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Section 1: 13F-HR

Form 13F Filer Information

Filer CIK
Filer CCC
File Number
09-30-2018
Period
Is this a LIVE or TEST Filing? LIVE TEST
Would you like a return copy? YES
Is this an electronic copy of an official filing submitted in paper format? YES

Submission Contact Information

Name
Phone
Email Address

Notification Information

Notify via Filing website only? YES

Notification will automatically be sent to the Login CIK, Submission Contact, and Primary Issuers. Specify additional addresses below.

Notification Email Addresses

United States
Securities and Exchange Commission
Washington, D.C. 20549

Form 13F

Form 13F Cover Page

Report for the Calendar Year or Quarter Ended:
09-30-2018
Check here if Amendment: Amendment Number:

This Amendment (Check only one.):

is a restatement.
adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:
PARK NATIONAL CORP /OH/
Address:
P O Box 3500
Newark
OH
43058-3500

Form 13F File Number:

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:
/s/ J. Bradley Zellar
Title:
Vice President and Trust Officer
Phone:
740-349-3904

Signature, Place, and Date of Signing:

/s/ J. Bradley Zellar
[Signature]
Newark,OH
[City, State]
10-02-2018
[Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager

[If there are no entries in this list, omit this section.]

Form 13F File Number Name

[Repeat as necessary.]

Do you wish to provide information pursuant to Special Instruction 5? Yes No

Additional Information

Form 13F Summary Page

Report Summary:

Number of Other Included Managers:
0
Form 13F Information table Entry Total:
565
Form 13F Information table Value Total:
1822384
(thousands)

Confidential information has been omitted from the public Form 13F report and filed separately with the Commission.

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report.


NONE





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Section 2: INFORMATION TABLE

