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

Report for the Calendar Year or Quarter Ended: 03/31/2009

Check here if Amendment       [ ]             Amendment Number:

This Amendment                [ ]             is a restatement

                              [ ]             adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:       PEOPLES BANK NTL ASSOCIATION
Address:    P O BOX 738
            MARIETTA, OH 45750


13F File Number: 28-10656

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 T WESEL
Title: EXECUTIVE VICE PRESIDENT
Phone: 740 373 2932
Signature, Place, and Date of Signing:

 /s/ DAVID T. WESEL        MARIETTA OH    05/08/2009
----------------------
     David T. Wesel



Report Type     (Check only one)
                [X]            13F HOLDINGS REPORT
                [ ]            13F NOTICE
                [ ]            13F COMBINATION REPORT


                               FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                0

Form 13F Information Table Entry Total:           99

Form 13F Information Table Value Total:           $ 71,607

List of Other Included Managers:

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


No.         13F File Number         Name

                                    NONE






                                                      FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                           

AT&T CORP          COMMON STOCK      00206R102     952     37789 SH          DEFINED    1               37789

                                     00206R102      50      1985 SH          DEF/OTH    1                1985

ABBOTT             COMMON STOCK      002824100     754     15800 SH          DEFINED    1               15800
LABORATORIES

AUTOMATIC DATA     COMMON STOCK      053015103     406     11546 SH          DEFINED    1               11546
PROCESSING

BP AMOCO PLC       COMMON STOCK      055622104    1046     26090 SH          DEFINED    1               26090
SPONS ADR

                                     055622104      16       400 SH          DEF/OTH    1                 400

THE BANK OF NEW    COMMON STOCK      064058100     433     15317 SH          DEFINED    1               15317
YORK MELLON CORP

BAXTER             COMMON STOCK      071813109     523     10205 SH          DEFINED    1                9125
                                                                                        1                                    1080
INTERNATIONAL

BRISTOL MYERS      COMMON STOCK      110122108     372     16965 SH          DEFINED    1               14385
                                                                                        1                                    2580
SQUIBB

                                     110122108       2       100 SH          DEF/OTH    1                 100

CAMCO FINANCIAL    COMMON STOCK      132618109      51     32961 SH          DEFINED    1               32961
CORP

CENTRAL FUND OF    COMMON STOCK      153501101     727     61000 SH          DEFINED    1               61000

COLUMN TOTALS                                     5332






                                                      FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                           

CANADA

CHEVRON            COMMON STOCK      166764100    2985     44398 SH          DEFINED    1               44398
CORPORATION

CISCO SYSTEMS      COMMON STOCK      17275R102     205     12235 SH          DEFINED    1               12235

COCA COLA          COMMON STOCK      191216100     493     11225 SH          DEFINED    1               10993
                                                                                        1                                     232

COLGATE PALMOLIVE  COMMON STOCK      194162103     620     10520 SH          DEFINED    1               10200
                                                                                        1                                     320

DEERE & CO         COMMON STOCK      244199105     267      8125 SH          DEFINED    1                8125

DOW JONES          MUTUAL FUNDS -    252787106    1504     19825 SH          DEFINED    1               19825
INDUSTRIAL TRUST   EQUITY

DOMINION           COMMON STOCK      25746U109     230      7412 SH          DEFINED    1                7412
RESOURCES INC

EMC CORPORATION    COMMON STOCK      268648102     234     20485 SH          DEFINED    1               20485

EMERSON ELECTRIC   COMMON STOCK      291011104     272      9520 SH          DEFINED    1                9250
                                                                                        1                                     270

EXELON             COMMON STOCK      30161N101     462     10172 SH          DEFINED    1               10172
CORPORATION

                                     30161N101       5       120 SH          DEF/OTH    1                 120

EXXON MOBIL        COMMON STOCK      30231G102    4153     60977 SH          DEFINED    1               60347
                                                                                        1                                     630

COLUMN TOTALS                                    11430

 





                                                      FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                           

CORPORATION

                                     30231G102     259      3800 SH          DEF/OTH    1                3800

FPL GROUP INC      COMMON STOCK      302571104     210      4140 SH          DEFINED    1                3835
                                                                                        1                                     305

FISERV             COMMON STOCK      337738108     306      8380 SH          DEFINED    1                7340
                                                                                        1                                    1040

