5610
    AMEX                            OTHER                 12776

    AMEX                            OTHER
     38500
    SIEBEL SYS INC                  SOLE                  12561

    SIEBEL SYS INC                  OTHER                 288

    SIGMA ALDRICH CORP              SOLE                  30919

    SIGMA ALDRICH CORP              SOLE
     375
    SIGMA ALDRICH CORP              OTHER                 625

    SIGMA ALDRICH CORP              OTHER
     8250
    SMITH INTL INC                  SOLE                  39155

    SMITH INTL INC                  SOLE
     625
    SMITH INTL INC                  OTHER                 11630

    SMITH INTL INC                  OTHER
     9600
    SOUTHERN CO                     SOLE                  7804

    SOUTHERN CO                     OTHER                 3600

    SOUTHERN CO                     OTHER
     500
    SOUTHTRUST CORP                 SOLE                  284639

    SOUTHTRUST CORP                 SOLE
     6163
    SOUTHTRUST CORP                 OTHER                 7777

    SOUTHTRUST CORP                 OTHER
     18415
    STAPLES INC                     SOLE                  95795

    STAPLES INC                     SOLE
     1730
    STAPLES INC                     OTHER                 5224

    STATE STR CORP                  SOLE                  177911

    STATE STR CORP                  SOLE
     790
    STATE STR CORP                  OTHER                 18015

    STATE STR CORP                  OTHER
     7550
    STRYKER CORP                    SOLE                  65030

    STRYKER CORP                    SOLE
     655
    STRYKER CORP                    DEFINED               300

    STRYKER CORP                    OTHER                 1978

    STRYKER CORP                    OTHER
     8900
    SUN LIFE                        SOLE                  14148

    SUNGARD DATA SYSTEM             SOLE                  123038

    SUNGARD DATA SYSTEM             SOLE
     625
    SUNGARD DATA SYSTEM             OTHER                 4688

    SUNGARD DATA SYSTEM             OTHER
     20500
    SYMANTEC CORP                   SOLE                  227217

    SYMANTEC CORP                   SOLE
     4068
    SYMANTEC CORP                   OTHER                 13881

    SYMANTEC CORP                   OTHER
     20156
    SYNOVUS FINL CORP               SOLE                  25085

    SYNOVUS FINL CORP               SOLE
     250
    SYNOVUS FINL CORP               OTHER                 1025

    SYSCO CORP                      SOLE                  112435

    SYSCO CORP                      SOLE
     1850
    SYSCO CORP                      OTHER                 12058

    SYSCO CORP                      OTHER
     27250
    TJX CO INC                      SOLE                  160329

    TJX CO INC                      SOLE
     1280
    TJX CO INC                      OTHER                 17870

    TJX CO INC                      OTHER
     34600
    TAKE 2 INTERACTIVE SOFTWARE INC SOLE                  94950

    TAKE 2 INTERACTIVE SOFTWARE INC SOLE
     1575
    TAKE 2 INTERACTIVE SOFTWARE INC OTHER                 1950

    TAKE 2 INTERACTIVE SOFTWARE INC OTHER
     1100
    TARGET CORP                     SOLE                  42809

    TARGET CORP                     SOLE
     2400
    TARGET CORP                     OTHER                 3165

    TARGET CORP                     OTHER
     8000
    TARGET CORP                     DEF/OTH               400

    3M                              SOLE                  96184

    3M                              SOLE
     874
    3M                              DEFINED               106

    3M                              OTHER                 16499

    3M                              OTHER
     925
    US BANCORP DE NEW               SOLE                  267180

    US BANCORP DE NEW               SOLE
     16032
    US BANCORP DE NEW               OTHER                 17526

    US BANCORP DE NEW               OTHER
     28800
    US BANCORP DE NEW               DEF/OTH               1500

    UNION PACIFIC CORP              SOLE                  740

    UNION PACIFIC CORP              SOLE
     200
    UNION PACIFIC CORP              OTHER                 3000

    UNION PACIFIC CORP              OTHER
     600
    UN PLANTERS CORP                SOLE                  22475

    UN PLANTERS CORP                OTHER                 2766

    UN PLANTERS CORP                OTHER
     2520
    UNITED TECHNOLOGIES CORP        SOLE                  90264

    UNITED TECHNOLOGIES CORP        SOLE
     595
    UNITED TECHNOLOGIES CORP        OTHER                 13818

    UNITED TECHNOLOGIES CORP        OTHER                              960

    UNITED TECHNOLOGIES CORP        OTHER
     8086
    UNITED TECHNOLOGIES CORP        DEF/OTH               200

    VECTREN CORP                    SOLE                  364901

    VECTREN CORP                    DEFINED               400

    VECTREN CORP                    OTHER                 73479

    VECTREN CORP                    OTHER
     1065