FORM 13F INFORMATION TABLE

Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8
Name of Issuer Title of Class CUSIP Value
(x$1000)
SHRS or
PRN AMT
SH/PRN PUT/CALL Investment
DISCRETION
Other
Manager
Voting Authority
Sole Shared None
Aflac Inc Com 001055102 548 11652 SH SOLE 10952 0 700
Aflac Inc Com 001055102 98 2086 SH DFND 2086 0 0
AIA Group Ltd Sponsored ADR Com 001317205 336 9407 SH SOLE 6148 0 3259
AT&T Inc Com 00206R102 10160 302569 SH SOLE 299719 0 2850
AT&T Inc Com 00206R102 917 27301 SH DFND 26981 0 320
Abbott Laboratories Com 002824100 39486 538252 SH SOLE 535751 0 2501
Abbott Laboratories Com 002824100 1147 15635 SH DFND 15585 0 50
AbbVie Inc Com 00287Y109 24658 260711 SH SOLE 254587 0 6124
AbbVie Inc Com 00287Y109 854 9027 SH DFND 9027 0 0
Adidas AG Sponsored ADR Com 00687A107 209 1706 SH SOLE 996 0 710
Adobe Systems Inc Com 00724F101 6109 22629 SH SOLE 22258 0 371
Adobe Systems Inc Com 00724F101 24 90 SH DFND 90 0 0
Aetna Inc (New) Com 00817Y108 246 1213 SH SOLE 1213 0 0
Agilent Technologies Inc Com 00846U101 270 3831 SH SOLE 2334 0 1497
Air Products & Chemicals Inc Com 009158106 15341 91836 SH SOLE 89514 0 2322
Air Products & Chemicals Inc Com 009158106 879 5264 SH DFND 5089 0 175
Alexandria Real Estate Equitie Com 015271109 146 1157 SH SOLE 0 0 1157
Alexandria Real Estate Equitie Com 015271109 55 440 SH DFND 0 0 440
Allstate Corp Com 020002101 1248 12644 SH SOLE 12644 0 0
Alphabet Inc Class C Com 02079K107 870 729 SH SOLE 729 0 0
Alphabet Inc Class C Com 02079K107 64 54 SH DFND 54 0 0
Alphabet Inc Class A Com 02079K305 861 713 SH SOLE 713 0 0
Alphabet Inc Class A Com 02079K305 126 104 SH DFND 104 0 0
Altria Group Inc Com 02209S103 819 13580 SH SOLE 13398 0 182
Altria Group Inc Com 02209S103 251 4165 SH DFND 4165 0 0
Amazon.com Inc Com 023135106 1713 855 SH SOLE 855 0 0
Amazon.com Inc Com 023135106 375 187 SH DFND 177 0 10
America Movil S.A. de C.V. Ser Com 02364W105 241 15000 SH SOLE 15000 0 0
American Electric Power Co Com 025537101 1278 18033 SH SOLE 17933 0 100
American Electric Power Co Com 025537101 13 185 SH DFND 185 0 0
American Express Co Com 025816109 14969 140570 SH SOLE 140036 0 534
American Express Co Com 025816109 394 3704 SH DFND 3704 0 0
American Tower Corporation REI Com 03027X100 3652 25135 SH SOLE 23911 0 1224
American Tower Corporation REI Com 03027X100 138 952 SH DFND 446 0 506
AmerisourceBergen Corp Com 03073E105 92 999 SH SOLE 999 0 0
AmerisourceBergen Corp Com 03073E105 369 4000 SH DFND 4000 0 0
Ameriprise Financial Inc Com 03076C106 179 1212 SH SOLE 1129 0 83
Ameriprise Financial Inc Com 03076C106 52 350 SH DFND 350 0 0
Amgen Inc Com 031162100 1481 7144 SH SOLE 7104 0 40
Amgen Inc Com 031162100 121 585 SH DFND 585 0 0
Amphenol Corp Class A Com 032095101 480 5100 SH SOLE 5100 0 0
Anadarko Petroleum Corp Com 032511107 275 4084 SH SOLE 4084 0 0
Analog Devices Inc Com 032654105 287 3101 SH SOLE 2987 0 114
Anthem Inc Com 036752103 520 1899 SH SOLE 1899 0 0
Apache Corp Com 037411105 1012 21220 SH SOLE 20676 0 544
