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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: March 31, 2002


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: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



The Institutional Investment Manager filing this report and the person by whom
it is signed 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:  Edward E. Matthews

Title: Senior Vice Chairman -- Investments and Financial Services

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Edward E. Matthews             New York, New York        May 15, 2002
-------------------------------    ------------------------  ------------
(Signature)                        (City, State)              (Date)

Report Type (Check only one.):

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

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

[ ] 13F COMBINATION REPORT.  (Check 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).)






                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:


Number of Other Included Managers:  4



Form 13F Information Table Entry Total: 3,618



Form 13F Information Table Value Total: $19,016,116 (thousands)


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.       Form 13F File Number     Name
--        --------------------     -------------------------------------------

1         28-4637                  AIG GLOBAL INVESTMENT CORP.

2         28-2725                  SUNAMERICA ASSET MANAGEMENT CORP.

3         28-3463                  JOHN MCSTAY INVESTMENT COUNSEL, L.P.

4         28-5794                  HSB GROUP, INC.




File Number 28-219 (Consolidated)
As of 3/31/02




                                      TITLE                   VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR           VOTING AUTHORITY
NAME OF ISSUER                        CLASS      CUSIP      (X$1000)   PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                           
1-800 CONTACTS INC                    EQUITY     681977104       22      2,109 SH         DEFINED    1               2,109
1-800-FLOWERS.COM INC                 EQUITY     68243Q106       35      2,582 SH         DEFINED    1               2,582
1ST SOURCE CORP.                      EQUITY     336901103       95      4,013 SH         DEFINED    1               4,013
21ST CENTURY INSURANCE COMPANY        EQUITY     90130N103   966831 53,445,620 SH         DEFINED    1          53,445,620
21ST CENTURY INSURANCE COMPANY        EQUITY     90130N103        6        315 SH         DEFINED    1                 315
3 DIMENSIONAL PHARMACEUTICAL          EQUITY     88554W104       13      1,943 SH         DEFINED    1               1,943
3COM CORP.                            EQUITY     885535104     2730    446,803 SH         DEFINED    1             446,803
3D SYSTEMS CORPORATION                EQUITY     88554D205       40      2,535 SH         DEFINED    1               2,535
3M                                    EQUITY     88579Y101     2473     21,500 SH         DEFINED    4              21,500
3TEC ENERGY CORPORATION               EQUITY     88575R308       78      4,583 SH         DEFINED    1               4,583
4KIDS ENTERTAINMENT INC               EQUITY     350865101       52      2,615 SH         DEFINED    1               2,615
7-ELEVEN INC.                         EQUITY     817826209       80      7,206 SH         DEFINED    1               7,206
99 CENTS ONLY STORES                  EQUITY     65440K106     2822     73,613 SH         DEFINED    1              73,613
99 CENTS ONLY STORES COM              EQUITY     65440K106    19373    505,299 SH         Sole       3   486458               18841
A.G. EDWARDS, INC.                    EQUITY     281760108     4446    101,087 SH         DEFINED    1             101,087
AAIPHARMA INC                         EQUITY     00252W104      111      3,081 SH         DEFINED    1               3,081
AAR CORP.                             EQUITY     000361105       81      7,485 SH         DEFINED    1               7,485
AARON RENTS, INC.                     EQUITY     002535201       99      4,343 SH         DEFINED    1               4,343
ABBOTT LABORATORIES                   EQUITY     002824100    41226    783,755 SH         DEFINED    1             783,755
Abbott Labs                           EQUITY     002824100     4734     90,000 SH         DEFINED    4              90,000
ABBOTT LABS                           EQUITY     002824100     7565    143,845 SH         DEFINED    2             143,845
ABERCROMBIE AND FITCH CO              EQUITY     002896207      123      4,000 SH         DEFINED    2               4,000
ABERCROMBIE AND FITCH CO.             EQUITY     002896207     3870    125,665 SH         DEFINED    1             125,665
ABGENIX, INC.                         EQUITY     00339B107       62      3,298 SH         DEFINED    1               3,298
ABIOMED, INC.                         EQUITY     003654100       50      4,533 SH         DEFINED    1               4,533
Abitibi-Consolidated                  CORPBOND   003924AH0     5150  5,000,000 PRN        DEFINED    4           5,000,000
ABM INDUSTRIES, INC.                  EQUITY     000957100      207      5,644 SH         DEFINED    1               5,644
ACACIA RESEARCH CORP.                 EQUITY     003881109       69      6,086 SH         DEFINED    1               6,086
ACADIA REALTY TRUST                   EQUITY     004239109       41      5,937 SH         DEFINED    1               5,937
ACCLAIM ENTERTAINMENT, INC.           EQUITY     004325205       79     17,413 SH         DEFINED    1              17,413
ACCREDO HEALTH INC COM                EQUITY     00437V104    78170  1,364,931 SH         Sole       3  1333707               31224
ACCREDO HEALTH INC.                   EQUITY     00437V104      464      8,109 SH         DEFINED    1               8,109
ACE LIMITED                           EQUITY     G0070K103      159      3,830 SH         DEFINED    2               3,830
ACE LTD                               EQUITY     G0070K103     4904    117,612 SH         DEFINED    1             117,612
ACKERLEY GROUP, INC.                  EQUITY     004527107       83      4,635 SH         DEFINED    1               4,635
ACLARA BIOSCIENCES INC.               EQUITY     00461P106       37     11,134 SH         DEFINED    1              11,134
ACT MANUFACTURING INC                 EQUITY     000973107        1      2,885 SH         DEFINED    1               2,885
ACTEL CORP.                           EQUITY     004934105      146      7,071 SH         DEFINED    1               7,071
ACTERNA CORP                          EQUITY     00503U105        4      2,513 SH         DEFINED    1               2,513
ACTION PERFORMANCE CO., INC.          EQUITY     004933107      226      4,595 SH         DEFINED    1               4,595
ACTIVE POWER INC                      EQUITY     00504W100       52      9,971 SH         DEFINED    1               9,971
ACTIVISION, INC.                      EQUITY     004930202     2356     78,992 SH         DEFINED    1              78,992
ACTRADE FINANCIAL TECHNOLOGIES        EQUITY     00507P102       36      2,326 SH         DEFINED    1               2,326
ACTUATE CORP.                         EQUITY     00508B102       96     13,269 SH         DEFINED    1              13,269
ACTV, INC.                            EQUITY     00088E104       19     12,499 SH         DEFINED    1              12,499
ACUITY BRANDS INC                     EQUITY     00508Y102      213     12,861 SH         DEFINED    1              12,861





                                      TITLE                   VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR           VOTING AUTHORITY
NAME OF ISSUER                        CLASS      CUSIP      (X$1000)   PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
---------------------------------------------------------------------------------------------------------------------------------
                                                                                           
ACXIOM CORP.                          EQUITY     005125109     1895    110,533 SH         DEFINED    1            110,533
ADAPTEC, INC.                         EQUITY     00651F108      440     32,879 SH         DEFINED    1             32,879
ADC Telecommunications                EQUITY     000886101      407    100,000 SH         DEFINED    4            100,000
ADC TELECOMMUNICATIONS, INC           EQUITY     000886101     1608    395,046 SH         DEFINED    1            395,046
ADE CORP.                             EQUITY     00089C107       44      2,858 SH         DEFINED    1              2,858
ADELPHIA  COMMUNICATIONS              EQUITY     006848105       20      1,500 SH         DEFINED    2              1,500
ADELPHIA BUSINESS SOLUTIONS           EQUITY     006847107        2     41,865 SH         DEFINED    1             41,865
ADELPHIA COMMUNICATIONS CORP. CLASS A EQUITY     006848105      108      7,233 SH         DEFINED    1              7,233
ADMINISTAFF, INC.                     EQUITY     007094105      192      6,965 SH         DEFINED    1              6,965
ADOBE SYS INC                         EQUITY     00724F101       45     26,600 SH         DEFINED    2             26,600
Adobe Systems                         EQUITY     00724F101     1813     45,000 SH         DEFINED    4             45,000
ADOBE SYSTEMS INC.                    EQUITY     00724F101     5126    127,218 SH         DEFINED    1            127,218
ADOLOR CORPORATION                    EQUITY     00724X102      108      9,682 SH         DEFINED    1              9,682
ADTRAN, INC.                          EQUITY     00738A106     1356     56,181 SH         DEFINED    1             56,181
ADVANCED DIGITAL INFO CORP.           EQUITY     007525108      249     19,152 SH         DEFINED    1             19,152
ADVANCED ENERGY INDUSTRIES            EQUITY     007973100      207      5,765 SH         DEFINED    1              5,765
ADVANCED FIBRE COMMUNICATIONS         EQUITY     00754A105     1996    104,007 SH         DEFINED    1            104,007
ADVANCED MARKETING SERV. INC.         EQUITY     00753T105      113      4,695 SH         DEFINED    1              4,695
ADVANCED MICRO DEVICES INC            EQUITY     007903107      294     20,000 SH         DEFINED    2             20,000
ADVANCED MICRO DEVICES, INC.          EQUITY     007903107     3096    210,503 SH         DEFINED    1            210,503
ADVANCED NEUROMOD SYS COM             EQUITY     00757t101     1476     44,000 SH         Sole       3    44000
ADVANCED TISSUE SCIENCES, INC.        EQUITY     00755F103       72     22,765 SH         DEFINED    1             22,765
ADVANCEPCS                            EQUITY     00790K109       41      1,369 SH         DEFINED    1              1,369
ADVANCES NEUROMODULATIONS SYS         EQUITY     00757T101       70      2,085 SH         DEFINED    1              2,085
ADVANTA CORP.                         EQUITY     007942105       85      6,687 SH         DEFINED    1              6,687
ADVENT SOFTWARE INC COM               EQUITY     007974108    38804    655,918 SH         Sole       3   638129             17789
ADVENT SOFTWARE, INC.                 EQUITY     007974108     2541     42,943 SH         DEFINED    1             42,943
ADVO, INC.                            EQUITY     007585102      242      5,738 SH         DEFINED    1              5,738
AEP INDS INC COM                      EQUITY     001031103       17        490 SH         DEFINED    1                490
AEROFLEX, INC                         EQUITY     007768104      239     18,591 SH         DEFINED    1             18,591
AES DRAX ENERGY LTD                   EQUITY     00130H105     2173    241,430 SH         DEFINED    1            241,430
AETHER SYSTEMS INC.                   EQUITY     00808V105       30      6,888 SH         DEFINED    1              6,888
Aetna                                 CORPBOND   00817YAB4     4927  5,000,000 PRN        DEFINED    4          5,000,000
AETNA INC. NEW                        EQUITY     00817Y108       58      1,500 SH         DEFINED    2              1,500
AETNA INC-NEW                         EQUITY     00817Y108     2608     67,187 SH         DEFINED    1             67,187
AFC Capital Trust                     CORPBOND   00104PAC3     5721  6,000,000 PRN        DEFINED    4          6,000,000
AFC ENTERPRISES                       EQUITY     00104Q107       99      2,948 SH         DEFINED    1              2,948
AFFILIATED COMPUTER CL A              EQUITY     008190100    103990 1,852,656 SH         Sole       3  1761960             85896
AFFILIATED COMPUTER SERVICES CLASS A  EQUITY     008190100     9343    166,456 SH         DEFINED    1            166,456
AFFILIATED COMPUTER SVCS INC          EQUITY     008190100     7179    127,900 SH         DEFINED    2            127,900
AFFILIATED MANAGERS CORP              EQUITY     008252108    60594    843,572 SH         Sole       3   803510             38362
AFFILIATED MANAGERS GROUP             EQUITY     008252108      497      6,915 SH         DEFINED    1              6,915
AFFYMETRIX INC                        EQUITY     00826T108       17        572 SH         DEFINED    1                572
AFFYMETRIX INC COM                    EQUITY     00826T108    29101  1,004,171 SH         Sole       3   987871             16300
AFLAC, INC.                           EQUITY     001055102     8063    273,320 SH         DEFINED    1            273,320
AFTERMARKET TECHNOLOGY CORP           EQUITY     008318107      896     48,000 SH         DEFINED    2             48,000
AGCO CORP.                            EQUITY     001084102     2534    111,052 SH         DEFINED    1            111,052
AGERE SYSTEMS INC-A                   EQUITY     00845V100       32      8,336 SH         DEFINED    1              8,336
AGILE SOFTWARE CORP.                  EQUITY     00846X105      115      9,519 SH         DEFINED    1              9,519
AGILENT TECHNOLOGIES INC.             EQUITY     00846U101     7432    212,590 SH         DEFINED    1            212,590
AGL Cap Trust                         CORPBOND   001196AC8      873  1,000,000 PRN        DEFINED    4          1,000,000
AGL RESOURCES, INC.                   EQUITY     001204106     2770    117,892 SH         DEFINED    1            117,892
Ahmanson Cap Trust I                  CORPBOND   008682AA4     8579  8,700,000 PRN        DEFINED    4          8,700,000





                                      TITLE                   VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR           VOTING AUTHORITY
NAME OF ISSUER                        CLASS      CUSIP      (X$1000)    PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                           
AIR PRODS & CHEMS INC COM             EQUITY     009158106     3564     69,000 SH         Sole       3    69000
AIR PRODUCTS AND CHEMICALS INC        EQUITY     009158106     5426    105,060 SH         DEFINED    1            105,060
AIRBORNE INC.                         EQUITY     009269101     2038    116,530 SH         DEFINED    1            116,530
AIRGAS, INC.                          EQUITY     009363102     2119    105,437 SH         DEFINED    1            105,437
AIRGATE PCS, INC.                     EQUITY     009367103       99      7,056 SH         DEFINED    1              7,056
AIRTRAN HOLDINGS, INC.                EQUITY     00949P108      115     18,960 SH         DEFINED    1             18,960
AK STEEL CORP.                        EQUITY     001547108    32577  2,278,090 SH         DEFINED    1          2,278,090
AKAMAI  TECHNOLOGIES  INC.            EQUITY     00971T101      746    186,340 SH         DEFINED    1            186,340
AKSYS LTD                             EQUITY     010196103       49      5,559 SH         DEFINED    1              5,559
ALABAMA NATIONAL BANCORP              EQUITY     010317105      105      2,840 SH         DEFINED    1              2,840
ALAMOSA HOLDINGS INC.                 EQUITY     011589108      108     21,553 SH         DEFINED    1             21,553
ALASKA AIR GROUP, INC.                EQUITY     011659109     1387     41,656 SH         DEFINED    1             41,656
ALASKA COMM. SYS. HLDGS., INC.        EQUITY     01167P101       21      2,864 SH         DEFINED    1              2,864
ALBANY INTERNATIONAL CORP. CLASS A    EQUITY     012348108     1339     44,178 SH         DEFINED    1             44,178
ALBANY MOLECULAR                      EQUITY     012423109      157      6,560 SH         DEFINED    1              6,560
ALBEMARLE CORP.                       EQUITY     012653101     1792     65,012 SH         DEFINED    1             65,012
ALBERTO-CULVER CO. CLASS B            EQUITY     013068101     1439     26,646 SH         DEFINED    1             26,646
ALBERTSONS INC                        EQUITY     013104104       11        330 SH         DEFINED    2                330
ALBERTSON'S, INC.                     EQUITY     013104104     6216    187,576 SH         DEFINED    1            187,576
ALCAN                                 EQUITY     013716105     5764    145,440 SH         DEFINED    1            145,440
ALCOA INC                             EQUITY     013817101      736     19,500 SH         DEFINED    2             19,500
ALCOA, INC.                           EQUITY     013817101    14840    393,210 SH         DEFINED    1            393,210
ALCON INC                             EQUITY     H01301102              17,000 SH         DEFINED    2             17,000
ALEXANDER & BALDWIN, INC.             EQUITY     014482103     1753     63,504 SH         DEFINED    1             63,504
ALEXANDER'S, INC.                     EQUITY     014752109       32        525 SH         DEFINED    1                525
ALEXANDRIA REAL ESTATE EQUITIE        EQUITY     015271109      207      4,633 SH         DEFINED    1              4,633
ALEXION PHARMACEUTICLAS, INC.         EQUITY     015351109      117      4,979 SH         DEFINED    1              4,979
ALFA CORP.                            EQUITY     015385107      340     12,181 SH         DEFINED    1             12,181
ALICO INC                             EQUITY     016230104       31      1,077 SH         DEFINED    1              1,077
ALIGN TECHNOLOGY INC                  EQUITY     016255101       17      3,115 SH         DEFINED    1              3,115
ALKERMES INC                          EQUITY     01642T108       25        956 SH         DEFINED    1                956
ALLEGHANY CORP                        EQUITY     017175100        8         44 SH         DEFINED    1                 44
ALLEGHENY ENERGY, INC.                EQUITY     017361106    25727    622,173 SH         DEFINED    1            622,173
ALLEGHENY TECHNOLOGIES, INC.          EQUITY     01741R102     1339     80,933 SH         DEFINED    1             80,933
ALLEGIANCE TELECOM I                  EQUITY     01747T102        3      1,153 SH         DEFINED    1              1,153
ALLEN TELECOM, INC.                   EQUITY     018091108       53      7,935 SH         DEFINED    1              7,935
ALLERGAN, INC.                        EQUITY     018490102    20183    312,188 SH         DEFINED    1            312,188
ALLETE INC.                           EQUITY     018522102     3099    106,520 SH         DEFINED    1            106,520
ALLIANCE DATA SYS CORP COM            EQUITY     018581108    32460  1,291,180 SH         Sole       3  1266180             25000
ALLIANCE FIBER OPTIC PRODUCT          EQUITY     018680108        5      4,557 SH         DEFINED    1              4,557
ALLIANCE GAMING CORP                  EQUITY     01859P609      142      4,667 SH         DEFINED    1              4,667
ALLIANCE GAMING CORP COM NEW          EQUITY     01859P609     7465    244,500 SH         Sole       3   244500
ALLIANCE SEMICONDUCTOR CORP.          EQUITY     01877H100       94      8,168 SH         DEFINED    1              8,168
ALLIANT CORP                          EQUITY     018802108       91      3,000 SH         DEFINED    2              3,000
ALLIANT ENERGY CORP.                  EQUITY     018802108     3351    110,884 SH         DEFINED    1            110,884
ALLIANT TECHSYSTEMS INC               EQUITY     018804104      780      7,650 SH         DEFINED    1              7,650
ALLIED CAPITAL CORP                   EQUITY     01903Q108       33      1,209 SH         DEFINED    1              1,209
ALLIED WASTE INDUSTRIES, INC.         EQUITY     019589308     1520    116,944 SH         DEFINED    1            116,944
ALLMERICA FINANCIAL CORP              EQUITY     019754100     3009     67,021 SH         DEFINED    1             67,021
ALLOY INC COM                         EQUITY     019855105    19421  1,292,150 SH         Sole       3  1291150              1000
ALLOY ONLINE, INC                     EQUITY     019855105       59      3,947 SH         DEFINED    1              3,947
ALLSCRIPTS HEALTHCARE SOLUTION        EQUITY     01988P108       61      9,678 SH         DEFINED    1              9,678
ALLSTATE CORP.                        EQUITY     020002101    14310    378,870 SH         DEFINED    1            378,870