    TOTAL STCK MK VIPERS            OTHER                 2295

    VERIZON COMMUNICATIONS          SOLE                  96880

    VERIZON COMMUNICATIONS          SOLE
     2261
    VERIZON COMMUNICATIONS          OTHER                 23674

    VERIZON COMMUNICATIONS          OTHER
     3686
    WACHOVIA CORP                   SOLE                  6447

    WACHOVIA CORP                   SOLE
     300
    WACHOVIA CORP                   OTHER                 1780

    WALMART STORES INC              SOLE                  102116

    WALMART STORES INC              SOLE
     1310
    WALMART STORES INC              OTHER                 10166

    WALMART STORES INC              OTHER
     350
    WALGREEN CO                     SOLE                  58251

    WALGREEN CO                     SOLE
     1850
    WALGREEN CO                     DEFINED               300

    WALGREEN CO                     OTHER                 20173

    WALGREEN CO                     OTHER
     5000
    WALGREEN CO                     DEF/OTH               6500

    WELLS FARGO & CO                SOLE                  10947

    WELLS FARGO & CO                OTHER                 1685

    WESTWOOD ONE INC                SOLE                  29174

    WESTWOOD ONE INC                SOLE
     250
    WESTWOOD ONE INC                OTHER                 1015

    WESTWOOD ONE INC                OTHER
     2700
    WEYERHAEUSER CO                 SOLE                  2794

    WEYERHAEUSER CO                 SOLE
     45
    WEYERHAEUSER CO                 OTHER                 846

    WHIRLPOOL CORP                  SOLE                  22518

    WHIRLPOOL CORP                  OTHER                 3600

    WRIGLEY (WM) JR                 SOLE                  400

    WRIGLEY (WM) JR                 OTHER
     11050
    WYETH                           SOLE                  25934

    WYETH                           DEFINED               375

    WYETH                           OTHER                 15709

    YUM                             SOLE                  14696

    ZIMMER HLDGS INC                SOLE                  10717

    ZIMMER HLDGS INC                DEFINED               40

    ZIMMER HLDGS INC                OTHER                 5230

    CMNTY BK OF WEST KY             SOLE                  23000

    ADVANCED MICRO ELECTRONICS      SOLE                  400000

    MEDICAL TECHNOLOGY CORP         SOLE                  20000

    MAX COOPRIDER FARM INC          SOLE                  845

    MAXON CORPORATION               OTHER                 47000

    AUBURN FOUNDRY INC              SOLE                  3578

    MAXON CORP UNRESTRICTED         SOLE                  18972

    MAXON CORP UNRESTRICTED         OTHER
     2000
    MEEKS MORTUARY INC              SOLE                  820

    MINNETRISTA CORP                SOLE                  40703

    MINNETRISTA CORP                DEF/OTH               3052

    NOBLE'S SUPERMARKET INC         OTHER                 256

    ONTARIO CORP                    SOLE                  29370

    ONTARIO CORP                    OTHER                 24392

    WABASH COFFEE INC               OTHER                 66

    WABASH COFFEE INC               OTHER
     27
    CRESCENT PLASTICS INC           OTHER                 54000

    CRESLINE PLASTIC PIP CO INC     OTHER                 540000

    FT SACKVILLE WHSE               OTHER                 2100

    FT SACKVILLE WHSE               OTHER
     1050
    ROYAL GIFT STAMPS               OTHER                 417

    ROYAL GIFT STAMPS               OTHER
     206
    R & W RLTY CORP                 OTHER                 735

    R & W RLTY CORP                 OTHER
     393
    TRAYLOR BROS INC                SOLE                  9000

    CHARLIE QUINN LMBR CO           SOLE                  439

    JOFCO INC                       SOLE                  70

    JOFCO INC                       SOLE
     3
    LEE EQUIP CO                    OTHER                 1060

    SMALL FARMS INC                 SOLE                  211

    INWOOD OFFICE FURNITURE INC     SOLE                  76

    FREEDOM BK DALE IN              SOLE                  18000

    ACORN SVC GROUP INC             SOLE                  25000

    M & J RLTY                      OTHER                 90693

    GENERAL TOOL & DIE CORP         OTHER                 90

    EAGLE CONSTR & DEV CORP-48% INT SOLE                  1

    EMPLOYERS SEC (MEIS VENTURES)   OTHER
     50000
    EMPLOYERS SEC HLDG CO           OTHER
     42234
    EMPLOYERS SEC (MEIS VENTURES)   OTHER
     129101
    EVEREST RE GROUP LTD            SOLE                  2168

    EVEREST RE GROUP LTD            OTHER                 75

    EVEREST RE GROUP LTD            OTHER
     5000
    INGERSOLL                       SOLE                  46030

    INGERSOLL                       SOLE
     870
    INGERSOLL                       OTHER                 3055

    INGERSOLL                       OTHER
     8000
    FLEXTRONICS INTL LTD            SOLE                  8947

    FLEXTRONICS INTL LTD            OTHER                 1793