Apache Corp Com 037411105 10 200 SH DFND 200 0 0
Apple Inc Com 037833100 54861 243026 SH SOLE 237965 0 5061
Apple Inc Com 037833100 2990 13244 SH DFND 11804 0 1440
Applied Materials Inc Com 038222105 73 1878 SH SOLE 1878 0 0
Applied Materials Inc Com 038222105 286 7404 SH DFND 7404 0 0
Aqua America Inc Com 03836W103 271 7336 SH SOLE 7336 0 0
Aqua America Inc Com 03836W103 9 250 SH DFND 250 0 0
Astrazeneca PLC Sponsored ADR Com 046353108 2982 75370 SH SOLE 74512 0 858
Autoliv Inc Com 052800109 125 1440 SH SOLE 1440 0 0
Autoliv Inc Com 052800109 147 1700 SH DFND 1700 0 0
Automatic Data Processing Inc Com 053015103 49837 330788 SH SOLE 322792 0 7996
Automatic Data Processing Inc Com 053015103 1559 10348 SH DFND 10348 0 0
BP PLC Sponsored ADR Com 055622104 4039 87624 SH SOLE 86868 0 756
BP PLC Sponsored ADR Com 055622104 117 2530 SH DFND 2505 0 25
Ball Corp Com 058498106 470 10688 SH SOLE 10688 0 0
Bank Of America Corp Com 060505104 24982 848012 SH SOLE 824232 0 23780
Bank Of America Corp Com 060505104 814 27622 SH DFND 27622 0 0
Bank of Montreal Com 063671101 215 2606 SH SOLE 2606 0 0
Bank of New York Mellon Corp Com 064058100 15571 305370 SH SOLE 304062 0 1308
Bank of New York Mellon Corp Com 064058100 647 12682 SH DFND 11892 0 790
Bank of Nova Scotia Halifax Com 064149107 179 3000 SH SOLE 3000 0 0
Bank of Nova Scotia Halifax Com 064149107 30 500 SH DFND 500 0 0
Barclays Bank PLC Sponsored AD Com 06738E204 100 11197 SH SOLE 11197 0 0
Baxter International Inc Com 071813109 768 9957 SH SOLE 9957 0 0
Becton Dickinson & Co Com 075887109 1844 7067 SH SOLE 6536 0 531
Becton Dickinson & Co Com 075887109 93 356 SH DFND 356 0 0
Bemis Company Inc Com 081437105 471 9687 SH SOLE 9687 0 0
Benguet Corp Class B (Worthles Com 081851206 0 15000 SH SOLE 15000 0 0
Berkshire Hathaway Inc Class A Com 084670108 12160 38 SH SOLE 29 0 9
Berkshire Hathaway Inc Class B Com 084670702 1747 8158 SH SOLE 8099 0 59
Berkshire Hathaway Inc Class B Com 084670702 343 1602 SH DFND 1502 0 100
BlackRock Inc Com 09247X101 2616 5550 SH SOLE 5434 0 116
BlackRock Inc Com 09247X101 5 10 SH DFND 10 0 0
H & R Block Inc Com 093671105 250 9726 SH SOLE 9726 0 0
H & R Block Inc Com 093671105 2 95 SH DFND 95 0 0
Boeing Company (The) Com 097023105 3317 8919 SH SOLE 8664 0 255
Boeing Company (The) Com 097023105 185 498 SH DFND 498 0 0
Nichols Trucking Company Com 10283000V 839 16240 SH SOLE 16240 0 0
Bristol-Myers Squibb Company Com 110122108 2159 34771 SH SOLE 34117 0 654
Bristol-Myers Squibb Company Com 110122108 192 3090 SH DFND 3090 0 0
British American Tobacco PLC S Com 110448107 202 4327 SH SOLE 4327 0 0
British American Tobacco PLC S Com 110448107 9 200 SH DFND 200 0 0
Broadcom Inc Com 11135F101 222 898 SH SOLE 898 0 0
Broadcom Inc Com 11135F101 55 224 SH DFND 224 0 0
Brown & Brown Inc Com 115236101 4709 159258 SH SOLE 9200 0 150058
CDK Global Inc Com 12508E101 608 9726 SH SOLE 8226 0 1500
CDK Global Inc Com 12508E101 43 692 SH DFND 692 0 0
CIGNA Corporation Com 125509109 2069 9936 SH SOLE 9936 0 0