                                      TITLE                  VALUE     SHRS OR SH/   PUT/ INVSTMT  OTHR           VOTING AUTHORITY
NAME OF ISSUER                        CLASS        CUSIP    (X$100)    PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ALLTEL CORP.                          EQUITY     020039103     9818    176,740 SH         DEFINED    1            176,740
ALPHA INDUSTRIES, INC.                EQUITY     020753109      210     13,755 SH         DEFINED    1             13,755
ALPHARMA INC. CLASS A                 EQUITY     020813101      135      9,415 SH         DEFINED    1              9,415
ALTERA CORP.                          EQUITY     021441100     4298    196,515 SH         DEFINED    1            196,515
AMAZON.COM, INC.                      EQUITY     023135106      133      9,327 SH         DEFINED    1              9,327
AMB PPTY CORP                         EQUITY     00163T109     8173    297,200 SH         Sole       3   241694             55506
AMB PROPERTY CORP                     EQUITY     00163T109       19        681 SH         DEFINED    1                681
AMBAC FINANCIAL GROUP INC.            EQUITY     023139108     2860     48,419 SH         DEFINED    1             48,419
AMBASSADORS GROUP INC                 EQUITY     023177108       30      2,177 SH         DEFINED    1              2,177
AMBASSADORS INTERNATIONAL             EQUITY     023178106       19      2,177 SH         DEFINED    1              2,177
AMC ENTERTAINMENT, INC.               EQUITY     001669100       79      5,791 SH         DEFINED    1              5,791
AMCOL INTERNATIONAL CORP.             EQUITY     02341W103       38      6,312 SH         DEFINED    1              6,312
AMCORE FINANCIAL, INC.                EQUITY     023912108      182      7,722 SH         DEFINED    1              7,722
AMERADA HESS CORP                     EQUITY     023551104     3681     46,380 SH         DEFINED    1             46,380
AMERCO, INC.                          EQUITY     023586100       69      3,975 SH         DEFINED    1              3,975
AMEREN CORP.                          EQUITY     023608102    18597    435,027 SH         DEFINED    1            435,027
Ameren Corporation                    EQUITY     023608102     6413    150,000 SH         DEFINED    4            150,000
AMERICA FIRST MORTGAGE INVST          EQUITY     023934102     1790    200,000 SH         DEFINED    1            200,000
AMERICA MOVIL-SERIES L ADR            EQUITY     02364W105     4439    223,490 SH         DEFINED    1            223,490
AMERICA ONLINE LATIN AMERICA          EQUITY     02365B100       16      6,909 SH         DEFINED    1              6,909
AMERICAN AXLE & MFG HOLDINGS          EQUITY     024061103       98      3,380 SH         DEFINED    1              3,380
AMERICAN AXLE + MFG HLDGS INC         EQUITY     024061103     3173    109,400 SH         DEFINED    2            109,400
AMERICAN CAP. STRATEGIES, INC.        EQUITY     024937104    12599    406,942 SH         DEFINED    1            406,942
AMERICAN EAGLE OUTFITTERS             EQUITY     02553E106     2258     91,141 SH         DEFINED    1             91,141
AMERICAN EAGLE OUTFITTERS INC         EQUITY     02553E106      259     68,350 SH         DEFINED    2             68,350
AMERICAN ELECTRIC POWER, INC.         EQUITY     025537101     6715    145,690 SH         DEFINED    1            145,690
American Express                      EQUITY     025816109     1843     45,000 SH         DEFINED    4             45,000
AMERICAN EXPRESS CO                   EQUITY     025816109     2285     46,497 SH         DEFINED    2             46,497
AMERICAN EXPRESS CO.                  EQUITY     025816109    50976  1,244,530 SH         DEFINED    1          1,244,530
AMERICAN FINANCIAL GROUP, INC.        EQUITY     025932104     2479     86,320 SH         DEFINED    1             86,320
AMERICAN FINANCIAL HLDGS INC.         EQUITY     026075101      173      6,485 SH         DEFINED    1              6,485
AMERICAN GREETINGS CORP. CLASS A      EQUITY     026375105     1048     57,755 SH         DEFINED    1             57,755
AMERICAN HEALTHWAYS INC               EQUITY     02649V104       95      3,489 SH         DEFINED    1              3,489
AMERICAN INTL GRP INC COM             EQUITY     026874107    168314 2,333,162 SH         DEFINED    1          2,333,162
AMERICAN ITALIAN PASTA CO. CLASS A    EQUITY     027070101      238      5,233 SH         DEFINED    1              5,233
AMERICAN MANAGEMENT SYSTEMS           EQUITY     027352103      242     12,977 SH         DEFINED    1             12,977
AMERICAN MEDICAL SYSTEMS HOLDI        EQUITY     02744M108      224      9,936 SH         DEFINED    1              9,936
AMERICAN NATIONAL IN                  EQUITY     028591105       10        101 SH         DEFINED    1                101
AMERICAN PHYSICIANS CAPITAL IN        EQUITY     028884104       66      3,404 SH         DEFINED    1              3,404
AMERICAN POWER CONVERSION             EQUITY     029066107     1335     90,333 SH         DEFINED    1             90,333
AMERICAN REALTY INVESTORS IN          EQUITY     029174109        9      1,214 SH         DEFINED    1              1,214
American Standard                     CORPBOND   029717AC9     5050  5,000,000 PRN        DEFINED    4          5,000,000
AMERICAN STANDARD COMPANIES           EQUITY     029712106     7532    106,466 SH         DEFINED    1            106,466
AMERICAN STATES WATER CO.             EQUITY     029899101      111      3,142 SH         DEFINED    1              3,142
AMERICAN SUPERCONDUCTOR CORP          EQUITY     030111108       48      6,371 SH         DEFINED    1              6,371
AMERICAN TOWER CORP                   EQUITY     029912201       12      2,092 SH         DEFINED    1              2,092
AMERICAN WATER WORKS CO., INC.        EQUITY     030411102     5539    126,470 SH         DEFINED    1            126,470
AMERICAN WEST HOLDINGS CORP. CLASS B  EQUITY     023657208       59     10,501 SH         DEFINED    1             10,501
AMERICAN WOODMARK CORP.               EQUITY     030506109      106      1,684 SH         DEFINED    1              1,684
AMERICAN WTR WKS INC                  EQUITY     030411102      486     11,100 SH         DEFINED    2             11,100
AMERICREDIT CORP COM                  EQUITY     03060R101    99934  2,630,533 SH         Sole       3  2508071            116462
AMERICREDIT CORP.                     EQUITY     03060R101     4877    128,373 SH         DEFINED    1            128,373
AMERIPATH, INC.                       EQUITY     03071D109      230      8,596 SH         DEFINED    1              8,596




                                                                                                                  VOTING AUTHORITY
                                      TITLE                   VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR
NAME OF ISSUER                        CLASS      CUSIP      (X$1000)   PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
---------------------------------------------------------------------------------------------------------------------------------
                                                                                            
AMERISOURCEBERGEN CO                  EQUITY     03073E105    19363    283,495 SH         DEFINED    1            283,495
AMERISTAR CASINOS                     EQUITY     03070Q101       27      1,000 SH         DEFINED    1              1,000
AMERITRADE HOLDING C                  EQUITY     03072H109       12      1,880 SH         DEFINED    1              1,880
AMERON, INC.                          EQUITY     030710107       81      1,125 SH         DEFINED    1              1,125
AMERUS GROUP CO.                      EQUITY     03072M108      500     13,003 SH         DEFINED    1             13,003
AMETEK, INC.                          EQUITY     031100100     1913     51,416 SH         DEFINED    1             51,416
AMGEN INC                             EQUITY     031162100     1774     30,145 SH         DEFINED    2             30,145
AMGEN, INC.                           EQUITY     031162100    29731    498,180 SH         DEFINED    1            498,180
AMKOR TECHNOLOGY, INC                 EQUITY     031652100       39      1,765 SH         DEFINED    1              1,765
AMLI RESIDENTIAL PROPERTIES           EQUITY     001735109      105      4,156 SH         DEFINED    1              4,156
AMPHENOL CORP. CLASS A                EQUITY     032095101      486     10,378 SH         DEFINED    1             10,378
AMR CORP.                             EQUITY     001765106     1884     71,349 SH         DEFINED    1             71,349
AMSOUTH BANCORPORATION                EQUITY     032165102     3700    168,323 SH         DEFINED    1            168,323
AMSURG CORP CL A                      EQUITY     03232P405    16501    606,415 SH         Sole       3   606415
AMSURG CORP CL A                      EQUITY     03232P405      170      6,244 SH         DEFINED    1              6,244
AMTRAN, INC.                          EQUITY     03234G106       14      1,004 SH         DEFINED    1              1,004
AMYLIN PHARMACEUTICALS, INC.          EQUITY     032346108      177     17,682 SH         DEFINED    1             17,682
ANADARKO PETROLEUM CORP.              EQUITY     032511107    23029    408,033 SH         DEFINED    1            408,033
ANADIGICS, INC.                       EQUITY     032515108      117      9,451 SH         DEFINED    1              9,451
ANALOG DEVICES, INC.                  EQUITY     032654105     8132    180,550 SH         DEFINED    1            180,550
ANALOGIC CORP.                        EQUITY     032657207       86      2,077 SH         DEFINED    1              2,077
ANAREN MICROWAVE, INC                 EQUITY     032744104       96      6,598 SH         DEFINED    1              6,598
ANCHOR BANCORP WISCONSIN, INC.        EQUITY     032839102      118      5,884 SH         DEFINED    1              5,884
ANDREW CORP.                          EQUITY     034425108     1041     62,214 SH         DEFINED    1             62,214
ANDRX GROUP                           EQUITY     034553107     6023    158,748 SH         DEFINED    1            158,748
ANGLO AMERICAN PLC - UNSP ADR         EQUITY     03485P102      898     54,500 SH         DEFINED    1             54,500
Anheuser Busch                        CORPBOND   035229AX1     1993  2,000,000 PRN        DEFINED    4          2,000,000
Anheuser Busch                        EQUITY     035229103     2610     50,000 SH         DEFINED    4             50,000
ANHEUSER BUSCH COS INC                EQUITY     035229103      131      2,500 SH         DEFINED    2              2,500
ANHEUSER-BUSCH COMPANIES, INC.        EQUITY     035229103    43673    836,650 SH         DEFINED    1            836,650
ANHEUSER-BUSCH COS                    EQUITY     035229103       58      1,120 SH         DEFINED    2              1,120
ANIXTER INTERNATIONALL, INC.          EQUITY     035290105      245      8,268 SH         DEFINED    1              8,268
ANN TAYLOR STORES CORP.               EQUITY     036115103      331      7,660 SH         DEFINED    1              7,660
ANNALY MTG MGMT INC                   EQUITY     035710409    12996    765,376 SH         DEFINED    1            765,376
ANNTAYLOR STORES CORP COM             EQUITY     036115103    25020    578,900 SH         Sole       3   568500             10400
ANSOFT CORP                           EQUITY     036384105       35      1,923 SH         DEFINED    1              1,923
ANSWERTHINK INC                       EQUITY     036916104       78     12,028 SH         DEFINED    1             12,028
ANSYS INC                             EQUITY     03662Q105      122      4,492 SH         DEFINED    1              4,492
ANTEON INTL CORP COM                  EQUITY     03674E108    10096    485,400 SH         Sole       3   484300              1100
ANTHEM INC COM                        EQUITY     03674B104    13098    227,520 SH         Sole       3   181800             43020
ANTHRACITE CAPITAL INC.               EQUITY     037023108     5024    436,850 SH         DEFINED    1            436,850
ANTIGENICS INC.                       EQUITY     037032109       62      4,464 SH         DEFINED    1              4,464
AOL Time Warner                       EQUITY     00184A105      993     42,000 SH         DEFINED    4             42,000
AOL TIME WARNER INC                   EQUITY     00184A105     1719     93,017 SH         DEFINED    2             93,017
AOL TIME WARNER INC.                  EQUITY     00184A105    57489  2,430,814 SH         DEFINED    1          2,430,814
AON Capital Trust                     CORPBOND   037388AE5     7705  8,000,000 PRN        DEFINED    4          8,000,000
AON CORP.                             EQUITY     037389103     4343    124,074 SH         DEFINED    1            124,074
APAC TELESERVICES, INC.               EQUITY     00185E106       24      7,631 SH         DEFINED    1              7,631
APACHE CORP                           EQUITY     037411105      737     12,967 SH         DEFINED    2             12,967
APACHE CORP.                          EQUITY     037411105     3615     63,555 SH         DEFINED    1             63,555
APARTMENT INVT & MGMT CL A            EQUITY     03748R101    22812    471,600 SH         Sole       3   384546             87054
APARTMENT INVT & MGMT CO - A          EQUITY     03748R101       32        655 SH         DEFINED    1                655
APEX MORTGAGE CAPITAL INC             EQUITY     037564101     3477    300,000 SH         DEFINED    1            300,000





                                      TITLE                   VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                        CLASS      CUSIP      (X$1000)   PRN AMT PRN   CALL DSCRETN  MGRS   SOLE      SHARED    NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
APHTON CORP.                          EQUITY     03759P101       56      4,702 SH         DEFINED    1                4,702
APOGEE ENTERPRISES, INC.              EQUITY     037598109      107      8,799 SH         DEFINED    1                8,799
APOGENT TECHNOLOGIES                  EQUITY     03760A101     3333    135,032 SH         DEFINED    1              135,032
APOLLO GROUP INC                      EQUITY     037604105     1339     25,000 SH         DEFINED    2               25,000
APOLLO GROUP INC CL A                 EQUITY     037604105    21160    395,148 SH         Sole       3   339100               52348
APOLLO GROUP, INC. CLASS A            EQUITY     037604105     7981    149,043 SH         DEFINED    1              149,043
APPLE COMPUTER, INC.                  EQUITY     037833100     4175    176,368 SH         DEFINED    1              176,368
APPLEBEES INTERNATIONAL, INC.         EQUITY     037899101      377     10,397 SH         DEFINED    1               10,397
APPLERA CORP  APPLIED BIOSYSTEM       EQUITY     038020103     2283    102,149 SH         DEFINED    1              102,149
APPLICA INC.                          EQUITY     03815A106       47      5,437 SH         DEFINED    1                5,437
APPLIED INDUSTRIAL TECH., INC.        EQUITY     03820C105      102      5,314 SH         DEFINED    1                5,314
APPLIED INNOVATION, INC.              EQUITY     037916103       12      2,722 SH         DEFINED    1                2,722
APPLIED MATERIALS, INC.               EQUITY     038222105    33235    612,410 SH         DEFINED    1              612,410
APPLIED MICRO CIRCUITS CORP.          EQUITY     03822W109     1191    148,841 SH         DEFINED    1              148,841
APPLIED MOLECULAR EVOLUTION           EQUITY     03823E108       43      5,039 SH         DEFINED    1                5,039
APRIA HEALTHCARE GROUP, INC.          EQUITY     037933108     1989     81,170 SH         DEFINED    1               81,170
APTARGROUP, INC.                      EQUITY     038336103      353     10,085 SH         DEFINED    1               10,085
ARAID PHARAMACEUTICLAS, INC.          EQUITY     04033A100       47      8,847 SH         DEFINED    1                8,847
ARAMARK CORP                          EQUITY     038521100       53      2,000 SH         DEFINED    2                2,000
ARBITRON, INC.                        EQUITY     03875Q108      307      9,082 SH         DEFINED    1                9,082
ARCH CHEMICALS, INC.                  EQUITY     03937R102      138      6,276 SH         DEFINED    1                6,276
ARCH COAL, INC.                       EQUITY     039380100     1416     66,236 SH         DEFINED    1               66,236
ARCHER DANIELS MIDLAND CO.            EQUITY     039483102     4213    302,431 SH         DEFINED    1              302,431
ARCHSTONE COMMUNITIES TRUST           EQUITY     039583109       49      1,847 SH         DEFINED    1                1,847
ARCHSTONE SMITH TR COM                EQUITY     039583109    33761  1,260,208 SH         Sole       3  1025079              235129
ARCTIC CAT, INC.                      EQUITY     039670104      100      4,960 SH         DEFINED    1                4,960
ARDEN GROUP INC                       EQUITY     039762109       30        442 SH         DEFINED    1                  442
ARDEN REALTY INC.                     EQUITY     039793104       16        571 SH         DEFINED    1                  571
ARDEN RLTY GROUP INC COM              EQUITY     039793104    25503    898,000 SH         Sole       3   743641              154359
ARENA PHARMACEUTICALS INC             EQUITY     040047102       56      5,628 SH         DEFINED    1                5,628
ARGONAUT GROUP, INC.                  EQUITY     040157109      142      6,712 SH         DEFINED    1                6,712
ARGOSY GAMING CO.                     EQUITY     040228108      258      7,026 SH         DEFINED    1                7,026
ARIBA, INC.                           EQUITY     04033V104      128     28,364 SH         DEFINED    1               28,364
ARKANSAS BEST CORP                    EQUITY     040790107     1698     61,100 SH         DEFINED    2               61,100
ARKANSAS BEST CORP.                   EQUITY     040790107      178      6,414 SH         DEFINED    1                6,414
ARMOR HOLDINGS, INC.                  EQUITY     042260109      181      6,689 SH         DEFINED    1                6,689
ARMSTRONG HOLDINGS, INC.              EQUITY     042384107       37     11,957 SH         DEFINED    1               11,957
ARQULE, INC.                          EQUITY     04269E107       76      5,994 SH         DEFINED    1                5,994
ARRAY BIOPHARMA INC                   EQUITY     04269X105     3665    283,000 SH         Sole       3   283000
ARRAY BIOPHARMA INC                   EQUITY     04269X105       60      4,640 SH         DEFINED    1                4,640
ARRIS GROUP INC                       EQUITY     04269Q100      147     15,766 SH         DEFINED    1               15,766
Arrow Electronics                     CORPBOND   042735AR1      986  1,000,000 PRN        DEFINED    4            1,000,000
ARROW ELECTRONICS INC                 EQUITY     042735100     4394    157,083 SH         DEFINED    1              157,083
ARROW FINANCIAL CORP                  EQUITY     042744102       57      1,969 SH         DEFINED    1                1,969
ARROW INTERNATIONAL, INC.             EQUITY     042764100      166      3,511 SH         DEFINED    1                3,511
ART TECHNOLOGY GROUP, INC.            EQUITY     04289L107       35     16,920 SH         DEFINED    1               16,920
ARTESYN TECHNOLOGIES, INC.            EQUITY     043127109       99     10,583 SH         DEFINED    1               10,583
ARTHROCARE CORP.                      EQUITY     043136100      113      6,302 SH         DEFINED    1                6,302
Arthur J Gallagher                    EQUITY     363576109     1639     50,000 SH         DEFINED    4               50,000
ARTISAN COMPONENTS INC.               EQUITY     042923102       68      4,067 SH         DEFINED    1                4,067
Arvin Industries Inc.                 CORPBOND   043339AJ9     2818  3,000,000 PRN        DEFINED    4            3,000,000
ARVINMERITOR, INC                     EQUITY     043353101     2983    104,494 SH         DEFINED    1              104,494
ASCENTIAL SOFTWARE CORP.              EQUITY     04362P108     1566    406,836 SH         DEFINED    1              406,836




                                                                                                                  VOTING AUTHORITY
                                      TITLE      CUSIP       VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR
NAME OF ISSUER                        CLASS                 (X$1000)   PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                           
ASHLAND OIL, INC.                     EQUITY     044204105     5892    129,457 SH         DEFINED    1            129,457
ASIA GLOBAL CROSSING LTD-A    COMMON  EQUITY     G05330108       11     50,000 SH         DEFINED    1             50,000
ASIAINFO HOLDINGS INC.                EQUITY     04518A104      111      8,404 SH         DEFINED    1              8,404
ASPECT COMMUNICATIONS INC.            EQUITY     04523Q102       63     16,152 SH         DEFINED    1             16,152
ASPECT MEDICAL SYSTEMS, INC.          EQUITY     045235108       35      3,904 SH         DEFINED    1              3,904
ASPEN TECHNOLOGY, INC.                EQUITY     045327103      225      9,821 SH         DEFINED    1              9,821
ASSOCIATED BANC-CORP.                 EQUITY     045487105     3166     83,248 SH         DEFINED    1             83,248
ASSOCIATED ESTATES REALTY             EQUITY     045604105       51      5,020 SH         DEFINED    1              5,020
ASTEC INDS INC COM                    EQUITY     046224101       84      4,790 SH         DEFINED    1              4,790
ASTORIA FINANCIAL CORP.               EQUITY     046265104     3395    116,854 SH         DEFINED    1            116,854
ASTROPOWER INC                        EQUITY     04644A101      160      3,836 SH         DEFINED    1              3,836
ASTROPOWER INC COM                    EQUITY     04644A101    31929    764,583 SH         Sole       3   746590             17993
ASYST TECHNOLOGIES, INC.              EQUITY     04648X107      200     10,984 SH         DEFINED    1             10,984
AT + T CORP                           EQUITY     001957109     1068     68,467 SH         DEFINED    2             68,467
AT + T WIRELESS                       EQUITY     00209A106        9      1,055 SH         DEFINED    2              1,055
AT&T                                  CORPBOND   001957BA6     4854  5,000,000 PRN        DEFINED    4          5,000,000
AT&T                                  EQUITY     001957109    27283  1,737,740 SH         DEFINED    1          1,737,740
AT&T LATIN AMERICA-CL A               EQUITY     04649A106       20     13,463 SH         DEFINED    1             13,463
AT&T WIRELESS (USD)                   EQUITY     00209A106    16895  1,887,745 SH         DEFINED    1          1,887,745
ATLANTIC COAST AIRLINES HLDG.         EQUITY     048396105      298     12,440 SH         DEFINED    1             12,440
ATLANTIC COAST AIRLINES HLDGS         EQUITY     048396105     3070    118,300 SH         DEFINED    2            118,300
ATLAS AIR WORLDWIDE HLDGS INC.        EQUITY     049164106      701     53,215 SH         DEFINED    1             53,215
ATMEL CORP                            EQUITY     049513104      907     89,400 SH         DEFINED    2             89,400
ATMEL CORP.                           EQUITY     049513104     6079    599,490 SH         DEFINED    1            599,490
ATMI INC                              EQUITY     00207R101     1127     46,800 SH         DEFINED    2             46,800
ATMOS ENERGY CORP.                    EQUITY     049560105      301     12,772 SH         DEFINED    1             12,772
ATP OIL & GAS CORP                    EQUITY     00208J108        8      1,876 SH         DEFINED    1              1,876
ATRIX LABS INC                        EQUITY     04962L101      137      6,003 SH         DEFINED    1              6,003
ATS MEDICA, INC.                      EQUITY     002083103       14      6,908 SH         DEFINED    1              6,908
ATWOOD OCEANICS, INC.                 EQUITY     050095108      131      2,861 SH         DEFINED    1              2,861
AUDIOVOX COPR.                        EQUITY     050757103       39      5,425 SH         DEFINED    1              5,425
AUGUST TECHNOLOGY CORP.               EQUITY     05106U105       25      1,686 SH         DEFINED    1              1,686
AURORA FOODS, INC.                    EQUITY     05164B106       32      7,555 SH         DEFINED    1              7,555
AUSPEX SYSTEMS, INC.                  EQUITY     052116100       18     14,154 SH         DEFINED    1             14,154
AUTODESK, INC.                        EQUITY     052769106     1180     25,273 SH         DEFINED    1             25,273
AUTOLIV, INC.                         EQUITY     052800109       23        965 SH         DEFINED    1                965
AUTOMATIC DATA PROCESSING INC.        EQUITY     053015103    18717    321,210 SH         DEFINED    1            321,210
AUTONATION INC                        EQUITY     05329W102       34      2,467 SH         DEFINED    1              2,467
AUTOZONE, INC.                        EQUITY     053332102     3398     49,350 SH         DEFINED    1             49,350
AVALONBAY COMM                        EQUITY     053484101    20135    404,311 SH         Sole       3   340399             63912
AVALONBAY COMMUNITIE                  EQUITY     053484101       31        615 SH         DEFINED    1                615
AVANEX CORP                           EQUITY     05348W109       37      9,266 SH         DEFINED    1              9,266
AVANIR PHARMACEUTICALS                EQUITY     05348P104       52     18,062 SH         DEFINED    1             18,062
AVANT IMMUNOTHERAPEUTICS INC          EQUITY     053491106       33     18,817 SH         DEFINED    1             18,817
AVANT! CORP.                          EQUITY     053487104      237     11,822 SH         DEFINED    1             11,822
AVATAR HOLDINGS, INC.                 EQUITY     053494100       42      1,557 SH         DEFINED    1              1,557
AVAYA INC                             EQUITY     053499109        4        567 SH         DEFINED    2                567
AVAYA INC.                            EQUITY     053499109     1239    167,865 SH         DEFINED    1            167,865
AVERY DENNISON CORP.                  EQUITY     053611109     3103     50,836 SH         DEFINED    1             50,836
AVI BIOPHARMA INC                     EQUITY     002346104       38      4,720 SH         DEFINED    1              4,720
AVIALL, INC.                          EQUITY     05366B102       52      5,760 SH         DEFINED    1              5,760
AVICI SYSTEMS INC                     EQUITY     05367L109       30     15,598 SH         DEFINED    1             15,598
AVID TECHNOLOGY, INC.                 EQUITY     05367P100       99      7,152 SH         DEFINED    1              7,152