FORTUNE BRANDS     COMMON STOCK      349631101     264     10771 SH          DEFINED    1               10771
INC

FRANKLIN           COMMON STOCK      354613101     226      4200 SH          DEFINED    1                4200
RESOURCES

GENERAL ELECTRIC   COMMON STOCK      369604103     479     47379 SH          DEFINED    1               46519
                                                                                        1                                     860
CO

                                     369604103      40      3982 SH          DEF/OTH    1                 101
                                                                                        1                                    3881

GILEAD SCIENCES    COMMON STOCK      375558103     394      8515 SH          DEFINED    1                8515
INC

HUNTINGTON         COMMON STOCK      446150104      69     41433 SH          DEFINED    1               16978
                                                                                        1                                   24455
BANCSHARES

IBM                COMMON STOCK      459200101     784      8093 SH          DEFINED    1                7593
                                                                                        1                                     500

COLUMN TOTALS                                     3031







                                                      FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                           


ISHARES            MUTUAL FUNDS -    464287101    1579     41850 SH          DEFINED    1               41850
                   EQUITY

                                     464287101      51      1355 SH          DEF/OTH    1                1355

ISHARES            MUTUAL FUNDS -    464287200     823     10340 SH          DEFINED    1               10340
                   EQUITY

                                     464287200      25       320 SH          DEF/OTH    1                 320

ISHARES            MUTUAL FUNDS -    464287234     530     21347 SH          DEFINED    1               21347
                   EQUITY

                                     464287234       4       180 SH          DEF/OTH    1                 180

ISHARES            MUTUAL FUNDS -    464287309     943     22534 SH          DEFINED    1               20834
                                                                                        1                                    1700
                   EQUITY

                                     464287309      31       735 SH          DEF/OTH    1                 735

ISHARES            MUTUAL FUNDS -    464287408     217      5837 SH          DEFINED    1                5837
                   EQUITY

                                     464287408      22       595 SH          DEF/OTH    1                 595

ISHARES            MUTUAL FUNDS -    464287465    1545     41092 SH          DEFINED    1               38997
                                                                                        1                                    2095
                   EQUITY

                                     464287465      28       755 SH          DEF/OTH    1                 755

COLUMN TOTALS                                     5798

 





                                                      FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                           


ISHARES            MUTUAL FUNDS -    464287507    2535     52094 SH          DEFINED    1               50214
                                                                                        1                                    1880
                   EQUITY

ISHARES            MUTUAL FUNDS -    464287598    2250     55208 SH          DEFINED    1               55208
                   EQUITY

                                     464287598      29       715 SH          DEF/OTH    1                 715

ISHARES            MUTUAL FUNDS -    464287606    1479     28147 SH          DEFINED    1               26784
                                                                                        1                                    1363
                   EQUITY

ISHARES            MUTUAL FUNDS -    464287614    2825     80526 SH          DEFINED    1               80232
                                                                                        1                                     294
                   EQUITY

                                     464287614      52      1490 SH          DEF/OTH    1                1490

ISHARES            MUTUAL FUNDS -    464287622    3619     83673 SH          DEFINED    1               82808
                                                                                        1                                     865
                   EQUITY

                                     464287622      45      1045 SH          DEF/OTH    1                1045

ISHARES            MUTUAL FUNDS -    464287705     869     19732 SH          DEFINED    1               19732
                   EQUITY

                                     464287705      23       520 SH          DEF/OTH    1                 520

ISHARES            MUTUAL FUNDS -    464287804    1172     32203 SH          DEFINED    1               31583
                                                                                        1                                     620

COLUMN TOTALS                                    14898

 





                                                      FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                           

                   EQUITY

                                     464287804       3        75 SH          DEF/OTH    1                  75

ISHARES            MUTUAL FUNDS -    464288802     552     16036 SH          DEFINED    1                3281
                                                                                        1                                   12755
                   EQUITY

ISHARES            MUTUAL FUNDS -    464288885    1246     32185 SH          DEFINED    1               31080
                                                                                        1                                    1105
                   EQUITY

JOHNSON & JOHNSON  COMMON STOCK      478160104     923     17546 SH          DEFINED    1               16771
                                                                                        1                                     775

KELLOGG CO         COMMON STOCK      487836108     252      6890 SH          DEFINED    1                6890

KROGER CO          COMMON STOCK      501044101     316     14910 SH          DEFINED    1               14910

MARATHON OIL CORP  COMMON STOCK      565849106     187      7105 SH          DEFINED    1                6055
                                                                                        1                                    1050