CIGNA Corporation Com 125509109 125 600 SH DFND 600 0 0
CME Group Inc Com 12572Q105 532 3126 SH SOLE 3126 0 0
CSL Limited Sponsored ADR Com 12637N204 292 4009 SH SOLE 2316 0 1693
CSX Corporation Com 126408103 2498 33729 SH SOLE 33429 0 300
CSX Corporation Com 126408103 71 960 SH DFND 960 0 0
CVS Health Corporation Com 126650100 252 3200 SH SOLE 3200 0 0
CVS Health Corporation Com 126650100 419 5329 SH DFND 5329 0 0
CA Inc Com 12673P105 354 8021 SH SOLE 8021 0 0
CaixaBank Unsponsored ADR Com 12803K109 39 25296 SH SOLE 25296 0 0
Canadian Pacific Railway Ltd Com 13645T100 397 1871 SH SOLE 1329 0 542
Cardinal Health Inc Com 14149Y108 138 2556 SH SOLE 2556 0 0
Cardinal Health Inc Com 14149Y108 210 3893 SH DFND 3893 0 0
Carnival Corporation Com 143658300 204 3194 SH SOLE 3194 0 0
Carpenter Technology Corporati Com 144285103 57 965 SH SOLE 965 0 0
Carpenter Technology Corporati Com 144285103 183 3100 SH DFND 3100 0 0
Caterpillar Inc Com 149123101 1280 8396 SH SOLE 8266 0 130
Caterpillar Inc Com 149123101 92 603 SH DFND 527 0 76
Central Federal Corporation Com 15346Q400 543 35036 SH SOLE 35036 0 0
Chevron Corp Com 166764100 28035 229266 SH SOLE 223960 0 5306
Chevron Corp Com 166764100 1053 8611 SH DFND 8611 0 0
Churchill Downs Inc Com 171484108 417 1500 SH DFND 1500 0 0
Cincinnati Financial Corporati Com 172062101 5434 70750 SH SOLE 70450 0 300
Cincinnati Financial Corporati Com 172062101 83 1080 SH DFND 1080 0 0
Cinemark Holdings Inc Com 17243V102 275 6831 SH SOLE 4725 0 2106
Cisco Systems Inc Com 17275R102 45604 937387 SH SOLE 913032 0 24355
Cisco Systems Inc Com 17275R102 1606 33002 SH DFND 33002 0 0
Cintas Corporation Com 172908105 1763 8912 SH SOLE 8750 0 162
Civista Bancshares Inc Com 178867107 1519 63075 SH SOLE 1675 0 61400
Clorox Company Com 189054109 385 2557 SH SOLE 2505 0 52
Clorox Company Com 189054109 320 2130 SH DFND 2130 0 0
Coca-Cola Company Com 191216100 22611 489527 SH SOLE 478221 0 11306
Coca-Cola Company Com 191216100 681 14744 SH DFND 14744 0 0
Colgate-Palmolive Company Com 194162103 4467 66721 SH SOLE 66371 0 350
Colgate-Palmolive Company Com 194162103 22 330 SH DFND 330 0 0
Comcast Corporation Class A (N Com 20030N101 1830 51675 SH SOLE 50527 0 1148
Comcast Corporation Class A (N Com 20030N101 247 6988 SH DFND 6988 0 0
Compass Group PLC Sponsored AD Com 20449X401 206 9242 SH SOLE 5226 0 4016
ConocoPhillips Com 20825C104 4223 54561 SH SOLE 54111 0 450
ConocoPhillips Com 20825C104 134 1730 SH DFND 1730 0 0
Consolidated Edison Inc Com 209115104 544 7136 SH SOLE 7136 0 0
Consolidated Edison Inc Com 209115104 18 240 SH DFND 240 0 0
Corix Bioscience Inc Com 21887N103 2 12235 SH SOLE 12235 0 0
Corning Inc Com 219350105 10088 285766 SH SOLE 269266 0 16500
Corning Inc Com 219350105 303 8579 SH DFND 7714 0 865
Costco Wholesale Corporation Com 22160K105 1374 5851 SH SOLE 5793 0 58
Costco Wholesale Corporation Com 22160K105 97 415 SH DFND 415 0 0
Crown Castle International Cor Com 22822V101 229 2061 SH SOLE 1024 0 1037