                                    TITLE    CUSIP        VALUE     SHRS OR  SH/  PUT/  INVSTMT    OTHR        VOTING AUTHORITY
NAME OF ISSUER                      CLASS                (X$1000)   PRN AMT  PRN  CALL  DSCRETN    MGRS      SOLE    SHARED    NONE
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AVIGEN, INC.                       EQUITY    053690103        69       6,219 SH         DEFINED      1                 6,219
AVISTA CORP                        EQUITY    05379B107       230      14,807 SH         DEFINED      1                14,807
AVNET, INC.                        EQUITY    053807103      4298     158,833 SH         DEFINED      1               158,833
AVOCENT CORPORATION                EQUITY    053893103      1875      69,985 SH         DEFINED      1                69,985
AVON PRODUCTS, INC.                EQUITY    054303102      7595     139,821 SH         DEFINED      1               139,821
AVX CORP                           EQUITY    002444107       280      13,390 SH         DEFINED      1                13,390
AWARE INC                          EQUITY    05453N100        45       7,044 SH         DEFINED      1                 7,044
AXCAN PHARMA INC COM               EQUITY    054923107      2711     215,000 SH         Sole         3     215000
AXCELIS TECHNOLOGIES INC           EQUITY    054540109        21       1,447 SH         DEFINED      1                 1,447
AXT INC.                           EQUITY    00246W103        63       5,914 SH         DEFINED      1                 5,914
AZTAR CORP.                        EQUITY    054802103       233      10,643 SH         DEFINED      1                10,643
B I S Y S GROUP INC                EQUITY    055472104    136273   3,865,898 SH         Sole         3    3678852             179646
BAKER HUGHES INC.                  EQUITY    057224107      2104      55,000 SH         Sole         3      55000
BAKER HUGHES, INC.                 EQUITY    057224107      9925     259,490 SH         DEFINED      1               259,490
BALDOR ELECTRIC CO.                EQUITY    057741100       166       7,332 SH         DEFINED      1                 7,332
BALDWIN & LYONS, INC., CLASS B     EQUITY    057755209        49       1,975 SH         DEFINED      1                 1,975
BALL CORP.                         EQUITY    058498106      1977      41,858 SH         DEFINED      1                41,858
BALLY TOTAL FITNESS HLDG COR COM   EQUITY    05873K108       182       8,281 SH         DEFINED      1                 8,281
BANCFIRST CORP.                    EQUITY    05945F103        49       1,265 SH         DEFINED      1                 1,265
BANCO DE CHILE-ADR                 EQUITY    059520106       689      37,599 SH         DEFINED      1                37,599
BANCO ITAU SA- ADR                 EQUITY    059602201       285       7,100 SH         DEFINED      1                 7,100
BANCORPSOUTH, INC.                 EQUITY    059692103       499      25,323 SH         DEFINED      1                25,323
BANDAG, INC.                       EQUITY    059815100      1112      29,522 SH         DEFINED      1                29,522
BANK AMER CORP                     EQUITY    060505104      4228     158,500 SH         DEFINED      2               158,500
BANK ATLANTIC BANCORP CLASS A      EQUITY    065908501       134      10,303 SH         DEFINED      1                10,303
BANK MUTUAL CORP                   EQUITY    063748107        59       3,452 SH         DEFINED      1                 3,452
BANK OF AMERICA CORP               EQUITY    060505104     54477     800,890 SH         DEFINED      1               800,890
BANK OF GRANITE CORP.              EQUITY    062401104        79       3,444 SH         DEFINED      1                 3,444
BANK OF NEW YORK CO., INC.         EQUITY    064057102     46609   1,109,200 SH         DEFINED      1             1,109,200
BANK UNITED CORP-CPR WI            EQUITY    065416117        67     514,728 SH         DEFINED      1               514,728
BANKNORTH GROUP INC.               EQUITY    06646R107      5070     192,404 SH         DEFINED      1               192,404
BANKONE CORP.                      EQUITY    06423A103     24895     595,870 SH         DEFINED      1               595,870
BANKUNITED FINANCIAL CORP CLASS A  EQUITY    06652B103        88       5,882 SH         DEFINED      1                 5,882
BANNER CORPORATION                 EQUITY    06652V109        72       3,291 SH         DEFINED      1                 3,291
BANTA CORP.                        EQUITY    066821109      1382      38,688 SH         DEFINED      1                38,688
BARNES & NOBLE, INC.               EQUITY    067774109      8545     275,750 SH         DEFINED      1               275,750
BARNES + NOBLE INC                 EQUITY    067774109       400      12,900 SH         DEFINED      2                12,900
BARNES GROUP, INC.                 EQUITY    067806109       124       5,068 SH         DEFINED      1                 5,068
Barnett Capital I                  CORPBOND  068056AE0      4877   5,000,000 PRN        DEFINED      4             5,000,000
BARR LABORATORIES, INC             EQUITY    068306109      4740      72,015 SH         DEFINED      1                72,015
BARRA, INC.                        EQUITY    068313105       225       3,710 SH         DEFINED      1                 3,710
Barrett Resources Corp             CORPBOND  068480AA0      5196   5,000,000 PRN        DEFINED      4             5,000,000
BARRICK GOLD CORP.                 EQUITY    067901108      4509     242,930 SH         DEFINED      1               242,930
BASSETT FURNITURE INDUSTRIES       EQUITY    070203104        65       3,169 SH         DEFINED      1                 3,169
BAUSCH & LOMB, INC.                EQUITY    071707103      1104      24,772 SH         DEFINED      1                24,772
BAXTER INTERNATIONAL               EQUITY    071813109       270       4,550 SH         DEFINED      2                 4,550
BAXTER INTERNATIONAL INC.          EQUITY    071813109     22053     370,510 SH         DEFINED      1               370,510
BAY VIEW CAPITAL CORP.             EQUITY    07262L101       133      19,471 SH         DEFINED      1                19,471
BBT CORP.                          EQUITY    054937107      8541     224,108 SH         DEFINED      1               224,108
BE AEROSPACE, INC.                 EQUITY    073302101        90       9,080 SH         DEFINED      1                 9,080
BEA SYSTEMS, INC.                  EQUITY    073325102       134       9,770 SH         DEFINED      1                 9,770
BEACON POWER CORP                  EQUITY    073677106         5      10,283 SH         DEFINED      1                10,283





                                                                                                                  VOTING AUTHORITY
                                      TITLE                   VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR           ----------------
NAME OF ISSUER                        CLASS      CUSIP      (X$1000    PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
--------------                        -----      -----      -------    ------- ---   ---- -------  ----   ----     ------    ----
                                                                                           
BEAR STEARNS COS                      EQUITY     073902108     4854     77,359 SH         DEFINED    1             77,359
BEASLEY BROADCAST GROUP, INC.         EQUITY     074014101       35      2,373 SH         DEFINED    1              2,373
BEAZER HOMES USA INC COM              EQUITY     07556Q105     6119     78,900 SH         Sole       3    78900
BEAZER HOMES USA, INC.                EQUITY     07556Q105      208      2,686 SH         DEFINED    1              2,686
BEBE STORES, INC.                     EQUITY     075571109       24      1,158 SH         DEFINED    1              1,158
BECKMAN COULTER, INC.                 EQUITY     075811109     3977     77,864 SH         DEFINED    1             77,864
BECTON, DICKINSON AND CO.             EQUITY     075887109     4624    122,590 SH         DEFINED    1            122,590
BED BATH & BEYOND INC COM             EQUITY     075896100    19899    589,588 SH         Sole       3   513500             70688
BED BATH & BEYOND, INC.               EQUITY     075896100     4930    146,066 SH         DEFINED    1            146,066
BEDFORD PRPTY INVESTORS, INC.         EQUITY     076446301      117      4,561 SH         DEFINED    1              4,561
BEI TECHNOLOGIES INC                  EQUITY     05538P104       63      3,326 SH         DEFINED    1              3,326
BEL FUSE INC. CLASS B                 EQUITY     077347300       66      2,682 SH         DEFINED    1              2,682
BELDEN, INC.                          EQUITY     077459105      182      7,653 SH         DEFINED    1              7,653
BELL MICROPRODUCTS INC                EQUITY     078137106       48      4,572 SH         DEFINED    1              4,572
BELLSOUTH CORP.                       EQUITY     079860102    36791    998,120 SH         DEFINED    1            998,120
Bellsouth Tel                         CORPBOND   079867AA5    10281 10,000,000 PRN        DEFINED    4         10,000,000
BELO CORP.                            EQUITY     080555105     3236    139,172 SH         DEFINED    1            139,172
BEMIS CO., INC.                       EQUITY     081437105     1322     24,320 SH         DEFINED    1             24,320
BENCHMARK ELECTRONICS, INC.           EQUITY     08160H101      171      6,118 SH         DEFINED    1              6,118
BERKSHIRE HATHAWAY INC DEL CL         EQUITY     084670207       29         12 SH         DEFINED    2                 12
BERRY PETROLEUM CO. CLASS A           EQUITY     085789105       81      5,253 SH         DEFINED    1              5,253
BEST BUY CO INC                       EQUITY     086516101     1362     17,200 SH         DEFINED    2             17,200
BEST BUY CO., INC.                    EQUITY     086516101     8264    104,347 SH         DEFINED    1            104,347
BETHLEHEM STEEL CORP.                 EQUITY     087509105       18     40,546 SH         DEFINED    1             40,546
BEVERLY ENTERPRISES, INC.             EQUITY     087851309      218     30,214 SH         DEFINED    1             30,214
BIG LOTS INC.                         EQUITY     089302103      833     59,287 SH         DEFINED    1             59,287
BIOGEN, INC.                          EQUITY     090597105     5649    115,144 SH         DEFINED    1            115,144
BIOMARIN PHARMACEUTICA COM            EQUITY     09061G101      951     90,800 SH         Sole       3    90800
BIOMARIN PHARMACEUTICAL INC.          EQUITY     09061G101       88      8,401 SH         DEFINED    1              8,401
BIOMET, INC.                          EQUITY     090613100     3679    135,952 SH         DEFINED    1            135,952
BIOPURE CORP.                         EQUITY     09065H105       52      4,872 SH         DEFINED    1              4,872
BIO-RAD LABORATORIES, INC., CLASS A   EQUITY     090572207      194      5,160 SH         DEFINED    1              5,160
BIOSITE INC.                          EQUITY     090945106       95      3,849 SH         DEFINED    1              3,849
BIOSPHERE MEDICAL INC                 EQUITY     09066V103        8      1,139 SH         DEFINED    1              1,139
BIO-TECHNOLOGY GENERAL CORP.          EQUITY     090578105       89     18,132 SH         DEFINED    1             18,132
BIOVAIL CORP                          EQUITY     09067J109    101323 2,027,278 SH         Sole       3  1933954             88524
BISYS GROUP, INC.                     EQUITY     055472104     5324    151,041 SH         DEFINED    1            151,041
BJ SERVICES CO.                       EQUITY     055482103    11480    333,045 SH         DEFINED    1            333,045
BJ SVCS CO                            EQUITY     055482103     1417     41,100 SH         DEFINED    2             41,100
BJS WHOLESALE CLUB INC COM            EQUITY     05548J106    12900    288,600 SH         Sole       3   250000             35900
BJ'S WHOLESALE CLUB INC.              EQUITY     05548J106     5483    122,673 SH         DEFINED    1            122,673
BJS WHSL CLUB INC                     EQUITY     05548J106     4233      1,500 SH         DEFINED    2              1,500
BKF CAPITAL GROUP INC                 EQUITY     05548G102       53      1,788 SH         DEFINED    1              1,788
BLACK & DECKER CORP.                  EQUITY     091797100     1724     37,034 SH         DEFINED    1             37,034
BLACK BOX CORP.                       EQUITY     091826107      301      6,210 SH         DEFINED    1              6,210
BLACK HILLS CORP.                     EQUITY     092113109     1124     33,576 SH         DEFINED    1             33,576
BLACKROCK INC                         EQUITY     09247X101        9        207 SH         DEFINED    1                207
BLOCK FINANCIAL CORP                  EQUITY     093671105     3818     85,890 SH         DEFINED    1             85,890
BLOCKBUSTER INC -CLA                  EQUITY     093679108        8        334 SH         DEFINED    1                334
BLUE MARTINI SOFTWARE INC             EQUITY     095698106       13      8,999 SH         DEFINED    1              8,999
BLYTH INC.                            EQUITY     09643P108     1840     69,369 SH         DEFINED    1             69,369
BMC INDUSTRIES, INC.                  EQUITY     055607105       14      8,380 SH         DEFINED    1              8,380
BMC SOFTWARE, INC.                    EQUITY     055921100     2290    117,728 SH         DEFINED    1            117,728




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                                                                                                              VOTING AUTHORITY
                                  TITLE    CUSIP      VALUE     SHRS OR    SH/   PUT/   INVSTMT   OTHR    -------------------------
NAME OF ISSUER                    CLASS              (X$1000)   PRN AMT    PRN   CALL   DSCRETN   MGRS    SOLE     SHARED     NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
BOB EVANS FARMS, INC.             EQUITY  096761101   1546        54,794    SH          DEFINED     1                54,794
BOCA RESORTS INC -CL A            EQUITY  09688T106    115         8,912    SH          DEFINED     1                 8,912
BOEING CO                         EQUITY  097023105     88         1,810    SH          DEFINED     2                 1,810
BOEING CO                         EQUITY  097023105    673        14,100    SH          DEFINED     2                14,100
BOEING CO.                        EQUITY  097023105  18637       386,250    SH          DEFINED     1               386,250
BOISE CASCADE CORP.               EQUITY  097383103    967        26,675    SH          DEFINED     1                26,675
BOK FINANCIAL CORP.               EQUITY  05561Q201    123         3,624    SH          DEFINED     1                 3,624
BONE CARE INTERNATIONAL, INC.     EQUITY  098072101     41         2,967    SH          DEFINED     1                 2,967
BORDERS GROUP INC COM             EQUITY  099709107  34748     1,453,300    SH          Sole        3    1426900              26400
BORDERS GROUP, INC.               EQUITY  099709107   2470       103,303    SH          DEFINED     1               103,303
BORG WARNER INC                   EQUITY  099724106   3567        56,693    SH          DEFINED     1                56,693
BORLAND SOFTWARE CORP.            EQUITY  099849101    209        16,043    SH          DEFINED     1                16,043
BORON LEPORE & ASSOCIATES, INC    EQUITY  10001P102     30         2,455    SH          DEFINED     1                 2,455
BOSTON BEER, INC. CLASS A         EQUITY  100557107     44         2,927    SH          DEFINED     1                 2,927
BOSTON COMMUNICATIONS GROUP       EQUITY  100582105     41         4,711    SH          DEFINED     1                 4,711
BOSTON EDISON                     EQUITY  67019E107   3048        67,223    SH          DEFINED     1                67,223
BOSTON PRIVATE FINANCIAL HOLDI    EQUITY  101119105    105         3,941    SH          DEFINED     1                 3,941
BOSTON PROPERTIES INC             EQUITY  101121101     28           703    SH          DEFINED     1                   703
BOSTON PROPERTIES INC COM         EQUITY  101121101  34105       864,500    SH          Sole        3     704111             160389
BOSTON SCIENTIFIC CORP            EQUITY  101137107   1034        41,200    SH          DEFINED     2                41,200
BOSTON SCIENTIFIC CORP.           EQUITY  101137107   4659       185,679    SH          DEFINED     1               185,679
BOWATER, INC.                     EQUITY  102183100   3446        69,206    SH          DEFINED     1                69,206
BOWNE & CO., INC.                 EQUITY  103043105    145        10,311    SH          DEFINED     1                10,311
BOYD GAMING CORP.                 EQUITY  103304101    139         9,221    SH          DEFINED     1                 9,221
BOYDS COLLECTION, LTD.            EQUITY  103354106    107        16,375    SH          DEFINED     1                16,375
BOYKIN LODGING CO.                EQUITY  103430104     50         5,355    SH          DEFINED     1                 5,355
BP AMOCO PLC SPON ADR             EQUITY  055622104    392         7,526    SH          DEFINED     2                 7,526
BP P.L.C.                         EQUITY  55622104    1062        20,000    SH          DEFINED     4                20,000
BRADY CORP.                       EQUITY  104674106    203         5,584    SH          DEFINED     1                 5,584
BRANDYWINE REALTY TRUST           EQUITY  105368203    186         7,797    SH          DEFINED     1                 7,797
BRASIL DISTR PAO ACU-SP ADR       EQUITY  20440T201    808        35,600    SH          DEFINED     1                35,600
BRAUN CONSULTING, INC.            EQUITY  105651103     12         2,889    SH          DEFINED     1                 2,889
BRE PROPERTIES INC CL A           EQUITY  05564E106  13690       421,100    SH          Sole        3     342938              78162
BRE PROPERTIES, INC., CLASS A     EQUITY  05564E106    462        14,201    SH          DEFINED     1                14,201
BRIGGS & STRATTON CORP.           EQUITY  109043109    309         6,727    SH          DEFINED     1                 6,727
BRIGHT HORIZON FAMILY COM         EQUITY  109195107  41500     1,408,156    SH          Sole        3    1400856               7300
BRIGHT HORIZONS FAM. SOLUTIONS    EQUITY  109195107    103         3,478    SH          DEFINED     1                 3,478
BRIGHTPOINT, INC.                 EQUITY  109473108     16        17,385    SH          DEFINED     1                17,385
BRINKER INTERNATIONAL, INC.       EQUITY  109641100   3995       123,264    SH          DEFINED     1               123,264
BRINKER INTL INC                  EQUITY  109641100  18633       574,926    SH          Sole        3     496000              73426
BRIO TECHNOLOGY                   EQUITY  109704106     17         6,054    SH          DEFINED     1                 6,054
BRISTOL MYERS SQUIBB CO           EQUITY  110122108    546        18,000    SH          DEFINED     2                18,000
BRISTOL MYERS SQUIBB CO.          EQUITY  110122108  55170     1,362,560    SH          DEFINED     1             1,362,560
BRITESMILE INC COM                EQUITY  110415106   2204       410,500    SH          Sole        3     410500
BRITESMILE, INC.                  EQUITY  110415106     24         4,459    SH          DEFINED     1                 4,459
BROADCOM CORP.                    EQUITY  111320107   4582       127,635    SH          DEFINED     1               127,635
BROADVISION INC.                  EQUITY  111412102      6         3,224    SH          DEFINED     1                 3,224
BROADWING INC.                    EQUITY  111620100   1937       277,156    SH          DEFINED     1               277,156
BROCADE COMMUNICATION             EQUITY  111621108    325        12,047    SH          DEFINED     1                12,047
BROCADE COMMUNICATIONS SYS INC    EQUITY  111621108    675        25,000    SH          DEFINED     2                25,000
BROOKLINE BANCORP, INC.           EQUITY  113739106     62         3,660    SH          DEFINED     1                 3,660






