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

Report for the Calendar Year or Quarter Ended: 09/30/2008

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

/s/ DAVID T. WESEL           MARIETTA OH    10/29/2008
-------------------
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:                NONE

Form 13F Information Table Entry Total:           108

Form 13F Information Table Value Total:           $93932

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     749     26835 SH          DEFINED    1               26835

                                     00206R102      55      1985 SH          DEF/OTH    1                1985

ABBOTT             COMMON STOCK      002824100     716     12430 SH          DEFINED    1               12430
LABORATORIES


APPLE INC          COMMON STOCK      037833100     250      2200 SH          DEFINED    1                2200

BP AMOCO PLC       COMMON STOCK      055622104     821     16364 SH          DEFINED    1               16364
SPONS ADR


                                     055622104      20       400 SH          DEF/OTH    1                 400

BANK OF AMERICA    COMMON STOCK      060505104     343      9796 SH          DEFINED    1                9196
                                                                                        1                                     600

                                     060505104       4       100 SH          DEF/OTH    1                 100

THE BANK OF NEW    COMMON STOCK      064058100     324      9935 SH          DEFINED    1                9935
YORK MELLON CORP


BAXTER             COMMON STOCK      071813109     554      8445 SH          DEFINED    1                7365
                                                                                        1                                    1080
INTERNATIONAL


CAMCO FINANCIAL    COMMON STOCK      132618109     312     33211 SH          DEFINED    1               33211
CORP


CHEVRON            COMMON STOCK      166764100    2228     27012 SH          DEFINED    1               27012
CORPORATION



COLUMN TOTALS                                     6376





                                                      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
                                                                                           
CISCO SYSTEMS      COMMON STOCK      17275R102     344     15265 SH          DEFINED    1               15265

COCA COLA          COMMON STOCK      191216100     478      9039 SH          DEFINED    1                8591
                                                                                        1                                     448

COLGATE PALMOLIVE  COMMON STOCK      194162103     579      7685 SH          DEFINED    1                7495
                                                                                        1                                     190

CONOCOPHILLIPS     COMMON STOCK      20825C104     223      3041 SH          DEFINED    1                3041

DANAHER CORP       COMMON STOCK      235851102     518      7465 SH          DEFINED    1                6665
                                                                                        1                                     800

                                     235851102      28       410 SH          DEF/OTH    1                 410

DOW JONES          MUTUAL FUNDS -    252787106    2580     23805 SH          DEFINED    1               23805
INDUSTRIAL TRUST   EQUITY


DOMINION           COMMON STOCK      25746U109     242      5647 SH          DEFINED    1                5647
RESOURCES INC


DOW CHEMICAL       COMMON STOCK      260543103     239      7521 SH          DEFINED    1                7521

EMERSON ELECTRIC   COMMON STOCK      291011104     255      6255 SH          DEFINED    1                6255

EXELON             COMMON STOCK      30161N101     523      8356 SH          DEFINED    1                8356
CORPORATION


                                     30161N101       8       120 SH          DEF/OTH    1                 120

EXXON MOBIL        COMMON STOCK      30231G102    3022     38917 SH          DEFINED    1               38287
                                                                                        1                                     630
COLUMN TOTALS                                     9039







                                                      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     295      3800 SH          DEF/OTH    1                3800

FPL GROUP INC      COMMON STOCK      302571104     208      4140 SH          DEFINED    1                3835
                                                                                        1                                     305

FISERV             COMMON STOCK      337738108     295      6225 SH          DEFINED    1                5185
                                                                                        1                                    1040

FORTUNE BRANDS     COMMON STOCK      349631101     664     11571 SH          DEFINED    1               11571
INC


GENERAL ELECTRIC   COMMON STOCK      369604103    1384     54284 SH          DEFINED    1               52524
                                                                                        1                                    1760
CO


                                     369604103     163      6381 SH          DEF/OTH    1                                    6381

HJ HEINZ CO        COMMON STOCK      423074103     202      4035 SH          DEFINED    1                4035

HUNTINGTON         COMMON STOCK      446150104     355     44493 SH          DEFINED    1               16978
                                                                                        1                                   27515
BANCSHARES


INTEL CORP         COMMON STOCK      458140100     269     14340 SH          DEFINED    1               14340

IBM                COMMON STOCK      459200101     380      3253 SH          DEFINED    1                3253

ISHARES            MUTUAL FUNDS -    464287101    1029     19395 SH          DEFINED    1               19395
                   EQUITY