Crown Castle International Cor Com 22822V101 63 570 SH DFND 0 0 570
Cypress Semiconductor Corporat Com 232806109 317 21900 SH DFND 21900 0 0
D R Horton Inc Com 23331A109 2923 69288 SH SOLE 68041 0 1247
D R Horton Inc Com 23331A109 64 1518 SH DFND 1518 0 0
Danaher Corporation Com 235851102 15034 138359 SH SOLE 134564 0 3795
Danaher Corporation Com 235851102 194 1782 SH DFND 1782 0 0
Daseke Inc (New) Com 23753F107 549 68498 SH SOLE 68498 0 0
Pataskala Banking Co Com 238991566 326 5400 SH SOLE 2160 0 3240
Deere & Company Com 244199105 508 3382 SH SOLE 3382 0 0
Deere & Company Com 244199105 109 725 SH DFND 725 0 0
Deluxe Corporation Com 248019101 207 3644 SH SOLE 3644 0 0
Diageo PLC Sponsored ADR Com 25243Q205 223 1577 SH SOLE 1577 0 0
Diageo PLC Sponsored ADR Com 25243Q205 28 201 SH DFND 100 0 101
OSB Bancorp Inc Com 253OSB253 409 3197 SH SOLE 3197 0 0
Disney (Walt) Company Com 254687106 9989 85416 SH SOLE 84632 0 784
Disney (Walt) Company Com 254687106 564 4822 SH DFND 4822 0 0
Discover Financial Services Com 254709108 500 6534 SH SOLE 6254 0 280
Discover Financial Services Com 254709108 34 450 SH DFND 450 0 0
Dominion Energy Inc Com 25746U109 1328 18898 SH SOLE 18256 0 642
Dominion Energy Inc Com 25746U109 116 1655 SH DFND 1655 0 0
DowDuPont Inc Com 26078J100 16851 262032 SH SOLE 260079 0 1953
DowDuPont Inc Com 26078J100 600 9331 SH DFND 9153 0 178
DSV A/S Unsponsored ADR Com 26251A108 257 5652 SH SOLE 3232 0 2420
Duke Energy Corporation (New) Com 26441C204 4208 52591 SH SOLE 50164 0 2427
Duke Energy Corporation (New) Com 26441C204 245 3059 SH DFND 3059 0 0
Eastman Chemical Company Com 277432100 62 649 SH SOLE 649 0 0
Eastman Chemical Company Com 277432100 168 1750 SH DFND 1750 0 0
Emerson Electric Company Com 291011104 30991 404692 SH SOLE 398587 0 6105
Emerson Electric Company Com 291011104 1450 18931 SH DFND 18931 0 0
Enbridge Inc Com 29250N105 240 7437 SH SOLE 7437 0 0
Enbridge Inc Com 29250N105 10 295 SH DFND 295 0 0
Equifax Inc Com 294429105 229 1753 SH SOLE 1635 0 118
Essilor International SA Unspo Com 297284200 201 2718 SH SOLE 1872 0 846
Expeditors International of Wa Com 302130109 324 4400 SH SOLE 4400 0 0
Experian PLC Sponsored ADR Com 30215C101 270 10495 SH SOLE 6024 0 4471
Express Scripts Holding Compan Com 30219G108 230 2417 SH SOLE 2417 0 0
Express Scripts Holding Compan Com 30219G108 46 487 SH DFND 487 0 0
Exxon Mobil Corporation Com 30231G102 34055 400553 SH SOLE 398278 0 2275
Exxon Mobil Corporation Com 30231G102 2359 27752 SH DFND 27752 0 0
Facebook Inc Class A Com 30303M102 5422 32971 SH SOLE 32643 0 328
Facebook Inc Class A Com 30303M102 137 835 SH DFND 735 0 100
Fanuc Ltd Unsponsored ADR Com 307305102 225 11908 SH SOLE 8476 0 3432
Fastenal Company Com 311900104 221 3803 SH SOLE 3475 0 328
FedEx Corporation Com 31428X106 219 910 SH SOLE 910 0 0
Fidelity National Information Com 31620M106 257 2352 SH SOLE 2352 0 0
Fidelity National Information Com 31620M106 24 224 SH DFND 224 0 0
Fidelity National Financial In Com 31620R303 206 5247 SH SOLE 3740 0 1507