                                      TITLE                   VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR           VOTING AUTHORITY
NAME OF ISSUER                        CLASS      CUSIP      (X$1000)   PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
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BROOKS AUTOMATION, INC.               EQUITY     11434A100      282      6,206 SH         DEFINED    1              6,206
BROWN & BROWN INC                     EQUITY     115236101    13710    436,622 SH         DEFINED    1            436,622
BROWN SHOE COMANY, INC.               EQUITY     115736100      100      5,128 SH         DEFINED    1              5,128
BROWN, TOM INC.                       EQUITY     115660201      282     10,342 SH         DEFINED    1             10,342
BROWN-FORMAN CORP CLASS B             EQUITY     115637209     2271     31,210 SH         DEFINED    1             31,210
BRUCKER DALTRONICS INC                EQUITY     116795105      136     14,248 SH         DEFINED    1             14,248
BRUNSWICK CORP.                       EQUITY     117043109     1106     40,475 SH         DEFINED    1             40,475
BRUSH ENGINEERED  MATERIALS           EQUITY     117421107       66      5,171 SH         DEFINED    1              5,171
BSB BANCORP, INC.                     EQUITY     055652101       81      2,710 SH         DEFINED    1              2,710
BSQUARE CORP.                         EQUITY     11776U102       17      4,664 SH         DEFINED    1              4,664
BUCA INC                              EQUITY     117769109      545     30,000 SH         DEFINED    2             30,000
BUCA, INC.                            EQUITY     117769109       70      3,842 SH         DEFINED    1              3,842
BUCKEYE TECHNOLOGIES INC              EQUITY     118255108       69      6,742 SH         DEFINED    1              6,742
BUCKLE, INC.                          EQUITY     118440106       48      1,963 SH         DEFINED    1              1,963
BUILDING MATERIAL HOLDING CORP        EQUITY     120113105       58      4,038 SH         DEFINED    1              4,038
BURLINGTON COAT FACTORY WHSE          EQUITY     121579106      107      5,552 SH         DEFINED    1              5,552
BURLINGTON NORTHERN SANTA FE          EQUITY     12189T104     6984    231,520 SH         DEFINED    1            231,520
BURLINGTON NORTHN SANTA FE            EQUITY     12189T104      742     96,300 SH         DEFINED    2             96,300
BURLINGTON RESOURCES, INC.            EQUITY     122014103     3844     95,882 SH         DEFINED    1             95,882
BURNHAM PACIFIC PROPERTIES            EQUITY     12232C108       12      7,304 SH         DEFINED    1              7,304
BUSH INDUSTRIES, INC.                 EQUITY     123164105       33      2,581 SH         DEFINED    1              2,581
BUSINESS OBJECTS S A                  EQUITY     12328X107     1681     26,100 SH         DEFINED    2             26,100
BUTLER MANUFACTURING CO.              EQUITY     123655102       43      1,586 SH         DEFINED    1              1,586
C & D TECHNOLOGIES, INC.              EQUITY     124661109      171      8,128 SH         DEFINED    1              8,128
C COR NET CORP COM                    EQUITY     125010108    17509    972,700 SH         Sole       3   968400              4300
C. H. ROBINSON WORLDWIDE, INC.        EQUITY     12541W100     3601    107,171 SH         DEFINED    1            107,171
C. R. BARD, INC.                      EQUITY     067383109     1490     25,229 SH         DEFINED    1             25,229
CABLE & WIRELESS PLC ADR              EQUITY     126830207        6        720 SH         DEFINED    2                720
CABLE + WIRELESS PUB LTD CO           EQUITY     126830207       25      2,500 SH         DEFINED    2              2,500
CABLE DESIGN TECHNOLOGIES CORP        EQUITY     126924109      183     13,738 SH         DEFINED    1             13,738
CABLEVISION SYS CORP                  EQUITY     12686C844       12        491 SH         DEFINED    1                491
CABOT CORP.                           EQUITY     127055101     2904     78,813 SH         DEFINED    1             78,813
CABOT MICROELECTRONICS CORP           EQUITY     12709P103     2081     30,759 SH         DEFINED    1             30,759
CABOT OIL & GAS CORP., CLASS A        EQUITY     127097103      227      9,164 SH         DEFINED    1              9,164
CACHEFLOW INC                         EQUITY     126946102        7      6,772 SH         DEFINED    1              6,772
CACI INTERNATIONAL                    EQUITY     127190304      206      5,861 SH         DEFINED    1              5,861
CADENCE DESIGN SYS INC COM            EQUITY     127387108    13763    608,700 SH         Sole       3   531100             72100
CADENCE DESIGN SYSTEMS, INC.          EQUITY     127387108     7961    352,083 SH         DEFINED    1            352,083
CADIZ INC.                            EQUITY     127537108       95     10,598 SH         DEFINED    1             10,598
CAKTRONICS INC                        EQUITY     234264109       34      4,299 SH         DEFINED    1              4,299
CAL DIVE INTERNATIONAL, INC.          EQUITY     127914109      252     10,140 SH         DEFINED    1             10,140
CALGON CARBON CORP.                   EQUITY     129603106       87     10,341 SH         DEFINED    1             10,341
CALIFORNIA PIZZA KITCHEN INC          EQUITY     13054D109      117      4,659 SH         DEFINED    1              4,659
CALIFORNIA WATER SERVICE GROUP        EQUITY     130788102      112      4,383 SH         DEFINED    1              4,383
CALIPER TECHNOLOGIES CORP             EQUITY     130876105       86      6,667 SH         DEFINED    1              6,667
CALLAWAY GOLF CO.                     EQUITY     131193104     1902     98,809 SH         DEFINED    1             98,809
CALLON PETROLEUM CO.                  EQUITY     13123X102       21      2,710 SH         DEFINED    1              2,710
CALPINE CORP.                         EQUITY     131347106     7742    609,580 SH         DEFINED    1            609,580
CAMBREX CORP.                         EQUITY     132011107      293      6,966 SH         DEFINED    1              6,966
CAMDEN POPERTY TRUST                  EQUITY     133131102      436     11,155 SH         DEFINED    1             11,155
CAMDEN PPTY TR SH BEN INT             EQUITY     133131102    21860    558,800 SH         Sole       3   464052             94748
CAMINUS CORP.                         EQUITY     133766105       65      2,895 SH         DEFINED    1              2,895
CAMPBELL SOUP CO.                     EQUITY     134429109     4963    185,200 SH         DEFINED    1            185,200





                                      TITLE                   VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR           VOTING AUTHORITY
NAME OF ISSUER                        CLASS      CUSIP      (X$1000)   PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CAPITAL AUTOMOTIVE REIT               EQUITY     139733109      132      5,755 SH         DEFINED    1              5,755
CAPITAL CITY BANK GROUP, INC.         EQUITY     139674105       56      2,081 SH         DEFINED    1              2,081
CAPITAL ONE FINANCIAL CORP.           EQUITY     14040H105    18759    293,795 SH         DEFINED    1            293,795
CAPITAL ONE FINL CORP COM             EQUITY     14040H105    15862    248,430 SH         Sole       3   212600             32430
CAPITOL FEDERAL FINANCIAL             EQUITY     14057C106      199      8,780 SH         DEFINED    1              8,780
CAPSTEAD MORTGAGE CORP.               EQUITY     14067E506       53      2,725 SH         DEFINED    1              2,725
CAPSTONE TURBINE COR                  EQUITY     14067D102       29      8,966 SH         DEFINED    1              8,966
CARAUSTAR INDUSTRIES, INC.            EQUITY     140909102       84      8,061 SH         DEFINED    1              8,061
CARBO CERAMICS INC                    EQUITY     140781105       91      2,222 SH         DEFINED    1              2,222
CARDINAL HEALTH INC                   EQUITY     14149Y108    16255    229,300 SH         DEFINED    1            229,300
CARDIODYNAMICS INTERNATIONAL          EQUITY     141597104       38      9,054 SH         DEFINED    1              9,054
CARECENTRIC INC.                      EQUITY     14166Y106                 647 SH         DEFINED    1                647
CAREER ED CORP                        EQUITY     141665109      360      9,100 SH         DEFINED    2              9,100
CAREER EDUCATION CORP                 EQUITY     141665109      515     12,998 SH         DEFINED    1             12,998
CAREMARK RX INC                       EQUITY     141705103    10542    540,625 SH         DEFINED    1            540,625
CAREMARK RX INC                       EQUITY     141705103     1191     61,100 SH         DEFINED    2             61,100
CARLISLE COS INC.                     EQUITY     142339100     2078     47,523 SH         DEFINED    1             47,523
CARNIVAL CORP                         EQUITY     143658102      947     29,000 SH         DEFINED    2             29,000
CARNIVAL CORP. CLASS A                EQUITY     143658102    10679    327,070 SH         DEFINED    1            327,070
CARPENTER TECHNOLOGY CORP.            EQUITY     144285103      982     33,938 SH         DEFINED    1             33,938
CARRAMERICA REALTY C                  EQUITY     144418100       18        567 SH         DEFINED    1                567
CARRAMERICA REALTY CORPORATION        EQUITY     144418100    27562    877,500 SH         Sole       3   718284            159216
CARREKER CORP                         EQUITY     144433109       46      5,325 SH         DEFINED    1              5,325
CARRIER ACCESS CORP.                  EQUITY     144460102       10      3,300 SH         DEFINED    1              3,300
CASCADE NAT GAS CORP COM              EQUITY     147339105       73      3,442 SH         DEFINED    1              3,442
CASELLA WASTE SYSTEMS, INC.           EQUITY     147448104       66      5,571 SH         DEFINED    1              5,571
CASEYS GENERAL STORES, INC.           EQUITY     147528103      166     12,311 SH         DEFINED    1             12,311
CASH AMERICA INTERNATIONAL            EQUITY     14754D100       61      6,905 SH         DEFINED    1              6,905
CASTLE A. M.  & CO.                   EQUITY     148411101       22      2,015 SH         DEFINED    1              2,015
CATALINA MARKETING CORP.              EQUITY     148867104     2549     69,831 SH         DEFINED    1             69,831
CATALYTICA ENERGY SYSTEMS             EQUITY     148884109       18      5,404 SH         DEFINED    1              5,404
CATAPULT COMM CORP                    EQUITY     149016107       37      1,473 SH         DEFINED    1              1,473
CATELLUS DEVELOPMENT                  EQUITY     149111106       19        980 SH         DEFINED    1                980
CATELLUS DEVELOPMENT CORP             EQUITY     149111106    12416    631,200 SH         Sole       3   504185            127015
Caterpillar                           EQUITY     149123101     1137     20,000 SH         DEFINED    4             20,000
CATERPILLAR INC                       EQUITY     149123101     1541     27,100 SH         DEFINED    2             27,100
CATERPILLAR, INC.                     EQUITY     149123101     8841    155,520 SH         DEFINED    1            155,520
CATHAY BANCORP INC.                   EQUITY     149150104      173      2,401 SH         DEFINED    1              2,401
CATO CORP. CLASS A                    EQUITY     149205106       96      4,308 SH         DEFINED    1              4,308
CBL & ASSOC PPTYS INC COM             EQUITY     124830100    16873    477,300 SH         Sole       3   388651             88649
CBL & ASSOCIATES PROPERTIES           EQUITY     124830100     7296    206,395 SH         DEFINED    1            206,395
CBRL GROUP, INC.                      EQUITY     12489V106     2484     87,237 SH         DEFINED    1             87,237
CCBT FINANCIAL COMPANIES INC          EQUITY     12500Q102       72      2,680 SH         DEFINED    1              2,680
CCC INFORMATION SERVICES              EQUITY     12487Q109       29      3,145 SH         DEFINED    1              3,145
C-COR ELECTRONICS, INC.               EQUITY     125010108      200     11,100 SH         DEFINED    1             11,100
CDI CORP.                             EQUITY     125071100       83      3,623 SH         DEFINED    1              3,623
CDW COMPUTER CENTERS, INC.            EQUITY     125129106     5738    113,994 SH         DEFINED    1            113,994
CEC ENTERTAINMENT, INC.               EQUITY     125137109      401      8,676 SH         DEFINED    1              8,676
CELERA GENOMICS GROU                  EQUITY     038020202       14        667 SH         DEFINED    1                667
CELERITEK, INC.                       EQUITY     150926103       39      3,768 SH         DEFINED    1              3,768
CELGENE CORP                          EQUITY     151020104       28      1,121 SH         DEFINED    1              1,121
CELGENE CORP                          EQUITY     151020104       99      4,000 SH         DEFINED    2              4,000
CELL GENESYS, INC.                    EQUITY     150921104      183     10,778 SH         DEFINED    1             10,778




                                                                                                          VOTING AUTHORITY
                                   TITLE      CUSIP   VALUE   SHRS OR  SH/ PUT/ INVSTMT OTHR
NAME OF ISSUER                     CLASS             (X$1000) PRN AMT  PRN CALL DSCRETN MGRS     SOLE          SHARED        NONE
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CELL PATHWAYS, INC                 EQUITY   15114R101     35     8,420 SH       DEFINED   1                      8,420
CELL THERAPEUTICS, INC.            EQUITY   150934107    261    10,510 SH       DEFINED   1                     10,510
CEMIG SA - SPONS ADR               EQUITY   204409601   1147    73,500 SH       DEFINED   1                     73,500
CENDANT CORP                       EQUITY   151313103   1289    67,200 SH       DEFINED   2                      67200
CENDANT CORP.                      EQUITY   151313103  10262   534,500 SH       DEFINED   1                    534,500
CENTENE CORP.                      EQUITY   15135B101    827    36,100 SH       Sole      3       36100
CENTENNIAL BANCORP                 EQUITY   15133T104     54     6,756 SH       DEFINED   1                      6,756
CENTENNIAL CELLULAR CORP.          EQUITY   15133V208      9     2,453 SH       DEFINED   1                      2,453
CENTERPOINT PPTYS TRUST            EQUITY   151895109  11605   214,700 SH       Sole      3      175238                      39462
CENTERPOINT PROPERTIES CORP.       EQUITY   151895109    383     7,081 SH       DEFINED   1                      7,081
CENTEX CONSTRUCTION PRODUCTION     EQUITY   15231R109     81     2,033 SH       DEFINED   1                      2,033
CENTEX CORP COM                    EQUITY   152312104  43060   829,200 SH       Sole      3      787100                      38700
CENTEX CORP.                       EQUITY   152312104   1496    28,809 SH       DEFINED   1                     28,809
CENTILLIUM COMMUNICATIONS          EQUITY   152319109     96     7,933 SH       DEFINED   1                      7,933
CENTRA SOFTWARE INC                EQUITY   15234X103     32     6,721 SH       DEFINED   1                      6,721
CENTRAL COAST BANCORP              EQUITY   153145107     45     2,274 SH       DEFINED   1                      2,274
CENTRAL PARKING CORP.              EQUITY   154785109    122     5,320 SH       DEFINED   1                      5,320
CENTRAL VT PUB SVC CORP COM        EQUITY   155771108     64     3,603 SH       DEFINED   1                      3,603
CENTURY ALUMINUM CO.               EQUITY   156431108     63     3,894 SH       DEFINED   1                      3,894
CENTURY BUSINESS SERVICES          EQUITY   156490104     85    24,467 SH       DEFINED   1                     24,467
CENTURYTEL, INC.                   EQUITY   156700106   2214    65,124 SH       DEFINED   1                     65,124
CEPHALON INC                       EQUITY   156708109    118     1,876 SH       DEFINED   1                      1,876
CERIDIAN CORP                      EQUITY   156779100   4365   197,965 SH       DEFINED   1                    197,965
CERNER CORP                        EQUITY   156782104     17       357 SH       DEFINED   1                        357
CERTEGY INC                        EQUITY   156880106   3473    87,490 SH       DEFINED   1                     87,490
CERTEGY INC COM                    EQUITY   156880106  64144 1,615,707 SH       Sole      3     1551563                      61144
CERUS CORP.                        EQUITY   157085101    190     3,546 SH       DEFINED   1                      3,546
CFS BANCORP, INC.                  EQUITY   12525D102     58     4,253 SH       DEFINED   1                      4,253
CH ENERGY GROUP INC.               EQUITY   12541M102    249     5,252 SH       DEFINED   1                      5,252
CHAMPION ENTERPRISES INC           EQUITY   158496109    421    52,600 SH       DEFINED   2                     52,600
CHAMPION ENTERPRISES, INC.         EQUITY   158496109    120    15,006 SH       DEFINED   1                     15,006
Champion International             CORPBOND 158525AV7   4758 5,000,000 PRN      DEFINED   4                  5,000,000
CHAMPIONSHIP AUTO RACING TEAMS     EQUITY   158711101     51     3,640 SH       DEFINED   1                      3,640
CHARLES RIV LABORATORIES INTL      EQUITY   159864107    304     9,800 SH       DEFINED   2                      9,800
CHARLES RIVER LABORATORIES         EQUITY   159864107    405    13,076 SH       DEFINED   1                     13,076
CHARLES SCHWAB CORP.               EQUITY   808513105   8113   619,790 SH       DEFINED   1                    619,790
CHARLOTTE RUSSE HOLDING INC        EQUITY   161048103    168     6,490 SH       DEFINED   1                      6,490
CHARMING SHOPPES, INC.             EQUITY   161133103    260    32,804 SH       DEFINED   1                     32,804
CHARTER COMMUNICATIONS INC CLASS A EQUITY   16117M107    103     9,137 SH       DEFINED   1                      9,137
CHARTER MUNICIPAL MORTGAGE ACC     EQUITY   160908109    169    10,710 SH       DEFINED   1                     10,710
CHARTER ONE FINANCIAL INC.         EQUITY   160903100   3242   103,829 SH       DEFINED   1                    103,829
CHARTER ONE FIN'L                  EQUITY   160903100  32961 1,055,769 SH       Sole      3      976745                      75924
CHATEAU COMMUNITIES, INC.          EQUITY   161726104   9161   318,865 SH       DEFINED   1                    318,865
CHECK POINT SOFTWARE               EQUITY   M22465104                  SH       DEFINED   2
CHECK POINT SOFTWARE TECH          EQUITY   M22465104    612    20,125 SH       DEFINED   1                     20,125
CHECKFREE HOLDINGS CORP.           EQUITY   162813109   1506    98,248 SH       DEFINED   1                     98,248
CHECKPOINT SYSTEMS, INC.           EQUITY   162825103    147     9,190 SH       DEFINED   1                      9,190
CHEESECAKE FACTORY                 EQUITY   163072101    436    11,820 SH       DEFINED   1                     11,820
CHEESECAKE FACTORY INC COM         EQUITY   163072101  29507   799,652 SH       Sole      3      784403                      15249
CHELSEA PPTY GROUP INC COM         EQUITY   163421100   6652   123,100 SH       Sole      3      100265                      22835
CHELSEA PROPERTY GROUP INC.        EQUITY   163421100    262     4,855 SH       DEFINED   1                      4,855
CHEMED CORP.                       EQUITY   163596109    103     2,751 SH       DEFINED   1                      2,751