COLUMN TOTALS                                     5244







                                                      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
                                                                                           
                                     464287101     106      2000 SH          DEF/OTH    1                2000

ISHARES            MUTUAL FUNDS -    464287200    1392     11913 SH          DEFINED    1               11913
                   EQUITY


                                     464287200      37       320 SH          DEF/OTH    1                 320

ISHARES            MUTUAL FUNDS -    464287226     764      7754 SH          DEFINED    1                7754
                   TAXABLE INCOME


ISHARES            MUTUAL FUNDS -    464287234     419     12273 SH          DEFINED    1               11238
                                                                                        1                                    1035
                   EQUITY


                                     464287234      22       645 SH          DEF/OTH    1                 645

ISHARES            MUTUAL FUNDS -    464287309    4076     71782 SH          DEFINED    1               65062
                                                                                        1                                    6720
                   EQUITY


                                     464287309      42       735 SH          DEF/OTH    1                 735

ISHARES            MUTUAL FUNDS -    464287465    3876     68845 SH          DEFINED    1               66227
                                                                                        1                                    2618
                   EQUITY


                                     464287465      76      1350 SH          DEF/OTH    1                1350

ISHARES            MUTUAL FUNDS -    464287473     234      5970 SH          DEFINED    1                5970
                   EQUITY


                                     464287473      14       357 SH          DEF/OTH    1                 357

COLUMN TOTALS                                    11058







                                                      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 -    464287481    1227     28294 SH          DEFINED    1               28294
                   EQUITY


                                     464287481      56      1280 SH          DEF/OTH    1                1280

ISHARES            MUTUAL FUNDS -    464287507    2481     34284 SH          DEFINED    1               32784
                                                                                        1                                    1500
                   EQUITY


                                     464287507      37       510 SH          DEF/OTH    1                 510

ISHARES            MUTUAL FUNDS -    464287598    1309     20496 SH          DEFINED    1               20496
                   EQUITY


                                     464287598      28       435 SH          DEF/OTH    1                 435

ISHARES            MUTUAL FUNDS -    464287606    2564     34197 SH          DEFINED    1               31289
                                                                                        1                                    2908
                   EQUITY


ISHARES            MUTUAL FUNDS -    464287614    4804     98946 SH          DEFINED    1               98307
                                                                                        1                                     639
                   EQUITY


                                     464287614      46       940 SH          DEF/OTH    1                 940

ISHARES            MUTUAL FUNDS -    464287622    3263     51332 SH          DEFINED    1               50244
                                                                                        1                                    1088
                   EQUITY


                                     464287622      66      1045 SH          DEF/OTH    1                1045



COLUMN TOTALS                                    15881







                                                      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 -    464287705     280      4072 SH          DEFINED    1                4072
                   EQUITY


                                     464287705      36       520 SH          DEF/OTH    1                 520

ISHARES            MUTUAL FUNDS -    464287804     499      8383 SH          DEFINED    1                8063
                                                                                        1                                     320
                   EQUITY


                                     464287804       4        75 SH          DEF/OTH    1                  75

ISHARES            MUTUAL FUNDS -    464288802     578     11421 SH          DEFINED    1                2766
                                                                                        1                                    8655
                   EQUITY


ISHARES            MUTUAL FUNDS -    464288885    2219     39200 SH          DEFINED    1               37425
                                                                                        1                                    1775
                   EQUITY


JOHNSON & JOHNSON  COMMON STOCK      478160104    1168     16855 SH          DEFINED    1               16080
                                                                                        1                                     775

KELLOGG CO         COMMON STOCK      487836108     235      4180 SH          DEFINED    1                4180

LOCKHEED MARTIN    COMMON STOCK      539830109     306      2794 SH          DEFINED    1                2794
CORP


MASSEY ENERGY CO   COMMON STOCK      576206106     226      6330 SH          DEFINED    1                6330

MCDONALDS          COMMON STOCK      580135101     494      8013 SH          DEFINED    1                8013


COLUMN TOTALS                                     6045







                                                      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
                                                                                           
MCKESSON CORP      COMMON STOCK      58155Q103     207      3840 SH          DEFINED    1                2725
                                                                                        1                                    1115

MICROSOFT          COMMON STOCK      594918104     508     19030 SH          DEFINED    1               19030

                                     594918104      11       430 SH          DEF/OTH    1                 430

MONSANTO CO        COMMON STOCK      61166W101     354      3581 SH          DEFINED    1                3581

NATIONAL-OILWELL   COMMON STOCK      637071101     245      4881 SH          DEFINED    1                4245
                                                                                        1                                     636
VARCO INC


ORACLE             COMMON STOCK      68389X105     686     33777 SH          DEFINED    1               33777
CORPORATION


PANHANDLE          COMMON STOCK      698477106     286     10000 SH          DEFINED    1               10000
ROYALTY CO.