Fifth Third Bancorp Com 316773100 1461 52334 SH SOLE 52334 0 0
Fifth Third Bancorp Com 316773100 85 3050 SH DFND 3050 0 0
First Financial Bancorp Cv Pfd Stk 320209109 202 6800 SH SOLE 6800 0 0
First Merchants Corporation Com 320817109 3644 81000 SH SOLE 81000 0 0
First Trust Value Line Dividen Com 33734H106 6132 193802 SH SOLE 188882 0 4920
First Trust Value Line Dividen Com 33734H106 179 5660 SH DFND 5660 0 0
First Trust Large Cap Core Alp Com 33734K109 1404 22492 SH SOLE 21892 0 600
First Trust Large Cap Core Alp Com 33734K109 84 1350 SH DFND 1350 0 0
First Trust Dow Jones Global S Com 33734X200 6292 250676 SH SOLE 241986 0 8690
First Trust Dow Jones Global S Com 33734X200 413 16465 SH DFND 16465 0 0
First Trust Small Cap Core Alp Com 33734Y109 1579 22903 SH SOLE 21503 0 1400
First Trust Small Cap Core Alp Com 33734Y109 25 360 SH DFND 360 0 0
First Trust Mid Cap Core Alpha Com 33735B108 1531 21373 SH SOLE 19973 0 1400
First Trust Mid Cap Core Alpha Com 33735B108 25 350 SH DFND 350 0 0
First Trust North Amer Energy Com 33738D101 515 21971 SH SOLE 15550 0 6421
First Trust North Amer Energy Com 33738D101 49 2090 SH DFND 2090 0 0
First Trust Tactical High Yiel Com 33738D408 4222 88348 SH SOLE 86598 0 1750
First Trust Tactical High Yiel Com 33738D408 141 2960 SH DFND 2960 0 0
First Trust NASDAQ Tech Divide Com 33738R118 4382 114051 SH SOLE 111106 0 2945
First Trust NASDAQ Tech Divide Com 33738R118 366 9520 SH DFND 9520 0 0
First Trust Preferred Securiti Com 33739E108 5295 277213 SH SOLE 255514 0 21699
First Trust Preferred Securiti Com 33739E108 203 10645 SH DFND 10645 0 0
First Trust Enhanced Short Mat Com 33739Q408 7574 126199 SH SOLE 125524 0 675
First Trust Enhanced Short Mat Com 33739Q408 358 5965 SH DFND 5965 0 0
Fiserv Inc Com 337738108 219 2664 SH SOLE 2664 0 0
Fiserv Inc Com 337738108 861 10450 SH DFND 10450 0 0
FlexShares MS US Market Factor Com 33939L100 770 6446 SH SOLE 6138 0 308
FlexShares MS Emerging Mkts Fa Com 33939L308 599 11566 SH SOLE 10973 0 593
FlexShares Morningstar Glbl Up Com 33939L407 2745 81106 SH SOLE 80511 0 595
FlexShares iBoxx 3-Year Target Com 33939L506 740 30910 SH SOLE 30837 0 73
FlexShares Core Select Bond ET Com 33939L670 4355 181392 SH SOLE 181392 0 0
FlexShares US Quality Large Ca Com 33939L746 1308 36566 SH SOLE 34527 0 2039
FlexShares Global Quality Real Com 33939L787 795 12963 SH SOLE 10024 0 2939
FlexShares STOXX Global Broad Com 33939L795 699 14989 SH SOLE 14873 0 116
FlexShares Morn Dev Mkts ex-US Com 33939L803 1296 19875 SH SOLE 18859 0 1016
Ford Motor Company Com 345370860 1019 110142 SH SOLE 110142 0 0
Ford Motor Company Com 345370860 126 13610 SH DFND 13610 0 0
Fortive Corporation Com 34959J108 3735 44363 SH SOLE 44236 0 127
Fortive Corporation Com 34959J108 7 86 SH DFND 86 0 0
Freeport-McMoran Inc Class B Com 35671D857 330 23689 SH SOLE 23689 0 0
Freeport-McMoran Inc Class B Com 35671D857 2 150 SH DFND 150 0 0
Gallagher (Arthur J) & Co Com 363576109 285 3831 SH SOLE 3831 0 0