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                                                                                                               VOTING AUTHORITY
                                     TITLE       CUSIP    VALUE     SHRS OR   SH/  PUT/ INVSTMT   OTHR  -----------------------
NAME OF ISSUER                       CLASS              (X$1000)    PRN AMT   PRN  CALL DSCRETN   MGRS  SOLE     SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CHEMFIRST, INC.                      EQUITY    16361A106      88       3,307  SH        DEFINED    1                3,307
CHEMICAL FINANCIAL CORP.             EQUITY    163731102     210       7,002  SH        DEFINED    1                7,002
CHESAPEAKE CORP.                     EQUITY    165159104     128       4,722  SH        DEFINED    1                4,722
CHESAPEAKE ENERGY CORP.              EQUITY    165167107     338      43,674  SH        DEFINED    1               43,674
CHEVRONTEXACO CORP                   EQUITY    166764100   43783     485,020  SH        DEFINED    1              485,020
ChevronTexaco Corp                   EQUITY    166764100    1805      20,000  SH        DEFINED    4               20,000
CHEVRONTEXACO CORP                   EQUITY    166764100    2321      25,787  SH        DEFINED    2               25,787
CHICOS'S FAS INC.                    EQUITY    168615102     353      10,481  SH        DEFINED    1               10,481
CHILDREN'S PLACE, INC.               EQUITY    168905107     109       3,314  SH        DEFINED    1                3,314
CHILES OFFSHORE INC                  EQUITY    16888M104      59       2,544  SH        DEFINED    1                2,544
CHINA MOBILE HK LTD - SPON ADR       EQUITY    16941M109    2029     131,300  SH        DEFINED    1              131,300
CHIPPAC INC                          EQUITY    169657103      97       9,896  SH        DEFINED    1                9,896
CHIRON CORP.                         EQUITY    170040109    4316      94,057  SH        DEFINED    1               94,057
CHITTENDEN CORP.                     EQUITY    170228100     273       9,371  SH        DEFINED    1                9,371
CHOICE HOTELS INTL INC.              EQUITY    169905106     251      10,419  SH        DEFINED    1     472075    10,419
CHOICE ONE COMMUNICATIONS INC.       EQUITY    17038P104       5       3,124  SH        DEFINED    1                3,124
CHOICEPOINT INC COM                  EQUITY    170388102   27727     481,375  SH        Sole       3     393800               9300
CHOICEPOINT INC.                     EQUITY    170388102    4604      79,934  SH        DEFINED    1               79,934
CHOLESTECH CORP COM                  EQUITY    170393102    7037     393,800  SH        Sole       3
CHORDIANT SOFTWARE INC               EQUITY    170404107      66       9,011  SH        DEFINED    1                 9,011
CHRISTOPHER & BANKS CORPORATIO       EQUITY    171046105     225       6,847  SH        DEFINED    1                 6,847
CHUBB CORP.                          EQUITY    171232101    7113      97,300  SH        DEFINED    1                97,300
CHURCH & DWIGHT CO., INC.            EQUITY    171340102    1785      60,593  SH        DEFINED    1                60,593
CHURCHILL DOWNS, INC.                EQUITY    171484108      31         851  SH        DEFINED    1                   851
CIA ANONIMA TELEF DE VEN-ADR (CANTV) EQUITY    204421101     242      17,500  SH        DEFINED    1                17,500
CIA TELECOM CHILE-SPONS ADR          EQUITY    204449300     363      20,700  SH        DEFINED    1                20,700
CIBER, INC.                          EQUITY    17163B102     145      15,820  SH        DEFINED    1                15,820
CIENA CORP.                          EQUITY    171779101    1432     159,060  SH        DEFINED    1               159,060
CIGNA CORP.                          EQUITY    125509109   11835     116,728  SH        DEFINED    1               116,728
CIMA LABS                            EQUITY    171796105     122       4,587  SH        DEFINED    1                 4,587
CINCINNATI FINANCIAL CORP.           EQUITY    172062101    3248      74,391  SH        DEFINED    1      191100    74,391
CINERGY CORP.                        EQUITY    172474108    2777      77,679  SH        DEFINED    1                77,679
CINTAS CORP                          EQUITY    172908105   10810     216,800  SH        Sole       3                          2360
CINTAS CORP.                         EQUITY    172908105    4179      83,814  SH        DEFINED    1                83,814
CIPHERGEN BIOSYSTEMS INC             EQUITY    17252Y104      31       5,184  SH        DEFINED    1                 5,184
CIRCOR INTERNATIONAL, INC.           EQUITY    17273K109      56       2,681  SH        DEFINED    1                 2,681
CIRCUIT CITY STORES, INC.            EQUITY    172737108    1739      96,416  SH        DEFINED    1                96,416
CIRCUIT CITY STORES, INC. CARMAX     EQUITY    172737306     292      11,287  SH        DEFINED    1                11,287
CIRRUS LOGIC, INC.                   EQUITY    172755100    2146     113,749  SH        DEFINED    1               113,749
CISCO SYS INC                        EQUITY    17275R102     834      88,195  SH        DEFINED    2                88,195
Cisco Systems                        EQUITY    17275R102    1092      64,500  SH        DEFINED    4                64,500
CISCO SYSTEMS, INC.                  EQUITY    17275R102   81387   4,807,240  SH        DEFINED    1             4,807,240
CIT Capital Trust I                  CORPBOND  125563AC0    4080   5,000,000  PRN       DEFINED    4             5,000,000
CITIGROUP INC                        EQUITY    172967101  195351   3,944,896  SH        DEFINED    1             3,944,896
CITIGROUP INC.                       EQUITY    172967101   10988     225,221  SH        DEFINED    2               225,221
CITIZENS BANKING CORP.               EQUITY    174420109     460      14,155  SH        DEFINED    1                14,155
CITIZENS COMMUNICATIONS INC          EQUITY    17453B101    1398     130,080  SH        DEFINED    1               130,080
CITIZENS INC                         EQUITY    174740100      65       6,050  SH        DEFINED    1                 6,050
CITRIX SYSTEMS, INC.                 EQUITY    177376100    1677      97,045  SH        DEFINED    1                97,045
CITY HOLDING CO.                     EQUITY    177835105      81       5,260  SH        DEFINED    1                 5,260
CITY NATIONAL CORP.                  EQUITY    178566105    3203      60,879  SH        DEFINED    1                60,879















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                                                                                                             VOTING AUTHORITY
                                    TITLE     CUSIP     VALUE    SHRS OR   SH/   PUT/   INVSTMT  OTHR  ---------------------------
NAME OF ISSUER                      CLASS              (X$1000)  PRN AMT   PRN   CALL   DSCRETN  MGRS     SOLE     SHARED  NONE
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CITYBANK                            EQUITY  17770A109       74      2,970  SH           DEFINED    1                 2,970
CK WITCO CORP                       EQUITY  227116100     2189    177,280  SH           DEFINED    1               177,280
CLAIRE'S STORES, INC.               EQUITY  179584107     1450     74,447  SH           DEFINED    1                74,447
CLARCOR, INC.                       EQUITY  179895107      221      6,902  SH           DEFINED    1                 6,902
CLARENT CORP                        EQUITY  180461105        3      8,929  SH           DEFINED    1                 8,929
CLARK/BARDES INC                    EQUITY  180668105       94      3,264  SH           DEFINED    1                 3,264
CLAYTON HOMES INC                   EQUITY  184190106      637     38,000  SH           DEFINED    2                38,000
CLAYTON HOMES, INC.                 EQUITY  184190106     2914    173,961  SH           DEFINED    1               173,961
CLAYTON WILLIAMS ENERGY, INC.       EQUITY  969490101       18      1,412  SH           DEFINED    1                 1,412
CLEAR CHANNEL COMMUNICATIONS        EQUITY  184502102    37917    737,542  SH           DEFINED    1               737,542
CLEAR CHANNEL COMMUN                EQUITY  184502102    10948    213,115  SH           DEFINED    2               213,115
CLECO CORP                          EQUITY  12561W105     1662     69,545  SH           DEFINED    1                69,545
CLEVELAND-CLIFFS, INC.              EQUITY  185896107       65      2,970  SH           DEFINED    1                 2,970
CLICK COMMERCE INC                  EQUITY  18681D109        7      5,579  SH           DEFINED    1                 5,579
CLOROX CO                           EQUITY  189054109       10        215  SH           DEFINED    2                   215
CLOROX CO.                          EQUITY  189054109     4659    106,784  SH           DEFINED    1               106,784
CLOSURE MEDICAL CORP.               EQUITY  189093107       33      1,661  SH           DEFINED    1                 1,661
CMGI INC.                           EQUITY  125750109        4      2,895  SH           DEFINED    1                 2,895
CMS ENERGY CORP.                    EQUITY  125896100     1389     61,375  SH           DEFINED    1                61,375
CNA FINANCIAL CORP                  EQUITY  126117100        9        287  SH           DEFINED    1                   287
CNA SURETY CORP.                    EQUITY  12612L108       72      4,762  SH           DEFINED    1                 4,762
CNET NETWORKS INC.                  EQUITY  12613R104        8      1,386  SH           DEFINED    1                 1,386
CNF INC.                            EQUITY  12612W104     2041     61,882  SH           DEFINED    1                61,882
COACH INC                           EQUITY  189754104    12841    253,215  SH           DEFINED    1               253,215
COACH INC                           EQUITY  189754104     2936     57,900  SH           DEFINED    2                57,900
COACH INC COM                       EQUITY  189754104      254      5,000  SH           Sole       3       5000
COACHMEN INDUSTRIES, INC.           EQUITY  189873102       72      4,436  SH           DEFINED    1                 4,436
COASTAL BANCORP INC                 EQUITY  19041P105       45      1,306  SH           DEFINED    1                 1,306
COBALT CORP                         EQUITY  19074W100       25      2,835  SH           DEFINED    1                 2,835
COBIZ INC                           EQUITY  190897108       36      2,248  SH           DEFINED    1                 2,248
COCA COLA CO                        EQUITY  191216100     1254     24,000  SH           DEFINED    2                24,000
COCA COLA ENTERPRISES, INC.         EQUITY  191219104     8714    464,015  SH           DEFINED    1               464,015
COCA-COLA BOTTLING CO.              EQUITY  191098102       15        296  SH           DEFINED    1                   296
COCA-COLA CO.                       EQUITY  191216100    92313  1,766,420  SH           DEFINED    1             1,766,420
COCA-COLA FEMSA S.A.-SP ADR         EQUITY  191241108     2110     77,400  SH           DEFINED    1                77,400
COGNEX CORP.                        EQUITY  192422103      290      9,970  SH           DEFINED    1                 9,970
COGNIZANT TECH SOLUTION             EQUITY  192446102      101      2,388  SH           DEFINED    1                 2,388
COHERENT, INC.                      EQUITY  192479103      301      8,880  SH           DEFINED    1                 8,880
COHU, INC.                          EQUITY  192576106      182      6,375  SH           DEFINED    1                 6,375
COINSTAR INC COM                    EQUITY  19259P300     5633    167,200  SH           Sole       3     167200
COINSTAR, INC                       EQUITY  19259P300      223      6,629  SH           DEFINED    1                 6,629
COLDWATER CREEK, INC.               EQUITY  193068103       21      1,186  SH           DEFINED    1                 1,186
COLE NATIONAL CORP. CLASS A         EQUITY  193290103       59      3,098  SH           DEFINED    1                 3,098
COLE, K. PRODUCTIONS, INC. CLASS A  EQUITY  193294105       46      2,291  SH           DEFINED    1                 2,291
Colgate                             EQUITY  194162103     3286     57,500  SH           DEFINED    4                57,500
COLGATE-PALMOLIVE CO.               EQUITY  194162103    17400    304,470  SH           DEFINED    1               304,470
COLLAGENEX                          EQUITY  19419B100       85      7,756  SH           DEFINED    1                 7,756
COLLINS & AIKMAN CORP.              EQUITY  194830105      246     36,690  SH           DEFINED    1                36,690
COLONIAL BANCGROUP, INC.            EQUITY  195493309     2695    180,659  SH           DEFINED    1               180,659
COLONIAL PROPERTIES TRUST           EQUITY  195872106      156      4,542  SH           DEFINED    1                 4,542
COLUMBIA BANKING SYSTEM, INC        EQUITY  197236102       53      3,958  SH           DEFINED    1                 3,958
COLUMBIA LABORATORIES, INC.         EQUITY  197779101       40      8,050  SH           DEFINED    1                 8,050





                                      TITLE                   VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR           VOTING AUTHORITY
NAME OF ISSUER                        CLASS      CUSIP     (X$1000)    PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
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COLUMBIA SPORTSWEAR                   EQUITY     198516106        5        151 SH         DEFINED    1                151
COMCAST CORP                          EQUITY     200300200      563     17,700 SH         DEFINED    2             17,700
COMCAST CORP. CLASS A SPECIAL         EQUITY     200300200    15851    498,450 SH         DEFINED    1            498,450
COMDISCO, INC.                        EQUITY     200336105       11     33,074 SH         DEFINED    1             33,074
COMERICA, INC.                        EQUITY     200340107     5220     83,421 SH         DEFINED    1             83,421
COMMERCE BANCORP INC                  EQUITY     200519106     3764     83,823 SH         DEFINED    1             83,823
COMMERCE BANCSHARES                   EQUITY     200525103       29        646 SH         DEFINED    1                646
COMMERCE GROUP, INC.                  EQUITY     200641108      298      7,689 SH         DEFINED    1              7,689
COMMERCE ONE, INC.                    EQUITY     200693109      139     88,825 SH         DEFINED    1             88,825
COMMERCIAL FEDERAL CORP.              EQUITY     201647104      388     14,429 SH         DEFINED    1             14,429
COMMERCIAL METALS CO.                 EQUITY     201723103      151      3,588 SH         DEFINED    1              3,588
COMMERCIAL NET LEASE REALTY           EQUITY     202218103      152     10,871 SH         DEFINED    1             10,871
COMMONWEALTH BANCORP, INC.            EQUITY     20268X102       64      2,583 SH         DEFINED    1              2,583
COMMONWEALTH EDISON                   EQUITY     30161N101     7802    147,290 SH         DEFINED    1            147,290
COMMONWEALTH TELEPHONE ENT.           EQUITY     203349105      131      3,426 SH         DEFINED    1              3,426
COMMSCOPE INC.                        EQUITY     203372107     1405     80,725 SH         DEFINED    1             80,725
COMMUNITY BANK SYSTEM, INC.           EQUITY     203607106      107      3,552 SH         DEFINED    1              3,552
COMMUNITY BANKS INC                   EQUITY     203628102       64      2,301 SH         DEFINED    1              2,301
COMMUNITY FIRST BANKSHARES            EQUITY     203902101      291     11,242 SH         DEFINED    1             11,242
COMMUNITY HEALTH SYS                  EQUITY     203668108       15        668 SH         DEFINED    1                668
COMMUNITY TRUST BANCORP               EQUITY     204149108       81      3,165 SH         DEFINED    1              3,165
COMPANHIA DE BEBIDAS-PR ADR           EQUITY     20441W203     2329    119,400 SH         DEFINED    1            119,400
COMPAQ COMPUTER CORP                  EQUITY     204493100        4      4,460 SH         DEFINED    2              4,460
COMPAQ COMPUTER CORP.                 EQUITY     204493100     8788    840,930 SH         DEFINED    1            840,930
COMPASS BANCSHARES, INC.              EQUITY     20449H109     4988    161,569 SH         DEFINED    1            161,569
COMPUCREDIT CORPORATION               EQUITY     20478N100       20      3,492 SH         DEFINED    1              3,492
COMPUTER ASSOCIATES  INT'L.           EQUITY     204912109     7135    325,970 SH         DEFINED    1            325,970
COMPUTER NETWORK TECHNOLOGY           EQUITY     204925101      124      9,346 SH         DEFINED    1              9,346
Computer Sciences                     EQUITY     205363104     1015     20,000 SH         DEFINED    4             20,000
COMPUTER SCIENCES CORP.               EQUITY     205363104     4310     84,924 SH         DEFINED    1             84,924
COMPUTERIZED THERMAL IMAGING          EQUITY     20557C108       21     20,313 SH         DEFINED    1             20,313
COMPUWARE CORP.                       EQUITY     205638109     2314    179,255 SH         DEFINED    1            179,255
COMPX INTERNATIONAL INC.              EQUITY     20563P101       14      1,129 SH         DEFINED    1              1,129
COMSTOCK RESOURCES, INC.              EQUITY     205768203       54      7,008 SH         DEFINED    1              7,008
COMVERSE TECHNOLOGY, INC.             EQUITY     205862402     1186     93,598 SH         DEFINED    1             93,598
CONAGRA, INC.                         EQUITY     205887102     7950    327,826 SH         DEFINED    1            327,826
CONCEPTUS INC                         EQUITY     206016107       67      3,089 SH         DEFINED    1              3,089
CONCEPTUS INC                         EQUITY     206016107      431     20,000 SH         DEFINED    2             20,000
CONCORD CAMERA CORP.                  EQUITY     206156101       67      7,420 SH         DEFINED    1              7,420
CONCORD EFS INC                       EQUITY     206197105     8252    248,190 SH         DEFINED    1            248,190
CONCORD EFS INC                       EQUITY     206197105     1636     49,200 SH         DEFINED    2             49,200
CONCORD EFS INC COM                   EQUITY     206197105    28308    851,380 SH         Sole       3   712100            129080
CONCURRENT COMPUTER                   EQUITY     206710204      157     18,930 SH         DEFINED    1             18,930
CONCURRENT COMPUTR NEW COM            EQUITY     206710204    37234  4,480,655 SH         Sole       3  4402255             78400
CONECTIV                              EQUITY     206829103     2797    112,374 SH         DEFINED    1            112,374
CONESTOGA ENTERPRISES INC             EQUITY     207015108       76      2,513 SH         DEFINED    1              2,513
CONEXANT SYS INC                      EQUITY     207142100      723     60,000 SH         DEFINED    2             60,000
CONEXANT SYSTEMS INC.                 EQUITY     207142100     1520    126,158 SH         DEFINED    1            126,158
CONMED CORP.                          EQUITY     207410101      184      7,371 SH         DEFINED    1              7,371
CONNECTICUT BANCSHARES INC            EQUITY     207540105       96      3,499 SH         DEFINED    1              3,499
CONNECTICUT WATER SVC INC             EQUITY     207797101       65      2,373 SH         DEFINED    1              2,373
CONNETICS CORP                        EQUITY     208192104       91      9,352 SH         DEFINED    1              9,352
CONOCO INC                            EQUITY     208251504    38239  1,310,460 SH         DEFINED    1          1,310,460




                                                                                                                  VOTING AUTHORITY
                                      TITLE                  VALUE    SHRS OR  SH/   PUT/ INVSTMT  OTHR
NAME OF ISSUER                        CLASS        CUSIP    (X$1000)  PRN AMT  PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
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CONSECO, INC.                         EQUITY     208464107      576    159,219 SH         DEFINED    1            159,219
CONSOL ENERGY INC                     EQUITY     20854P109        8        306 SH         DEFINED    1                306
CONSOLIDATED EDISON, INC.             EQUITY     209115104     4135     98,672 SH         DEFINED    1             98,672
CONSOLIDATED FREIGHTWAYS CORP.        EQUITY     209232107       28      5,251 SH         DEFINED    1              5,251
CONSOLIDATED GRAPHICS, INC.           EQUITY     209341106       63      3,158 SH         DEFINED    1              3,158
CONSTELLATION 3D INC                  EQUITY     210379103        2      4,877 SH         DEFINED    1              4,877
CONSTELLATION BRANDS                  EQUITY     21036P108       19        343 SH         DEFINED    1                343
CONSTELLATION BRANDS INC              EQUITY     21036P108      105     34,800 SH         DEFINED    2             34,800
CONSTELLATION ENERGY GROUP INC        EQUITY     210371100     2333     75,638 SH         DEFINED    1             75,638
CONTINENTAL AIRLS INC COM CL B        EQUITY     210795308       34      1,189 SH         DEFINED    1              1,189
CONVERA CORP.                         EQUITY     211919105       19      5,522 SH         DEFINED    1              5,522
CONVERGYS CORP                        EQUITY     212485106     2486     84,072 SH         DEFINED    1             84,072
COOPER CAMERON CORP.                  EQUITY     216640102     4212     82,411 SH         DEFINED    1             82,411
COOPER COMPANIES, INC.                EQUITY     216648402      209      4,405 SH         DEFINED    1              4,405
COOPER INDUSTRIES, INC.               EQUITY     216669101     1862     44,379 SH         DEFINED    1             44,379
COOPER TIRE & RUBBER CO               EQUITY     216831107     1133     52,335 SH         DEFINED    1             52,335
COORS ADOLPH CLASS B                  EQUITY     217016104     1198     17,757 SH         DEFINED    1             17,757
COORSTEK INC                          EQUITY     217020106       99      2,585 SH         DEFINED    1              2,585
COPART INC COM                        EQUITY     217204106    37750  2,104,231 SH         Sole       3  2044406             59825
COPART, INC.                          EQUITY     217204106     2385    132,966 SH         DEFINED    1            132,966
COPPER MOUNTAIN NETWORKS, INC.        EQUITY     217510106       17     17,702 SH         DEFINED    1             17,702
CORILLIAN CORP                        EQUITY     218725109       20      6,066 SH         DEFINED    1              6,066
CORINTHIAN COLLEGES INC               EQUITY     218868107      124      2,450 SH         DEFINED    1              2,450
CORIXA CORP.                          EQUITY     21887F100       79     12,797 SH         DEFINED    1             12,797
CORN PRODUCTS INTERNATIONAL           EQUITY     219023108      354     10,996 SH         DEFINED    1             10,996
CORNERSTONE REALITY INCOME            EQUITY     21922V102      165     14,762 SH         DEFINED    1             14,762
CORNING, INC.                         EQUITY     219350105     3959    519,520 SH         DEFINED    1            519,520
CORP EXEC BOARD CO.                   EQUITY     21988R102      406     10,835 SH         DEFINED    1             10,835
CORPORATE EXEC BRD CO COM             EQUITY     21988R102    51640  1,376,673 SH         Sole       3  1343779             32894
CORPORATE OFFICE PROPERTIES TR        EQUITY     22002T108       36      2,766 SH         DEFINED    1              2,766
CORRECTIONS CORP OF AMER 12% B CONV P EQUITY     22025Y308       34      1,742 SH         DEFINED    1              1,742
CORRECTIONS CORP. OF AMERICA          EQUITY     22025Y407      102      7,827 SH         DEFINED    1              7,827
CORUS BANKSHARES, INC.                EQUITY     220873103      134      2,823 SH         DEFINED    1              2,823
CORVAS INTERNATIONAL INC              EQUITY     221005101       49      8,555 SH         DEFINED    1              8,555
CORVEL CORP.                          EQUITY     221006109       61      2,044 SH         DEFINED    1              2,044
CORVIS CORP                           EQUITY     221009103        5      3,798 SH         DEFINED    1              3,798
COSINE COMMUNICATIONS INC             EQUITY     221222102       31     26,610 SH         DEFINED    1             26,610
COST PLUS, INC.                       EQUITY     221485105      183      6,691 SH         DEFINED    1              6,691
COSTAR GROUP, INC.                    EQUITY     22160N109       91      3,985 SH         DEFINED    1              3,985
COSTCO WHOLESALE CORPORATION          EQUITY     22160K105    14629    367,385 SH         DEFINED    1            367,385
COUNTRYWIDE CREDIT IND INC            EQUITY     222372104     2548     56,930 SH         DEFINED    1             56,930
COURTYARD BY MARRIOTT II              EQUITY     44107P104     1260    105,411 SH         DEFINED    1            105,411
COUSINS PROPERTIES, INC.              EQUITY     222795106      290     11,146 SH         DEFINED    1             11,146
COVANCE INC.                          EQUITY     222816100     1912     94,301 SH         DEFINED    1             94,301
COVANSYS CORP.                        EQUITY     22281W103       42      5,580 SH         DEFINED    1              5,580
COVANTA ENERGY CORP.                  EQUITY     22281N103       11     15,507 SH         DEFINED    1             15,507
COVENANT TRANSPORT INC CLASS A        EQUITY     22284P105       33      2,235 SH         DEFINED    1              2,235
COVENTRY HEALTH CARE, INC.            EQUITY     222862104      531     20,409 SH         DEFINED    1             20,409
COX COMMUNICATIONS, INC. CLASS A      EQUITY     224044107    25784    685,010 SH         DEFINED    1            685,010
COX RADIO INC-CL A                    EQUITY     224051102       16        555 SH         DEFINED    1                555
CPB, INC.                             EQUITY     125903104       74      2,163 SH         DEFINED    1              2,163
CPI CORP.                             EQUITY     125902106       35      2,107 SH         DEFINED    1              2,107
CRANE CO.                             EQUITY     224399105      875     32,010 SH         DEFINED    1             32,010