CLASS A


PEABODY ENERGY     COMMON STOCK      704549104     257      5700 SH          DEFINED    1                5700
CORP


PEOPLES BANCORP    COMMON STOCK      709789101     3873    177916 SH         DEFINED    1              167377
                                                                                        1                        10539
INC.


                                     709789101    18060    829594 SH         DEF/OTH    1              140533
                                                                                        1                       689061

PEPSICO            COMMON STOCK      713448108     435      6101 SH          DEFINED    1                6101

COLUMN TOTALS                                    24922







                                                      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
                                                                                           

PFIZER INC COMMON  COMMON STOCK      717081103     196     10636 SH          DEFINED    1               10636

                                     717081103       8       430 SH          DEF/OTH    1                 430

PRICE T ROWE       COMMON STOCK      74144T108     296      5520 SH          DEFINED    1                4380
                                                                                        1                                    1140
GROUP INC


PROCTER & GAMBLE   COMMON STOCK      742718109     942     13517 SH          DEFINED    1               13517
CO


                                     742718109      14       200 SH          DEF/OTH    1                 200

PRUDENTIAL         COMMON STOCK      744320102     270      3747 SH          DEFINED    1                3047
                                                                                        1                                     700
FINANCIAL INC


ROCKY BRANDS INC   COMMON STOCK      774515100     622    186729 SH          DEFINED    1               23005
                                                                                        1                                  163724

RYDEX              MUTUAL FUNDS -    78355W106    1756     46307 SH          DEFINED    1               46307
                   EQUITY


RYDEX              MUTUAL FUNDS -    78355W205     391      4425 SH          DEFINED    1                4140
                                                                                        1                                     285
                   EQUITY


RYDEX              MUTUAL FUNDS -    78355W403     618     19990 SH          DEFINED    1               19990
                   EQUITY


S & P 500          MUTUAL FUNDS -    78462F103    5068     43691 SH          DEFINED    1               43691

COLUMN TOTALS                                    10181







                                                      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
                                                                                           
DEPOSITARY         EQUITY

RECEIPT
                                     78462F103      46       395 SH          DEF/OTH    1                 395

SIMON PPTY GROUP   COMMON STOCK      828806109     422      4346 SH          DEFINED    1                4346
INC NEW


STAPLES INC        COMMON STOCK      855030102     365     16242 SH          DEFINED    1               16242

3M COMPANY         COMMON STOCK      88579Y101     337      4940 SH          DEFINED    1                4940

US BANCORP DEL     COMMON STOCK      902973304     340      9440 SH          DEFINED    1                9440

UNITED             COMMON STOCK      909907107    1188     33948 SH          DEFINED    1               33948
BANKSHARES INC


UNITED TECH CORP   COMMON STOCK      913017109     788     13115 SH          DEFINED    1               11665
                                                                                        1                                    1450

VERIZON            COMMON STOCK      92343V104     318      9923 SH          DEFINED    1                9923
COMMUNICATIONS


                                     92343V104      12       388 SH          DEF/OTH    1                 388

WELLS FARGO & CO   COMMON STOCK      949746101     284      7580 SH          DEFINED    1                6680
                                                                                        1                                     900

WM WRIGLEY JR      COMMON STOCK      982526105     262      3295 SH          DEFINED    1                2865
                                                                                        1                                     430
COMPANY



COLUMN TOTALS                                     4362







                                                      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
                                                                                           
WYETH COMM         COMMON STOCK      983024100     319      8640 SH          DEFINED    1                8640

                                     983024100       9       240 SH          DEF/OTH    1                 240

ZIMMER HOLDINGS    COMMON STOCK      98956P102     247      3825 SH          DEFINED    1                3825
INC


ACCENTURE LTD      COMMON STOCK      G1150G111     236      6220 SH          DEFINED    1                4350
                                                                                        1                                    1870
CLASS A


                                     G1150G111      13       350 SH          DEF/OTH    1                 350


COLUMN TOTALS                                      824


AGGREGATE TOTAL                                  93932