Mondrian Emerging Markets Equi Com 36381Y207 101 13432 SH SOLE 13432 0 0
General Dynamics Corporation Com 369550108 16607 81119 SH SOLE 79822 0 1297
General Dynamics Corporation Com 369550108 424 2071 SH DFND 2071 0 0
General Electric Company Com 369604103 15371 1361432 SH SOLE 1352300 0 9132
General Electric Company Com 369604103 561 49698 SH DFND 48248 0 1450
General Mills Inc Com 370334104 2271 52918 SH SOLE 52518 0 400
General Mills Inc Com 370334104 10 230 SH DFND 230 0 0
General Motors Company Com 37045V100 23537 699039 SH SOLE 688933 0 10106
General Motors Company Com 37045V100 514 15265 SH DFND 15265 0 0
General Mtrs Corp Conv Escrow Com 370ESCBW4 0 25000 SH SOLE 25000 0 0
Genuine Parts Company Com 372460105 31331 315202 SH SOLE 313586 0 1616
Genuine Parts Company Com 372460105 868 8735 SH DFND 8735 0 0
Genworth Financial Inc Class A Com 37247D106 50 12000 SH SOLE 12000 0 0
Gilead Sciences Inc Com 375558103 397 5143 SH SOLE 4848 0 295
Gilead Sciences Inc Com 375558103 132 1704 SH DFND 1704 0 0
GlaxoSmithkline PLC Sponsored Com 37733W105 164 4095 SH SOLE 4095 0 0
GlaxoSmithkline PLC Sponsored Com 37733W105 62 1550 SH DFND 1550 0 0
Dispatch Printing Co Voting Tr Com 382015360 1035 42 SH SOLE 42 0 0
Gorman-Rupp Company Com 383082104 1617 44292 SH SOLE 44292 0 0
Gorman-Rupp Company Com 383082104 1411 38654 SH DFND 38654 0 0
Graco Inc Com 384109104 247 5328 SH SOLE 3132 0 2196
Green Bancorp Inc Com 39260X100 526 23803 SH SOLE 23803 0 0
Byrne Warehousing Inc Com 394939500 1034 77 SH DFND 77 0 0
Greif Inc Class A Com 397624107 239 4454 SH SOLE 4454 0 0
Growlife Inc Com 39985X104 1 65000 SH SOLE 65000 0 0
HP Inc Com 40434L105 447 17364 SH SOLE 17364 0 0
HP Inc Com 40434L105 66 2576 SH DFND 2576 0 0
Halliburton Company Com 406216101 4880 120397 SH SOLE 119348 0 1049
Halliburton Company Com 406216101 141 3472 SH DFND 3472 0 0
Hanesbrands Inc Com 410345102 402 21829 SH SOLE 21829 0 0
Luikart Heating & Cooling Inc Com 410741070 893 150 SH SOLE 150 0 0
Harley-Davidson Inc Com 412822108 656 14483 SH SOLE 14483 0 0
Harley-Davidson Inc Com 412822108 14 315 SH DFND 315 0 0
Healthcare Services Group Inc Com 421906108 203 4995 SH SOLE 4995 0 0
Helmerich & Payne Inc Com 423452101 753 10955 SH SOLE 10830 0 125
Helmerich & Payne Inc Com 423452101 2 34 SH DFND 34 0 0
Hemp Inc Com 423703206 1 17291 SH SOLE 17291 0 0
Hewlett Packard Enterprise Com Com 42824C109 276 16950 SH SOLE 16950 0 0
Hewlett Packard Enterprise Com Com 42824C109 66 4076 SH DFND 4076 0 0
Hexagon AB Unsponsored ADR Com 428263107 234 3996 SH SOLE 2283 0 1713
Home Depot Inc Com 437076102 19711 95154 SH SOLE 87759 0 7395
Home Depot Inc Com 437076102 1723 8317 SH DFND 8317 0 0
Honeywell International Inc Com 438516106 646 3880 SH SOLE 3828 0 52
Honeywell International Inc Com 438516106 282 1695 SH DFND 1695 0 0
Humana Inc Com 444859102 125 368 SH SOLE 368 0 0
Humana Inc Com 444859102 201 595 SH DFND 595 0 0
Huntington Bancshares Inc Com 446150104 3308 221687 SH SOLE 221687 0 0
Huntington Bancshares Inc Com 446150104 1932 129492 SH DFND 129492 0 0