                                      TITLE                   VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR          VOTING AUTHORITY
NAME OF ISSUER                        CLASS      CUSIP      (X$1000)   PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
---------------------------------------------------------------------------------------------------------------------------------
                                                                                           
CRAWFORD & CO. CLASS B                EQUITY     224633107      146     10,802 SH         DEFINED    1             10,802
CREDENCE SYSTEMS CORP.                EQUITY     225302108     2059     93,782 SH         DEFINED    1             93,782
Credicorp Limited Com Stk USD 5       EQUITY     G2519Y108      425     42,621 SH         DEFINED    1             42,621
CREDIT ACCEPTANCE CORP.               EQUITY     225310101       44      4,033 SH         DEFINED    1              4,033
CREE INC                              EQUITY     225447101     1259     92,375 SH         DEFINED    1             92,375
CRESCENT REAL ESTATE COM              EQUITY     225756105     2404    123,900 SH         Sole       3   110000             13900
CRESCENT REAL ESTATE EQUITIES, INC.   EQUITY     225756105       17        879 SH         DEFINED    1                879
CRESTLINE CAPITAL CORP.               EQUITY     226153104      140      4,152 SH         DEFINED    1              4,152
CROSSMANN COMMUNITIES                 EQUITY     22764E109       93      2,062 SH         DEFINED    1              2,062
CROSSROADS SYSTEMS                    EQUITY     22765D100       21      5,964 SH         DEFINED    1              5,964
CROWN AMERICAN REALTY TRUST           EQUITY     228186102       64      6,574 SH         DEFINED    1              6,574
CROWN CASTLE INTERNATIONAL            EQUITY     228227104       15      2,322 SH         DEFINED    1              2,322
CROWN CORK & SEAL CO., INC.           EQUITY     228255105      332     37,085 SH         DEFINED    1             37,085
CROWN MEDIA HOLDINGS-CLASS A          EQUITY     228411104       66      5,348 SH         DEFINED    1              5,348
CRYOLIFE INC.                         EQUITY     228903100      102      4,880 SH         DEFINED    1              4,880
CSC HOLDINGS, INC. CLASS A            EQUITY     12686C109      239      7,016 SH         DEFINED    1              7,016
CSG SYSTEMS INTERNATIONAL, INC        EQUITY     126349109     1919     67,395 SH         DEFINED    1             67,395
CSK AUTO CORP                         EQUITY     125965103       73      7,690 SH         DEFINED    1              7,690
CSS INDUSTRIES, INC.                  EQUITY     125906107       39      1,207 SH         DEFINED    1              1,207
CSX  CORP.                            EQUITY     126408103    27364    718,016 SH         DEFINED    1            718,016
CT COMMUNICATION                      EQUITY     126426402       72      4,809 SH         DEFINED    1              4,809
CTS CORP.                             EQUITY     126501105      148      9,113 SH         DEFINED    1              9,113
CUBIC CORP.                           EQUITY     229669106      104      1,584 SH         DEFINED    1              1,584
CUBIST PHARMA INC                     EQUITY     229678107      154      8,338 SH         DEFINED    1              8,338
CULLEN/FROST BANKERS                  EQUITY     229899109       18        507 SH         DEFINED    1                507
CUMMINS INC.                          EQUITY     231021106      895     18,945 SH         DEFINED    1             18,945
CUMULUS MEDIA, INC.                   EQUITY     231082108      164      9,144 SH         DEFINED    1              9,144
CUNO, INC.                            EQUITY     126583103      175      4,717 SH         DEFINED    1              4,717
CURAGEN CORP                          EQUITY     23126R101       10        605 SH         DEFINED    1                605
CURAGEN CORP                          EQUITY     23126R101      754      2,000 SH         DEFINED    2              2,000
CURIS INC.                            EQUITY     231269101       21     10,046 SH         DEFINED    1             10,046
CURTISS-WRIGHT CORP.                  EQUITY     231561101      209      3,140 SH         DEFINED    1              3,140
CV THERAPEUTICS, INC.                 EQUITY     126667104      250      6,895 SH         DEFINED    1              6,895
CVB FINANCIAL CORP                    EQUITY     126600105      163      8,104 SH         DEFINED    1              8,104
CVS Corp                              EQUITY     126650100     1545     45,000 SH         DEFINED    4             45,000
CVS CORP.                             EQUITY     126650100     7146    208,150 SH         DEFINED    1            208,150
CYBERONICS                            EQUITY     23251P102       96      6,032 SH         DEFINED    1              6,032
CYGNUS, INC.                          EQUITY     232560102       40     10,231 SH         DEFINED    1             10,231
CYMER INC COM                         EQUITY     232572107    37166    748,400 SH         Sole       3   735300             13100
CYMER, INC.                           EQUITY     232572107      474      9,552 SH         DEFINED    1              9,552
CYPRESS SEMICONDUCTOR CORP            EQUITY     232806109      690     30,000 SH         DEFINED    2             30,000
CYPRESS SEMICONDUCTOR CORP.           EQUITY     232806109     3513    152,730 SH         DEFINED    1            152,730
CYTEC INDUSTRIES, INC.                EQUITY     232820100     1894     62,260 SH         DEFINED    1             62,260
CYTOGEN CORP.                         EQUITY     232824102       53     24,719 SH         DEFINED    1             24,719
CYTYC CORP                            EQUITY     232946103      538     20,000 SH         DEFINED    2             20,000
CYTYC CORPORATION                     EQUITY     232946103     4256    158,094 SH         DEFINED    1            158,094
D R HORTON INC COM                    EQUITY     23331A109    21874    580,206 SH         Sole       3   494502             79704
D.R. HORTON INC                       EQUITY     23331A109     4731    125,483 SH         DEFINED    1            125,483
DAISYTEK INTERNATIONAL CORP.          EQUITY     234053106       78      4,924 SH         DEFINED    1              4,924
DANA CORP                             EQUITY     235811106     1548     72,115 SH         DEFINED    1             72,115
DANAHER CORP DEL COM                  EQUITY     235851102    20922    294,600 SH         Sole       3   259800             32000
DANAHER CORP.                         EQUITY     235851102     4884     68,771 SH         DEFINED    1             68,771
DARDEN RESTAURANTS, INC.              EQUITY     237194105     2209     54,432 SH         DEFINED    1             54,432




---------------------------------------------------------------------------------------------------------------------------------
                                                                                                             VOTING AUTHORITY
                                      TITLE      CUSIP     VALUE     SHRS OR   SH/  PUT/  INVSTMT  OTHR  ------------------------
NAME OF ISSUER                        CLASS               (X$1000)   PRN AMT   PRN  CALL  DSCRETN  MGRS   SOLE   SHARED     NONE
---------------------------------------------------------------------------------------------------------------------------------
                                                                                           
DATASCOPE CORP.                       EQUITY    238113104    105        3,576  SH         DEFINED    1               3,576
DATASTREAM SYSTEMS                    EQUITY    238124101     45        4,967  SH         DEFINED    1               4,967
DAVITA INC                            EQUITY    23918K108     29        1,132  SH         DEFINED    1               1,132
DDI CORP                              EQUITY    233162106    110       12,928  SH         DEFINED    1              12,928
DEAN FOODS CO                         EQUITY    242370104   6334       83,644  SH         DEFINED    1              83,644
DEB SHOPS, INC                        EQUITY    242728103     34        1,264  SH         DEFINED    1               1,264
DECODE GENETICS, INC                  EQUITY    243586104     54        9,519  SH         DEFINED    1               9,519
DEERE & CO.                           EQUITY    244199105   5015      110,105  SH         DEFINED    1             110,105
DEERE & CO.                           EQUITY    244199105    973       21,475  SH         DEFINED    2              21,475
DEL MONTE                             EQUITY    24522P103     76        7,767  SH         DEFINED    1               7,767
DELIA'S CORP                          EQUITY    24688Q101     62        9,688  SH         DEFINED    1               9,688
DELL COMPUTER CORP                    EQUITY    247025109   8635      330,700  SH         DEFINED    2             330,700
DELL COMPUTER CORP.                   EQUITY    247025109  40856    1,564,780  SH         DEFINED    1           1,564,780
DELPHI CORP                           EQUITY    247126105   4356      272,433  SH         DEFINED    1             272,433
DELPHI FINANCIAL GROUP, INC., CLASS A EQUITY    247131105    160        4,068  SH         DEFINED    1               4,068
DELTA & PINE LAND CO.                 EQUITY    247357106    194       10,209  SH         DEFINED    1              10,209
DELTA AIR LINES, INC.                 EQUITY    247361108   1864       56,956  SH         DEFINED    1              56,956
Delta Airlines                        CORPBOND  247361YF9   4822    5,000,000  PRN        DEFINED    4           5,000,000
DELTAGEN INC                          EQUITY    24783R103     25        3,646  SH         DEFINED    1               3,646
DELTIC TIMBER CORP.                   EQUITY    247850100     93        3,087  SH         DEFINED    1               3,087
DELUXE CORP.                          EQUITY    248019101   1417       30,639  SH         DEFINED    1              30,639
DENBURY RESOURCES INC                 EQUITY    247916208     50        5,927  SH         DEFINED    1               5,927
DENDREON CORP                         EQUITY    24823Q107     30        4,794  SH         DEFINED    1               4,794
DENDRITE INTERNATIONAL, INC.          EQUITY    248239105     98        9,121  SH         DEFINED    1               9,121
DENTSPLY INTERNATIONAL INC.           EQUITY    249030107   3662       98,813  SH         DEFINED    1              98,813
DENTSPLY INTL INC NEW                 EQUITY    249030107   2452       66,150  SH         DEFINED    2              66,150
DEVELOPERS DIVERS RLTY COM            EQUITY    251591103  22210    1,057,600  SH         Sole       3   876934             180666
DEVELOPERS DIVERSIFIED REALTY         EQUITY    251591103    341       16,221  SH         DEFINED    1              16,221
DEVON ENERGY CORP.                    EQUITY    25179M103   3418       70,810  SH         DEFINED    1              70,810
DEVON ENERGY CORP.                    EQUITY    25179M103     25          500  SH         DEFINED    2                 500
DEVRY INC DEL COM                     EQUITY    251893103  18484      613,470  SH         Sole       3   586270              26000
DEVRY, INC.                           EQUITY    251893103   2671       88,647  SH         DEFINED    1              88,647
DIAGEO PLC                            EQUITY    25243Q205   3066       25,000  SH         DEFINED    2              25,000
DIAGNOSTIC PRODUCTS CORP.             EQUITY    252450101    288        6,658  SH         DEFINED    1               6,658
DIAL CORP.                            EQUITY    25247D101   2682      148,834  SH         DEFINED    1             148,834
DIAMOND OFFSHORE DRILLING             EQUITY    25271C102     22          709  SH         DEFINED    1                 709
DIAMONDCLUSTER INT'L INC CL A         EQUITY    25278P106    110        8,526  SH         DEFINED    1               8,526
DIANON SYSTEMS INC                    EQUITY    252826102    178        2,736  SH         DEFINED    1               2,736
DIEBOLD, INC.                         EQUITY    253651103   3688       90,519  SH         DEFINED    1              90,519
DIGENE CORP                           EQUITY    253752109    123        3,450  SH         DEFINED    1               3,450
DIGEX, INC.                           EQUITY    253756100      8        6,811  SH         DEFINED    1               6,811
DIGIMARC CORP                         EQUITY    253807101     62        3,143  SH         DEFINED    1               3,143
DIGITAL GENERATION SYSTEMS            EQUITY    253921100     13       11,021  SH         DEFINED    1              11,021
DIGITAL INSIGHT                       EQUITY    25385P106    222        8,062  SH         DEFINED    1               8,062
DIGITAL LIGHTWAVE INC                 EQUITY    253855100     25        3,988  SH         DEFINED    1               3,988
DIGITAL THINK INC                     EQUITY    25388M100     16        6,939  SH         DEFINED    1               6,939
DIGITAS INC                           EQUITY    25388K104     15        2,745  SH         DEFINED    1               2,745
DILLARDS, INC. CLASS A                EQUITY    254067101   1369       57,365  SH         DEFINED    1              57,365
DIME COMMUNITY BANCSHARES             EQUITY    253922108    132        4,291  SH         DEFINED    1               4,291
DIMON, INC.                           EQUITY    254394109     89       12,947  SH         DEFINED    1              12,947
DIONEX CORP.                          EQUITY    254546104    147        6,049  SH         DEFINED    1               6,049
DIRECT FOCUS                          EQUITY    254931108    352        9,239  SH         DEFINED    1               9,239






                                      TITLE                   VALUE    SHRS OR SH/   PUT/ INVSTMT  OTHR           VOTING AUTHORITY
NAME OF ISSUER                        CLASS      CUSIP      (X$1000)   PRN AMT PRN   CALL DSCRETN  MGRS   SOLE     SHARED    NONE
---------------------------------------------------------------------------------------------------------------------------------
                                                                                           
DISTRIBUCION Y SERVICIO ADR           EQUITY     254753106     1902    132,050 SH         DEFINED    1            132,050
DITECH COMMUNICATIONS CORP            EQUITY     25500M103       33      7,462 SH         DEFINED    1              7,462
DIVERSA CORP                          EQUITY     255064107      192     15,108 SH         DEFINED    1             15,108
DIVINE INC                            EQUITY     255402109       37     73,834 SH         DEFINED    1             73,834
DMC STRATEX NETWORKS INC              EQUITY     23322L106      139     25,557 SH         DEFINED    1             25,557
DOBSON COMMUNICATIONS                 EQUITY     256069105       23      7,255 SH         DEFINED    1              7,255
DOCENT INC                            EQUITY     25608L106       20     11,437 SH         DEFINED    1             11,437
DOCUMENTUM INC                        EQUITY     256159104     1876     73,700 SH         DEFINED    2             73,700
DOCUMENTUM, INC.                      EQUITY     256159104      303     11,920 SH         DEFINED    1             11,920
DOLE FOOD CO., INC.                   EQUITY     256605106     2583     83,307 SH         DEFINED    1             83,307
DOLLAR GENERAL CORP.                  EQUITY     256669102     2547    156,443 SH         DEFINED    1            156,443
DOLLAR THRIFTY AUTOMOTIVE             EQUITY     256743105      148      7,009 SH         DEFINED    1              7,009
DOLLAR TREE STORES INC.               EQUITY     256747106    23843    726,691 SH         DEFINED    1            726,691
DOMINION RESOURCES                    EQUITY     25746U109      143      2,210 SH         DEFINED    2              2,210
DOMINION RESOURCES, INC.              EQUITY     25746U109     7940    121,850 SH         DEFINED    1            121,850
DONALDSON CO INC                      EQUITY     257651109     1464     36,400 SH         DEFINED    2             36,400
DONALDSON CO., INC.                   EQUITY     257651109     2720     67,641 SH         DEFINED    1             67,641
DORAL FINANCIAL CORP.                 EQUITY     25811P100      394     11,604 SH         DEFINED    1             11,604
DORAL FINL CORP COM                   EQUITY     25811P100    22085    650,510 SH         Sole       3   639410             11100
DOUBLECLICK INC                       EQUITY     258609304       20      1,700 SH         DEFINED    1              1,700
DOVER CORP.                           EQUITY     260003108     5292    129,077 SH         DEFINED    1            129,077
DOVER DOWNS ENTERTAINMENT             EQUITY     260086103       82      5,050 SH         DEFINED    1              5,050
Dow Chemical                          EQUITY     260543103     1309     40,000 SH         DEFINED    4             40,000
DOW CHEMICAL CO.                      EQUITY     260543103    13710    419,000 SH         DEFINED    1            419,000
DOW JONES & CO., INC.                 EQUITY     260561105     2562     44,006 SH         DEFINED    1             44,006
DOWNEY FINANCIAL CORP.                EQUITY     261018105      282      6,175 SH         DEFINED    1              6,175
DPL, INC.                             EQUITY     233293109     4097    160,347 SH         DEFINED    1            160,347
DQE INC                               EQUITY     23329J104     8018    376,250 SH         DEFINED    1            376,250
DRESS BARN, INC.                      EQUITY     261570105      128      4,323 SH         DEFINED    1              4,323
DREYER'S GRAND ICE CREAM, INC.        EQUITY     261878102     2035     49,417 SH         DEFINED    1             49,417
DRILL QUIP                            EQUITY     262037104       50      1,937 SH         DEFINED    1              1,937
DRS TECHNOLOGIES INC                  EQUITY     23330X100      205      4,950 SH         DEFINED    1              4,950
DSP GROUP, INC. COM                   EQUITY     23332B106      842     41,117 SH         DEFINED    1             41,117
DST SYSTEMS INC                       EQUITY     233326107     7582    152,258 SH         DEFINED    1            152,258
DTE ENERGY CO.                        EQUITY     233331107    17899    393,394 SH         DEFINED    1            393,394
DTE Energy Company                    EQUITY     233331107     6143    135,000 SH         DEFINED    4            135,000
DU PONT E I DE NEMOURS + CO           EQUITY     263534109     1084     23,000 SH         DEFINED    2             23,000
DUANE READE, INC.                     EQUITY     263578106      277      8,165 SH         DEFINED    1              8,165
DUKE ENERGY CORP.                     EQUITY     264399106    14111    373,300 SH         DEFINED    1            373,300
DUKE REALTY                           EQUITY     264411505       33      1,288 SH         DEFINED    1              1,288
DUKE REALTY CORP COM NEW              EQUITY     264411505    19375    745,194 SH         Sole       3   620724            124470
DUN & BRADSTREET CORP NEW WI          EQUITY     26483E100     3760     93,974 SH         DEFINED    1             93,974
DUPONT PHOTOMASKS                     EQUITY     26613X101       78      1,494 SH         DEFINED    1              1,494
DURA AUTOMOTIVE SYSTEM                EQUITY     265903104       82      4,285 SH         DEFINED    1              4,285
DURASWITCH INDUSTRIES INC             EQUITY     266905207       11      1,452 SH         DEFINED    1              1,452
DURATEK INC                           EQUITY     26658Q102     1121    225,000 SH         DEFINED    1            225,000
DURECT CORPORATION                    EQUITY     266605104       46      5,920 SH         DEFINED    1              5,920
DUSA PHARAMACEUTICALS INC             EQUITY     266898105       17      4,314 SH         DEFINED    1              4,314
DVI, INC.                             EQUITY     233343102       70      3,812 SH         DEFINED    1              3,812
DYAX CORP                             EQUITY     26746E103       22      6,003 SH         DEFINED    1              6,003
DYCOM INDUSTRIES, INC.                EQUITY     267475101     1098     73,460 SH         DEFINED    1             73,460
DYNACQ INTERNATIONAL INC              EQUITY     267919306       21      1,353 SH         DEFINED    1              1,353
DYNEGY INC.                           EQUITY     26816Q101     4601    158,650 SH         DEFINED    1            158,650






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                                                                                                           VOTING AUTHORITY
                                      TITLE      CUSIP      VALUE   SHRS OR  SH/  PUT/  INVSTMT  OTHR   -----------------------
NAME OF ISSUER                        CLASS               (X$1000)  PRN AMT  PRN  CALL  DSCRETN  MGRS   SOLE    SHARED     NONE
-------------------------------------------------------------------------------------------------------------------------------
                                                                                        