                                     565849106      36      1360 SH          DEF/OTH    1                1360

MCDONALDS          COMMON STOCK      580135101     670     12283 SH          DEFINED    1               12283

MICROSOFT          COMMON STOCK      594918104     416     22660 SH          DEFINED    1               22660

                                     594918104       8       430 SH          DEF/OTH    1                 430

MONSANTO CO        COMMON STOCK      61166W101     465      5591 SH          DEFINED    1                5591


COLUMN TOTALS                                     5074

 





                                                      FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                           

NORTHROP GRUMMAN   COMMON STOCK      666807102     385      8828 SH          DEFINED    1                7578
                                                                                        1                                    1250
CORP.

OCCIDENTAL         COMMON STOCK      674599105     142      2545 SH          DEFINED    1                2545
PETROLEUM CORP

                                     674599105     115      2070 SH          DEF/OTH    1                2070

ORACLE             COMMON STOCK      68389X105     779     43117 SH          DEFINED    1               43117
CORPORATION

PANHANDLE          COMMON STOCK      698477106     171     10000 SH          DEFINED    1               10000
ROYALTY CO.
CLASS A

PEOPLES BANCORP    COMMON STOCK      709789101    1850    142596 SH          DEFINED    1              132057
                                                                                        1                         10539
INC.

                                     709789101   11218    864287 SH          DEF/OTH    1              137091    727196

PEPSICO INC        COMMON STOCK      713448108     240      4659 SH          DEFINED    1                4659

PRICE T ROWE       COMMON STOCK      74144T108     207      7180 SH          DEFINED    1                6390
                                                                                        1                                     790
GROUP INC

PROCTER & GAMBLE   COMMON STOCK      742718109     859     18237 SH          DEFINED    1               18237
CO

                                     742718109       9       200 SH          DEF/OTH    1                 200

COLUMN TOTALS                                    15975

 





                                                      FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                           


ROCKY BRANDS INC   COMMON STOCK      774515100     594    169724 SH          DEFINED    1                                  169724

RYDEX              MUTUAL FUNDS -    78355W106     740     29864 SH          DEFINED    1               29864
                   EQUITY

RYDEX              MUTUAL FUNDS -    78355W205    1574     25223 SH          DEFINED    1               24978
                                                                                        1                                     245
                   EQUITY

S & P 500          MUTUAL FUNDS -    78462F103    2888     36322 SH          DEFINED    1               36322
DEPOSITARY         EQUITY
RECEIPT

                                     78462F103      31       395 SH          DEF/OTH    1                 395

SOUTHERN CO        COMMON STOCK      842587107     327     10695 SH          DEFINED    1               10695

STAPLES INC        COMMON STOCK      855030102     405     22337 SH          DEFINED    1               22337

SYMANTEC CORP      COMMON STOCK      871503108     188     12585 SH          DEFINED    1               12585

3M COMPANY         COMMON STOCK      88579Y101     336      6750 SH          DEFINED    1                5760
                                                                                        1                                     990

US BANCORP DEL     COMMON STOCK      902973304     287     19655 SH          DEFINED    1               19655

UNITED             COMMON STOCK      909907107     585     33948 SH          DEFINED    1               33948
BANKSHARES INC

UNITED TECH CORP   COMMON STOCK      913017109     626     14560 SH          DEFINED    1               12900
                                                                                        1                                    1660

COLUMN TOTALS                                     8581

 





                                                      FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                           

VERIZON            COMMON STOCK      92343V104     302      9993 SH          DEFINED    1                9993
COMMUNICATIONS

                                     92343V104      12       388 SH          DEF/OTH    1                 388

WAL MART STORES    COMMON STOCK      931142103     501      9610 SH          DEFINED    1                9095
                                                                                        1                                     515
INC

WYETH COMM         COMMON STOCK      983024100     363      8440 SH          DEFINED    1                8440

                                     983024100      10       240 SH          DEF/OTH    1                 240

TRANSOCEAN LTD     COMMON STOCK      H8817H100     297      5042 SH          DEFINED    1                3937
                                                                                        1                                    1105

                                     H8817H100       3        44 SH          DEF/OTH    1                  44


COLUMN TOTALS                                     1488


AGGREGATE TOTAL                                  71607