IBERIABANK Corporation Com 450828108 431 5300 SH SOLE 5300 0 0
Illinois Tool Works Inc Com 452308109 2440 17293 SH SOLE 17088 0 205
Illinois Tool Works Inc Com 452308109 459 3250 SH DFND 3250 0 0
Infosys Technologies Ltd Spons Com 456788108 366 36000 SH DFND 36000 0 0
Ingevity Corporation Com 45688C107 139 1369 SH SOLE 1369 0 0
Ingevity Corporation Com 45688C107 346 3394 SH DFND 3394 0 0
Intel Corporation Com 458140100 40308 852362 SH SOLE 840460 0 11902
Intel Corporation Com 458140100 1512 31966 SH DFND 31246 0 720
Intercontinental Exchange Inc Com 45866F104 9503 126890 SH SOLE 125956 0 934
Intercontinental Exchange Inc Com 45866F104 421 5622 SH DFND 5622 0 0
International Business Machine Com 459200101 28628 189329 SH SOLE 184754 0 4575
International Business Machine Com 459200101 2922 19325 SH DFND 19325 0 0
International Flavors & Fragra Com 459506101 36 258 SH SOLE 258 0 0
International Flavors & Fragra Com 459506101 249 1793 SH DFND 1793 0 0
Invesco QQQ Trust Series 1 Com 46090E103 1100 5920 SH SOLE 5920 0 0
Invesco QQQ Trust Series 1 Com 46090E103 130 700 SH DFND 700 0 0
Intuitive Surgical Inc Com 46120E602 1207 2103 SH SOLE 2103 0 0
Invesco BulletShares 2018 Corp Com 46138J106 527 24926 SH SOLE 23917 0 1009
Invesco BulletShares 2019 Corp Com 46138J304 332 15766 SH SOLE 15541 0 225
Invesco BulletShares 2020 Corp Com 46138J502 285 13512 SH SOLE 13512 0 0
iShares Select Dividend ETF Com 464287168 5468 54810 SH SOLE 54810 0 0
iShares Select Dividend ETF Com 464287168 40 405 SH DFND 405 0 0
iShares Core S&P 500 ETF Com 464287200 8777 29984 SH SOLE 29984 0 0
iShares MSCI Emerging Markets Com 464287234 328 7635 SH SOLE 7635 0 0
iShares MSCI Emerging Markets Com 464287234 20 475 SH DFND 475 0 0
iShares MSCI EAFE ETF Com 464287465 6752 99316 SH SOLE 99316 0 0
iShares MSCI EAFE ETF Com 464287465 478 7037 SH DFND 7037 0 0
iShares U.S. Consumer Services Com 464287580 297 1405 SH SOLE 1285 0 120
iShares U.S. Consumer Services Com 464287580 200 945 SH DFND 945 0 0
iShares U.S. Technology ETF Com 464287721 2637 13590 SH SOLE 12675 0 915
iShares U.S. Technology ETF Com 464287721 364 1876 SH DFND 1876 0 0
iShares U.S. Real Estate ETF Com 464287739 539 6730 SH SOLE 6730 0 0
iShares U.S. Industrials ETF Com 464287754 197 1262 SH SOLE 1187 0 75
iShares U.S. Industrials ETF Com 464287754 135 866 SH DFND 866 0 0
iShares U.S. Healthcare ETF Com 464287762 696 3430 SH SOLE 3325 0 105
iShares U.S. Healthcare ETF Com 464287762 238 1174 SH DFND 1174 0 0
iShares U.S. Financials ETF Com 464287788 202 1667 SH DFND 1667 0 0
iShares U.S. Preferred Stock E Com 464288687 348 9381 SH SOLE 9381 0 0
iShares U.S. Preferred Stock E Com 464288687 6 167 SH DFND 167 0 0
iShares MSCI India ETF Com 46429B598 235 7225 SH DFND 7225 0 0
iShares Core MSCI Emerging Mar Com 46434G103 208 4014 SH SOLE 4014 0 0
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Microsoft Corporation Com 594918104 2089 18261 SH DFND 18058 0 203
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