E*TRADE GROUP, INC.                   EQUITY   269246104    4447    472,094  SH         DEFINED   1             472,094
E.I. DU PONT DE NEMOURS AND CO        EQUITY   263534109   22325    473,490  SH         DEFINED   1             473,490
E.PIHPANY, INC.                       EQUITY   26881V100     146     19,331  SH         DEFINED   1              19,331
EARTHLINK INC                         EQUITY   270321102     491     48,336  SH         DEFINED   1              48,336
EARTHSHELL CORP.                      EQUITY   27032B100      22     14,922  SH         DEFINED   1              14,922
EAST WEST BANCORP                     EQUITY   27579R104     213      7,285  SH         DEFINED   1               7,285
EASTGROUP PROPERTIES, INC.            EQUITY   277276101     128      4,955  SH         DEFINED   1               4,955
EASTMAN CHEMICAL CO.                  EQUITY   277432100   27971    573,293  SH         DEFINED   1             573,293
Eastman Chemical Company              EQUITY   277432100    1220     25,000  SH         DEFINED   4              25,000
EASTMAN KODAK CO.                     EQUITY   277461109    4122    132,240  SH         DEFINED   1             132,240
EATON CORP.                           EQUITY   278058102    2608     32,202  SH         DEFINED   1              32,202
EATON VANCE CORP.                     EQUITY   278265103    4331    108,418  SH         DEFINED   1             108,418
EBAY, INC.                            EQUITY   278642103     305      5,390  SH         DEFINED   1               5,390
ECHELON                               EQUITY   27874N105     131      7,251  SH         DEFINED   1               7,251
ECHOSTAR COMMUNICATIONS CORP N        EQUITY   278762109    2039     72,000  SH         DEFINED   2              72,000
ECHOSTAR COMMUNICATIONS CORP. CLASS A EQUITY   278762109     185      6,540  SH         DEFINED   1               6,540
ECLIPSYS CORP.                        EQUITY   278856109     226     13,795  SH         DEFINED   1              13,795
ECOLAB, INC.                          EQUITY   278865100    2757     60,291  SH         DEFINED   1              60,291
EDEN BIOSCIENCE CORPORATION           EQUITY   279445100      15      6,203  SH         DEFINED   1               6,203
EDISON INTERNATIONAL INC              EQUITY   281020107    2520    150,432  SH         DEFINED   1             150,432
EDISON SCHOOLS INC                    EQUITY   281033100     113      8,119  SH         DEFINED   1               8,119
EDO CORP                              EQUITY   281347104      84      3,121  SH         DEFINED   1               3,121
EDUCATION MANAGEMENT CORP.            EQUITY   28139T101    2143     50,828  SH         DEFINED   1              50,828
EDUCATION MGMT CORP COM               EQUITY   28139T101   44717  1,060,402  SH         Sole      3   1045502            14900
EDWARDS J D + CO                      EQUITY   281667105    9767    541,400  SH         DEFINED   2             541,400
EDWARDS LIFESCIENCES CP               EQUITY   28176E108    2595     92,833  SH         DEFINED   1              92,833
EEX CORP.                             EQUITY   26842V207      20      9,753  SH         DEFINED   1               9,753
EFUNDS CORP                           EQUITY   28224R101     232     14,434  SH         DEFINED   1              14,434
EGL INC.                              EQUITY   268484102    1122     70,811  SH         DEFINED   1              70,811
EL PASO CORP                          EQUITY   28336L109   29926    679,670  SH         DEFINED   1             679,670
EL PASO CORP.                         EQUITY   28336L109     273     28,311  SH         DEFINED   2              28,311
EL PASO ELECTRIC CO.                  EQUITY   283677854     245     15,682  SH         DEFINED   1              15,682
El Paso Energy Partners               EQUITY   28368B102     937     25,000  SH         DEFINED   4              25,000
ELAN CORP PLC - B WARRANTS            EQUITY   284131802     206    200,000  SH         DEFINED   1             200,000
ELANTEC SEMICONDUCTOR INC             EQUITY   284155108     305      7,128  SH         DEFINED   1               7,128
ELCOR CORP.                           EQUITY   284443108     133      5,994  SH         DEFINED   1               5,994
ELECTRO RENT CORP.                    EQUITY   285218103      62      4,493  SH         DEFINED   1               4,493
ELECTRO SCIENTIFIC INDUSTRIES,        EQUITY   285229100     310      8,462  SH         DEFINED   1               8,462
ELECTROGLAS, INC.                     EQUITY   285324109     111      6,563  SH         DEFINED   1               6,563
ELECTRONIC ARTS                       EQUITY   285512109   10879    178,926  SH         DEFINED   1             178,926
ELECTRONIC ARTS INC COM               EQUITY   285512109    1216     20,000  SH         Sole      3     20000
ELECTRONIC DATA SYS NW COM            EQUITY   285661104    3595     62,000  SH         Sole      3     62000
ELECTRONIC DATA SYSTEMS CORP.         EQUITY   285661104   15144    261,140  SH         DEFINED   1             261,140
ELECTRONICS BOUTIQUE HLDGS. CO        EQUITY   286045109     108      3,120  SH         DEFINED   1               3,120
ELECTRONICS BOUTQ HLDG COM            EQUITY   286045109   21115    611,500  SH         Sole      3    611500
ELECTRONICS FOR IMAGING, INC.         EQUITY   286082102     306     16,739  SH         DEFINED   1              16,739
ELI LILLY AND CO.                     EQUITY   532457108   42356    555,850  SH         DEFINED   1             555,850
ELIZABETH ARDEN INC                   EQUITY   28660G106      36      3,049  SH         DEFINED   1               3,049
EMBARCADERO TECHNOLOGIES INC          EQUITY   290787100      38      2,811  SH         DEFINED   1               2,811
EMC Corp / Mass                       EQUITY   268648102     656     55,000  SH         DEFINED   4              55,000
EMC CORP.                             EQUITY   268648102   13458  1,129,051  SH         DEFINED   1           1,129,051





------------------------------------------------------------------------------------------------------------------------------
                                                                                                        VOTING AUTHORITY
                                     TITLE    CUSIP     VALUE    SHRS OR   SH/  PUT/   INVSTMT  OTHR -------------------------
NAME OF ISSUER                       CLASS            (X$1000)   PRN AMT   PRN  CALL   DSCRETN  MGRS SOLE    SHARED    NONE
------------------------------------------------------------------------------------------------------------------------------
                                                                                      
EMC CORP.                           EQUITY  268648102      78       8,790  SH          DEFINED    2              8,790
EMCOR GROUP, INC.                   EQUITY  29084Q100     193       3,333  SH          DEFINED    1              3,333
EMCORE CORPORATION                  EQUITY  290846104      67       7,005  SH          DEFINED    1              7,005
EMERSON ELEC CO                     EQUITY  291011104    2870      50,000  SH          DEFINED    4             50,000
EMERSON ELECTRIC                    EQUITY  291011104      43         750  SH          DEFINED    2                750
EMERSON ELECTRIC CO.                EQUITY  291011104   13318     232,060  SH          DEFINED    1            232,060
EMEX CORP                           EQUITY  291206100      14       4,201  SH          DEFINED    1              4,201
EMISPHERE TECHNOLOGIES INC          EQUITY  291345106      81       4,766  SH          DEFINED    1              4,766
EMMIS COMMUNICATIONS CORP. CLASS A  EQUITY  291525103    1738      64,990  SH          DEFINED    1             64,990
EMMIS COMMUNICTNS CORP CL A         EQUITY  291525103   44396   1,660,300  SH          Sole       3   1631000            29300
EMPIRE DISTRICT ELECTRIC CO.        EQUITY  291641108     129       6,042  SH          DEFINED    1              6,042
EMPRESA NACIONAL DE ELEC ADR        EQUITY  29244T101     641      68,200  SH          DEFINED    1             68,200
EMULEX CORP                         EQUITY  292475209   33444   1,015,600  SH          Sole       3    939500            70700
EMULEX CORP                         EQUITY  292475209      40       1,205  SH          DEFINED    1              1,205
EMULEX CORP                         EQUITY  292475209    1647      50,000  SH          DEFINED    2             50,000
ENCOMPASS SERVICES CORP.            EQUITY  29255U104      35      19,818  SH          DEFINED    1             19,818
ENCORE ACQUISITION CO               EQUITY  29255W100      33       2,230  SH          DEFINED    1              2,230
ENCORE WIRE CORP                    EQUITY  292562105      67       4,070  SH          DEFINED    1              4,070
ENDO PHARMACEUTICALS                EQUITY  29264F205      65       6,444  SH          DEFINED    1              6,444
ENDOCARE INC                        EQUITY  29264P104      80       4,047  SH          DEFINED    1              4,047
ENDOCARE INC COM                    EQUITY  29264P104   23061   1,170,039  SH          Sole       3   1155539            14500
ENERGEN CORP.                       EQUITY  29265N108     231       8,734  SH          DEFINED    1              8,734
ENERGIZER HOLDINGS INC              EQUITY  29266R108    2750     115,804  SH          DEFINED    1            115,804
ENERGY CONVERSION DEVICES, INC      EQUITY  292659109      92       4,438  SH          DEFINED    1              4,438
ENERGY EAST CORP                    EQUITY  29266M109    3220     148,049  SH          DEFINED    1            148,049
ENERGY PARTNERS LTD                 EQUITY  29270U105      55       6,848  SH          DEFINED    1              6,848
ENERSIS S.A.-ADR                    EQUITY  29274F1049    332      13,500  SH          DEFINED    1             13,500
ENGAGE TECHNOLOGIES, INC.           EQUITY  292827102       3      13,585  SH          DEFINED    1             13,585
ENGELHARD CORP                      EQUITY  292845104      47       1,500  SH          DEFINED    2              1,500
ENGELHARD CORP COM                  EQUITY  292845104   21892     705,522  SH          Sole       3    613500            86422
ENGELHARD CORP.                     EQUITY  292845104    1938      62,444  SH          DEFINED    1             62,444
ENGINEERED SUPPORT SYSTEMS          EQUITY  292866100      99       2,133  SH          DEFINED    1              2,133
ENSCO INTERNATIONAL, INC.           EQUITY  26874Q100    5159     171,156  SH          DEFINED    1            171,156
ENSCO INTL INC                      EQUITY  26874Q100     719     100,200  SH          DEFINED    2            100,200
ENSCO INTL INC COM                  EQUITY  26874Q100    9374     311,000  SH          Sole       3    274100            33300
ENTEGRIS INC                        EQUITY  29362U104     197      12,185  SH          DEFINED    1             12,185
ENTERASYS NETWORKS INC              EQUITY  293637104    1061     250,767  SH          DEFINED    1            250,767
ENTERCOM COMM CORP CL A             EQUITY  293639100   22634     412,500  SH          Sole       3    404800             7700
ENTERCOM COMMUNICATIONS CORP.       EQUITY  293639100    3383      61,663  SH          DEFINED    1             61,663
ENTERGY ARKANSAS INC                EQUITY  29364G103    4419     101,799  SH          DEFINED    1            101,799
ENTERTAINMENT PROPERTIES TRUST      EQUITY  29380T105     104       4,610  SH          DEFINED    1              4,610
ENTRADE INC                         EQUITY  29382L993    1104      19,200  SH          DEFINED    2             19,200
ENTRAVISION COMMUNIC                EQUITY  29382R107       7         464  SH          DEFINED    1                464
ENTREMED, INC.                      EQUITY  29382F103      36       4,744  SH          DEFINED    1              4,744
ENTRUST TECHNOLOGIES INC.           EQUITY  293848107      75      14,786  SH          DEFINED    1             14,786
ENZO BIOCHEM, INC.                  EQUITY  294100102     145       7,136  SH          DEFINED    1              7,136
ENZON INC                           EQUITY  293904108      28         635  SH          DEFINED    1                635
EOG RESOURCES INC                   EQUITY  26875P101    2242      55,268  SH          DEFINED    1             55,268
EPIQ SYSTEMS INC                    EQUITY  26882D109      49       3,052  SH          DEFINED    1              3,052
EQUIFAX, INC.                       EQUITY  294429105    2224      74,376  SH          DEFINED    1             74,376
EQUITABLE RESOURCES, INC.           EQUITY  294549100    2821      81,031  SH          DEFINED    1             81,031
EQUITY INNS, INC.                   EQUITY  294703103      92      11,469  SH          DEFINED    1             11,469
EQUITY OFFICE PPTYS TR COM          EQUITY  294741103   63948   2,132,319  SH          Sole       3   1745158           387161





------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                VOTING AUTHORITY
                                    TITLE     CUSIP    VALUE   SHRS OR    SH/  PUT/ INVSTMT  OTHR
NAME OF ISSUER                      CLASS             (X$1000) PRN AMT    PRN  CALL DSCRETN  MGRS    SOLE       SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
EQUITY OFFICE PROPERTIES TRUST      EQUITY  294741103  25147     838,515   SH       DEFINED    1                838,515
EQUITY ONE COM                      EQUITY  294752100   6252     464,800   SH       Sole       3     391900                72900
EQUITY ONE INC                      EQUITY  294752100     11         853   SH       DEFINED    1                    853
EQUITY RESIDENT PPTYS SH BEN I      EQUITY  29476L107  27812     967,700   SH       Sole       3     787107               180593
EQUITY RESIDENTIAL PROPS TR         EQUITY  29476L107   3595     125,071   SH       DEFINED    1                125,071
ERICSSON LMTEL CO.-ADR SERIES B     EQUITY  294821400    106      25,430   SH       DEFINED    1                 25,430
ERIE INDEMNITY COMPA                EQUITY  29530P102      8         191   SH       DEFINED    1                    191
ESCO ELECTRONICS CORP               EQUITY  296315104    130       3,344   SH       DEFINED    1                  3,344
ESPEED INC                          EQUITY  296643109     52       4,910   SH       DEFINED    1                  4,910
ESPERION THERAPEUTICS COM           EQUITY  29664R106   2161     354,800   SH       Sole       3     354800
ESPERION THERAPEUTICS INC (USD)     EQUITY  29664R106     43       7,097   SH       DEFINED    1                  7,097
ESS TECHNOLOGY INC COM              EQUITY  269151106  15982     770,600   SH       Sole       3     757300                13300
ESS TECHNOLOGY, INC.                EQUITY  269151106    188       9,072   SH       DEFINED    1                  9,072
ESSEX PROPERTY TRUST, INC.          EQUITY  297178105   2746      52,623   SH       DEFINED    1                 52,623
ESTEE LAUDER COMPANIES-CL A         EQUITY  518439104     50       1,457   SH       DEFINED    1                  1,457
ESTERLINE TECHNOLOGIES CORP.        EQUITY  297425100    132       6,464   SH       DEFINED    1                  6,464
ETHAN ALLEN INTERIOR                EQUITY  297602104     11         302   SH       DEFINED    1                    302
EVEREST RE GROUP LTD COM            EQUITY  G3223R108  61243     883,226   SH       Sole       3     827282                53044
EVEREST RE GROUP, LTD               EQUITY  G3223R108   4465      64,400   SH       DEFINED    1                 64,400
EVERGREEN RES INC COM NO PAR        EQUITY  299900308   3157      75,700   SH       Sole       3      75700
EVERGREEN RESOURCES, INC.           EQUITY  299900308    216       5,168   SH       DEFINED    1                  5,168
EXACT SCIENCES CORP (USD)           EQUITY  30063P105     12       1,246   SH       DEFINED    1                  1,246
EXAR CORP.                          EQUITY  300645108    244      11,878   SH       DEFINED    1                 11,878
EXCEL TECHNOLOGY                    EQUITY  30067T103     58       2,630   SH       DEFINED    1                  2,630
EXE TECHNOLOGIES INC (USD)          EQUITY  301504106     21       9,673   SH       DEFINED    1                  9,673
EXELIXIS, INC.                      EQUITY  30161Q104    150      10,872   SH       DEFINED    1                 10,872
EXIDE TECHNOLOGIES                  EQUITY  302051107      2       8,037   SH       DEFINED    1                  8,037
EXPEDIA INC -CL A                   EQUITY  302125109      9         134   SH       DEFINED    1                    134
EXPEDITORS INTERNATIONAL OF WA      EQUITY  302130109   4001      65,596   SH       DEFINED    1                 65,596
EXPRESS SCRIPTS, INC.               EQUITY  302182100   7089     123,086   SH       DEFINED    1                123,086
EXTENDED STAY AMERICA INC           EQUITY  30224P101   2057     118,203   SH       DEFINED    1                118,203
EXTENSITY, INC.                     EQUITY  302255104      8       4,643   SH       DEFINED    1                  4,643
EXTREME NETWORK INC                 EQUITY  30226D106     16       1,506   SH       DEFINED    1                  1,506
EXULT INC                           EQUITY  302284104     13       1,207   SH       DEFINED    1                  1,207
EXULT INC DEL COM                   EQUITY  302284104  14483   1,327,500   SH       Sole       3    1327500
EXXON MOBIL CORP.                   EQUITY  30231G102 154290   3,520,182   SH       DEFINED    1              3,520,182
EXXON MOBIL CORP.                   EQUITY  30231G102   1938      39,724   SH       DEFINED    2                 39,724
F&M BANCORP/FREDERICK               EQUITY  302367107     91       3,384   SH       DEFINED    1                  3,384
F5 NETWORKS INC                     EQUITY  315616102    136       5,840   SH       DEFINED    1                  5,840
FACTORY 2-U STORES, INC.            EQUITY  303072102     52       3,994   SH       DEFINED    1                  3,994
FACTSET RESEARCH SYSTEMS, INC.      EQUITY  303075105    259       6,427   SH       DEFINED    1                  6,427
FAIR ISSAC & CO., INC.              EQUITY  303250104    353       5,561   SH       DEFINED    1                  5,561
FAIRCHILD CORP. CLASS A             EQUITY  303698104     10       3,951   SH       DEFINED    1                  3,951
FAIRCHILD SEMICONDUCTOR CORP.       EQUITY  303726103   4521     158,087   SH       DEFINED    1                158,087
FALCONSTOR SOFTWARE INC             EQUITY  306137100     88      13,929   SH       DEFINED    1                 13,929
FAMILY DLR STORES INC               EQUITY  307000109    251       7,500   SH       DEFINED    2                  7,500
FAMILY DOLLAR STORES, INC.          EQUITY  307000109   2685      80,135   SH       DEFINED    1                 80,135
FARMER BROS. CO.                    EQUITY  307675108     80         264   SH       DEFINED    1                    264
FARMERS CAPITAL BANK CORP           EQUITY  309562106     76       2,155   SH       DEFINED    1                  2,155
FASTENAL CO.                        EQUITY  311900104   3625      48,131   SH       DEFINED    1                 48,131
FBL FINANCIAL GROUP, INC., CLASS A  EQUITY  30239F106     68       3,627   SH       DEFINED    1                  3,627
FBR ASSET INVESTMENT CORP           EQUITY  30241E303   5440     200,000   SH       DEFINED    1                200,000








                                       TITLE               VALUE     SHRS OR    SH/  PUT/  INVSTMT  OTHR          VOTING AUTHORITY
NAME OF ISSUER                         CLASS     CUSIP    (X$1000)   PRN AMT    PRN  CALL  DSCRETN  MGRS    SOLE    SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FEDDERS CORP                           EQUITY  313135105        24       7,557  SH         DEFINED   1                 7,557
FEDERAL AGRIC MTG CORP                 EQUITY  313148306       113       2,548  SH         DEFINED   1                 2,548
FEDERAL NATIONAL MORTGAGE ASSO         EQUITY  313586109     41035     513,710  SH         DEFINED   1               513,710
FEDERAL REALTY INVESTMENT TR.          EQUITY  313747206       287      11,195  SH         DEFINED   1                11,195
FEDERAL SIGNAL CORP.                   EQUITY  313855108      1675      70,617  SH         DEFINED   1                70,617
FEDERAL-MOGUL CORP.                    EQUITY  313549107        18      21,734  SH         DEFINED   1                21,734
FEDERATED DEPT STORES INC DEL          EQUITY  31410H101       627      50,600  SH         DEFINED   2                50,600
FEDERATED DEPT STORES, INC.            EQUITY  31410H101      3630      88,850  SH         DEFINED   1                88,850
FEDERATED INVESTORS                    EQUITY  314211103        38       1,168  SH         DEFINED   1                 1,168
FEDEX CORP COM                         EQUITY  31428X106      3486      60,000  SH         Sole      3      60000
FEDEX CORPORATION                      EQUITY  31428X106      7847     135,060  SH         DEFINED   1               135,060
FEI COMPANY                            EQUITY  30241L109      1599      44,981  SH         DEFINED   1                44,981
FELCOR LODGING TRUST, INC.             EQUITY  31430F101       198       9,339  SH         DEFINED   1                 9,339
FERRO CORP.                            EQUITY  315405100      1495      51,916  SH         DEFINED   1                51,916
FHLMC                                CORPBOND  3129247M9      8775   9,000,000  PRN        DEFINED   4             9,000,000
FHLMC                                CORPBOND  312924WR0      3903   4,000,000  PRN        DEFINED   4             4,000,000
FHLMC                                CORPBOND  312924RL9      3297   3,400,000  PRN        DEFINED   4             3,400,000
FIBERCORE INC                          EQUITY  31563B109        16      10,072  SH         DEFINED   1                10,072
FIDELITY BANKSHARES INC                EQUITY  31604Q107        88       4,910  SH         DEFINED   1                 4,910
FIDELITY NATIONAL FINANCIAL            EQUITY  316326107      2862     108,545  SH         DEFINED   1               108,545
FIFTH THIRD BANCORP                    EQUITY  316773100     18089     268,069  SH         DEFINED   1               268,069
FILENET CORP.                          EQUITY  316869106       187      10,966  SH         DEFINED   1                10,966
FINANCIAL FED CORP COM                 EQUITY  317492106     11615     354,000  SH         Sole      3     354000
FINANCIAL FEDERAL CORP.                EQUITY  317492106       109       3,312  SH         DEFINED   1                 3,312
FINCANCIAL INSTITUTIONS INC            EQUITY  317585404        75       2,571  SH         DEFINED   1                 2,571
FINISAR COM                            EQUITY  31787A101     15580   2,023,353  SH         Sole      3    1986539              36814
FINISAR CORPORATION                    EQUITY  31787A101        14       1,864  SH         DEFINED   1                 1,864
FINISH LINE, INC.                      EQUITY  317923100        99       5,345  SH         DEFINED   1                 5,345
FINOVA GROUP, INC.                     EQUITY  317928109         5      16,154  SH         DEFINED   1                16,154
FIRST AMERICAN CAP TRUST CLASS A       EQUITY  318522307       452      21,258  SH         DEFINED   1                21,258
FIRST BANCORP NORTH CAROLINA           EQUITY  318910106        49       2,128  SH         DEFINED   1                 2,128
FIRST BANCORP/PUERTO RICO              EQUITY  318672102       189       6,556  SH         DEFINED   1                 6,556
FIRST BANKS AMERICA INC                EQUITY  31928N103        11         259  SH         DEFINED   1                   259
FIRST BUSEY CORP                       EQUITY  319383105        60       2,794  SH         DEFINED   1                 2,794
FIRST CHARTER CORP.                    EQUITY  319439105       182       9,722  SH         DEFINED   1                 9,722
FIRST CITIZENS BANCSHARES, INC CLASS   EQUITY  31946M103       194       1,880  SH         DEFINED   1                 1,880
FIRST COMMONWEALTH FINANCIAL           EQUITY  319829107       241      18,194  SH         DEFINED   1                18,194
FIRST COMMUNITY BANCSHARES INC         EQUITY  31983A103        83       2,743  SH         DEFINED   1                 2,743
FIRST CONSULTING GROUP, INC.           EQUITY  31986R103        53       5,314  SH         DEFINED   1                 5,314
FIRST DATA CORP                        EQUITY  319963104      4014      46,000  SH         DEFINED   2                46,000
FIRST DATA CORP COM                    EQUITY  319963104      2705      31,000  SH         Sole      3      31000
FIRST DATA CORP.                       EQUITY  319963104     19858     227,600  SH         DEFINED   1               227,600
FIRST ESSEX BANCORP INC                EQUITY  320103104        62       2,035  SH         DEFINED   1                 2,035
FIRST FEDERAL CAPITAL CORP.            EQUITY  319960100        98       5,173  SH         DEFINED   1                 5,173
FIRST FINANCIAL BANCORP                EQUITY  320209109       177      11,228  SH         DEFINED   1                11,228
FIRST FINANCIAL BANKSHARES             EQUITY  32020R109       112       3,364  SH         DEFINED   1                 3,364
FIRST FINANCIAL CORP.                  EQUITY  320218100        93       2,136  SH         DEFINED   1                 2,136
FIRST FINANCIAL HOLDINGS, INC.         EQUITY  320239106       113       4,178  SH         DEFINED   1                 4,178
FIRST HEALTH GROUP CORP.               EQUITY  320960107      3053     126,514  SH         DEFINED   1               126,514
FIRST HORIZON PHARMACE COM             EQUITY  32051K106      7664     342,749  SH         Sole      3     342749
FIRST HORIZON PHARMACEUTICAL           EQUITY  32051K106        76       3,390  SH         DEFINED   1                 3,390
FIRST INDIANA CORP.                    EQUITY  32054R108        70       3,616  SH         DEFINED   1                 3,616
FIRST INDUSTRIAL REALITY TRUST         EQUITY  32054K103       418      12,202  SH         DEFINED   1                12,202






---------------

                                       TITLE       CUSIP     VALUE     SHRS OR   SH/  PUT/  INVSTMT  OTHR      VOTING AUTHORITY
NAME OF ISSUER                         CLASS                (X$1000)   PRN AMT   PRN  CALL  DSCRETN  MGRS    SOLE     SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FIRST INDUSTRIAL RLTY COM              EQUITY    32054K103    16553     483,300  SH         Sole       3    403857             79443
FIRST MERCHANTS CORP.                  EQUITY    320817109       92       3,492  SH         DEFINED    1                3,492
FIRST MIDWEST BANCORP, INC.            EQUITY    320867104      441      15,182  SH         DEFINED    1               15,182
FIRST NIAGARA FINANCIAL GRP            EQUITY    33582U100       53       3,041  SH         DEFINED    1                3,041
FIRST PLACE FINANCIAL CORP             EQUITY    33610T109       78       4,658  SH         DEFINED    1                4,658
FIRST REPUBLIC BANK                    EQUITY    336158100       94       3,300  SH         DEFINED    1                3,300
FIRST SENTINEL BANCORP INC             EQUITY    33640T103      106       8,109  SH         DEFINED    1                8,109
FIRST TENNESSEE NATIONAL CORP.         EQUITY    337162101     5624     160,448  SH         DEFINED    1              160,448
First Union                            CORPBOND  337363AE5     3040   3,000,000  PRN        DEFINED    4            3,000,000
FIRST VIRGINIA BANKS, INC.             EQUITY    337477103     3248      60,571  SH         DEFINED    1               60,571
FIRSTENERGY CORP.                      EQUITY    337932107     4749     137,343  SH         DEFINED    1              137,343
FIRSTFED FINANCIAL CORP.               EQUITY    337907109      141       5,384  SH         DEFINED    1                5,384
FIRSTMERIT CORP.                       EQUITY    337915102     3094     107,469  SH         DEFINED    1              107,469
FIRSTSERVICE CORP SUB VTG SH           EQUITY    33761N109     6379     288,000  SH         Sole       3    288000
FISERV INC COM                         EQUITY    337738108    33574     730,027  SH         Sole       3    633560             90967
FISERV, INC.                           EQUITY    337738108     4389      95,426  SH         DEFINED    1               95,426
FISHER COMMUNICATIONS INC              EQUITY    337756209       58       1,276  SH         DEFINED    1                1,276
FISHER SCIENTIFIC INT'L., INC.         EQUITY    338032204      473      16,818  SH         DEFINED    1               16,818
FLAGSTAR BANCORP, INC.                 EQUITY    337930101       50       2,147  SH         DEFINED    1                2,147
FLEETBOSTON FINANCIAL CORP.            EQUITY    339030108    18557     530,190  SH         DEFINED    1              530,190
FLEETBOSTON FINL CORP                  EQUITY    339030108     1383      39,500  SH         DEFINED    2               39,500
FLEETWOOD ENTERPRISES, INC.            EQUITY    339099103      118      10,887  SH         DEFINED    1               10,887
FLEMING COMPANIES, INC                 EQUITY    339130106      290      12,966  SH         DEFINED    1               12,966
FLEXTRONICS INTERNATIONAL              EQUITY    Y2573F102       36       2,000  SH         DEFINED    2                2,000
FLEXTRONICS INTERNATIONAL LTD          EQUITY    Y2573F102      266      14,570  SH         DEFINED    1                   15
FLIR SYSTEMS INC (USD)                 EQUITY    302445101      176       3,690  SH         DEFINED    1                3,690
FLORIDA EAST COAST INDUSTRIES          EQUITY    340632108      200       7,073  SH         DEFINED    1                7,073
FLORIDA ROCK INDUSTRIES, INC.          EQUITY    341140101      233       5,853  SH         DEFINED    1                5,853
FLOW INTERNATIONAL CORP                EQUITY    343468104       40       4,097  SH         DEFINED    1                4,097
FLOWERS FOODS INC                      EQUITY    343498101      201       7,889  SH         DEFINED    1                7,889
FLOWSERVE CORP.                        EQUITY    34354P105     2225      69,497  SH         DEFINED    1               69,497
FLUOR CORP                             EQUITY    343412102     1660      40,695  SH         DEFINED    1               40,695
FLUSHING FINANCIAL CORP                EQUITY    343873105       55       3,284  SH         DEFINED    1                3,284
FMC CORP.                              EQUITY    302491303     1659      39,565  SH         DEFINED    1               39,565
FMC TECHNOLOGIES INC                   EQUITY    30249U101     1639      82,260  SH         DEFINED    1               82,260
FMCNT                                  CORPBOND  312925ET3     6999   7,000,000  PRN        DEFINED    4            7,000,000
FNB CORP.                              EQUITY    302520101      380      12,985  SH         DEFINED    1               12,985
FNMA                                   CORPBOND  3136F1LX6     4938   5,000,000  PRN        DEFINED    4            5,000,000
FNMA                                   CORPBOND  31359MMA8     2961   3,000,000  PRN        DEFINED    4            3,000,000
FNMA                                   CORPBOND  31364FPJ4     2380   2,500,000  PRN        DEFINED    4            2,500,000
FOAMEX INTERNATIONAL, INC.             EQUITY    344123104       50       5,117  SH         DEFINED    1                5,117
FOCAL COMMUNICATION CORP               EQUITY    344155205        2         386  SH         DEFINED    1                  386
FOMENTO ECONOMICO MEX-SP ADR           EQUITY    344419106      957      20,300  SH         DEFINED    1               20,300
FOOT LOCKER INC                        EQUITY    344849104       23       1,408  SH         DEFINED    1                1,408
FOOT LOCKER INC                        EQUITY    344849104      301      18,600  SH         DEFINED    2               18,600
FOOT LOCKER INC COM                    EQUITY    344849104    58377   3,607,948  SH         Sole       3   3395564            200384
FOOTSTAR, INC.                         EQUITY    344912100      189       6,201  SH         DEFINED    1                6,201
FORD MOTOR CO.                         EQUITY    345370860    13737     833,050  SH         DEFINED    1              833,050
FORD MOTOR CO.                         EQUITY    345370860     7726     468,751  SH         DEFINED    2              468,751
FOREST CITY ENTERPRISES, INC. CLASS A  EQUITY    345550107      317       8,352  SH         DEFINED    1                8,352
FOREST LABORATORIES, INC.              EQUITY    345838106     6638      81,245  SH         DEFINED    1               81,245
FOREST LABS INC                        EQUITY    345838106      507       6,200  SH         DEFINED    2                6,200





                                       TITLE               VALUE     SHRS OR    SH/  PUT/  INVSTMT  OTHR          VOTING AUTHORITY
NAME OF ISSUER                         CLASS     CUSIP    (X$1000)   PRN AMT    PRN  CALL  DSCRETN  MGRS    SOLE    SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FOREST OIL CORP                        EQUITY  346091705      1752      59,146  SH         DEFINED   1                59,146
FORRESTER RESEARCH, INC.               EQUITY  346563109        80       4,182  SH         DEFINED   1                 4,182
FORTUNE BRANDS, INC.                   EQUITY  349631101      3773      76,425  SH         DEFINED   1                76,425
FORWARD AIR CORP                       EQUITY  349853101       152       4,789  SH         DEFINED   1                 4,789
FOSSIL, INC.                           EQUITY  349882100       106       4,004  SH         DEFINED   1                 4,004
FOUNDRY NETWORKS INC                   EQUITY  35063R100         9       1,274  SH         DEFINED   1                 1,274
FOURTHSTAGE TECHNOLOGIES INC           EQUITY  35112T107         3     111,112  SH         DEFINED   1               111,112
FOX ENTMT GROUP INC                    EQUITY  35138T107       780      28,285  SH         DEFINED   2                28,285
FPL GROUP, INC.                        EQUITY  302571104      4957      83,234  SH         DEFINED   1                83,234
FRANKLIN ELECTRIC CO., INC.            EQUITY  353514102       132       2,600  SH         DEFINED   1                 2,600
FRANKLIN RES INC                       EQUITY  354613101       210       5,000  SH         DEFINED   2                 5,000
FRANKLIN RESOURCES, INC.               EQUITY  354613101      5142     122,658  SH         DEFINED   1               122,658
FREDDIE MAC                            EQUITY  313400301     25524     402,780  SH         DEFINED   1               402,780
FRED'S INC.                            EQUITY  356108100       208       5,788  SH         DEFINED   1                 5,788
FREEMARKETS INC                        EQUITY  356602102       212       9,211  SH         DEFINED   1                 9,211
FREEPORT-MCMORAN COPPER & GOLD CLASS   EQUITY  35671D857      1292      73,346  SH         DEFINED   1                73,346
FREMONT GENERAL CORP.                  EQUITY  357288109       109      17,787  SH         DEFINED   1                17,787
FRIEDMAN BILLINGS RAMSEY-A             EQUITY  358433100        49       6,946  SH         DEFINED   1                 6,946
FRIEDMAN'S, INC., CLASS A              EQUITY  358438109        46       4,316  SH         DEFINED   1                 4,316
FRONTIER AIRLINES, INC.                EQUITY  359065109       163       8,874  SH         DEFINED   1                 8,874
FRONTIER FINANCIAL CORP.               EQUITY  35907K105       142       5,343  SH         DEFINED   1                 5,343
FRONTIER OIL CORP.                     EQUITY  35914P105       171       7,957  SH         DEFINED   1                 7,957
FRONTLINE CAPITAL GROUP                EQUITY  35921N101                 9,447  SH         DEFINED   1                 9,447
FSI INTERNATIONAL, INC.                EQUITY  302633102        91       8,126  SH         DEFINED   1                 8,126
FTD.COM INC (USD)                      EQUITY  30265F103        14       2,562  SH         DEFINED   1                 2,562
FTI CONSULTING INC                     EQUITY  302941109       141       4,542  SH         DEFINED   1                 4,542
FUELCELL ENERGY INC                    EQUITY  35952H106       162      10,256  SH         DEFINED   1                10,256
FULTON FIN CORP                        EQUITY  360271100        20         814  SH         DEFINED   1                   814
FURNITURE BRANDS INTERNATIONAL         EQUITY  360921100      3074      84,346  SH         DEFINED   1                84,346
FURNITURE BRANDS INTL COM              EQUITY  360921100     52773   1,447,815  SH         Sole      3    1422815              25000
FUTURELINK CORP                        EQUITY  36114Q307        15      30,000  SH         DEFINED   2                30,000
G & K SERVICES, INC. CLASS A           EQUITY  361268105       240       6,430  SH         DEFINED   1                 6,430
GABELLI ASSET MANAGEMENT, INC.         EQUITY  36239Y102        66       1,651  SH         DEFINED   1                 1,651
GABLES RESIDENTIAL TR SH BEN I         EQUITY  362418105      2344      75,500  SH         Sole      3      67055               8445
GABLES RESIDENTIAL TRUST               EQUITY  362418105       235       7,567  SH         DEFINED   1                 7,567
GALEN HOLDINGS - ADR                   EQUITY  363240102      1347      39,385  SH         DEFINED   1                39,385
GALLAGHER, ARTHUR J & CO               EQUITY  363576109     18632     568,565  SH         DEFINED   1               568,565
GANNETT CO., INC.                      EQUITY  364730101     13124     172,460  SH         DEFINED   1               172,460
GAP INC                                EQUITY  364760108      1655     110,135  SH         DEFINED   2               110,135
GAP, INC.                              EQUITY  364760108      5887     391,440  SH         DEFINED   1               391,440
GARAN INC                              EQUITY  364802108        54       1,005  SH         DEFINED   1                 1,005
GARDNER DENVER, INC.                   EQUITY  365558105       112       4,551  SH         DEFINED   1                 4,551
GARTNER INC.                           EQUITY  366651206      1383     106,400  SH         DEFINED   1               106,400
GARTNER INC. CLASS A                   EQUITY  366651107       317      24,582  SH         DEFINED   1                24,582
GATEWAY, INC.                          EQUITY  367626108       939     148,560  SH         DEFINED   1               148,560
GATX CORP.                             EQUITY  361448103      1959      61,607  SH         DEFINED   1                61,607
GAYLORD ENTERTAINMENT CO.              EQUITY  367905106       181       6,798  SH         DEFINED   1                 6,798
GBC BANCORP                            EQUITY  361475106        81       2,436  SH         DEFINED   1                 2,436
GCI, INC.                              EQUITY  369385109       105      12,102  SH         DEFINED   1                12,102
GEMSTAR-TV GUIDE INTERNATIONAL         EQUITY  36866W106       187      12,650  SH         DEFINED   1                12,650
GENAISSANCE PHARMACEUTICALS            EQUITY  36867W105        17       5,639  SH         DEFINED   1                 5,639
GenAmerica Capital I 8.525%          CORPBOND  36867NAA3      2942   3,000,000  PRN        DEFINED   4             3,000,000
GENCORP, INC.                          EQUITY  368682100       154       9,784  SH         DEFINED   1                 9,784




--------------------------------------------------------------------------------------------------------------------------------
                                                                                                           VOTING AUTHORITY
                                     TITLE       CUSIP    VALUE   SHRS  OR   SH/  PUT/  INVSTMT  OTHR --------------------------
NAME OF ISSUER                       CLASS               (X$1000) PRN  AMT   PRN  CALL  DSCRETN  MGRS   SOLE     SHARED    NONE
--------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GENE LOGIC, INC.                     EQUITY    368689105     162      8,319  SH         DEFINED    1                8,319
GENELABS TECHNOLOGIES, INC.          EQUITY    368706107      22     12,688  SH         DEFINED    1               12,688
GENENCOR INTERNATIONAL INC           EQUITY    368709101      35      3,074  SH         DEFINED    1                3,074
GENENTECH INC                        EQUITY    368710406    1072     22,160  SH         DEFINED    2               22,160
GENENTECH, INC.                      EQUITY    368710406    1363     27,010  SH         DEFINED    1               27,010
GENERAL CABLE CORP.                  EQUITY    369300108     146     10,222  SH         DEFINED    1               10,222
GENERAL COMMUNICATION CL A           EQUITY    369385109   17076  1,962,772  SH         Sole       3   1926500              36272
General Dynamics                     EQUITY    369550108    3194     34,000  SH         DEFINED    4               34,000
GENERAL DYNAMICS CORP COM            EQUITY    369550108    3758     40,000  SH         Sole       3     40000
GENERAL DYNAMICS CORP.               EQUITY    369550108    8772     93,365  SH         DEFINED    1               93,365
General Elec Co                      EQUITY    369604103    3183     85,000  SH         DEFINED    4               85,000
GENERAL ELECTRIC                     EQUITY    369604103    2350     63,700  SH         DEFINED    2               63,700
GENERAL ELECTRIC CO.                 EQUITY    369604103  251819  6,724,145  SH         DEFINED    1            6,724,145
GENERAL GROWTH PPTYS                 EQUITY    370021107   30427    688,400  SH         Sole       3    567727             120673
GENERAL GROWTH PROPE                 EQUITY    370021107      26        599  SH         DEFINED    1                  599
GENERAL MILLS, INC.                  EQUITY    370334104   46008    941,830  SH         DEFINED    1              941,830
General Motors                       CORPBOND  370442AV7    7473  7,500,000  PRN        DEFINED    4            7,500,000
GENERAL MOTORS CORP.                 EQUITY    370442105   15179    251,100  SH         DEFINED    1              251,100
GENERAL MTRS CORP                    EQUITY    370442105    1281     42,400  SH         DEFINED    2               42,400
GENESCO, INC.                        EQUITY    371532102     187      6,787  SH         DEFINED    1                6,787
GENESIS HEALTH VENTURES              EQUITY    37183F115     119     56,182  SH         DEFINED    1                   56
GENESIS HEALTH VENTURES INC          EQUITY    37183F107     609     33,467  SH         DEFINED    1               33,467
GENESIS MICROCHIP INC                EQUITY    37184C103      56      2,164  SH         DEFINED    1                2,164
GENESIS MICROCHIP INC DEL            EQUITY    37184C103     140      5,000  SH         DEFINED    2                5,000
GENOME THERAPEUTICS                  EQUITY    372430108      40      7,090  SH         DEFINED    1                7,090
GENSTAR THERAPEUTICS CORP            EQUITY    37248D105       4      3,650  SH         DEFINED    1                3,650
GENTA INC                            EQUITY    37245M207   10158    605,746  SH         Sole       3    588146              17600
GENTA INC                            EQUITY    37245M207     129      7,721  SH         DEFINED    1                7,721
GENTEK, INC.                         EQUITY    37245X104              1,272  SH         DEFINED    1                1,272
GENTEX CORP.                         EQUITY    371901109    2830     95,515  SH         DEFINED    1               95,515
GENTIVA HEALTH SERVICES              EQUITY    37247A102     157      6,343  SH         DEFINED    1                6,343
GENUINE PARTS CO.                    EQUITY    372460105    2967     80,679  SH         DEFINED    1               80,679
GENUITY INC                          EQUITY    37248E103      48     54,755  SH         DEFINED    1               54,755
GENVEC INC                           EQUITY    37246C109     900     10,200  SH         DEFINED    2               10,200
GENZYME CORP                         EQUITY    372917708       2        303  SH         DEFINED    2                  303
GENZYME TRANSGENICS CORP             EQUITY    37246E105      21      6,372  SH         DEFINED    1                6,372
GENZYME-MOLECULAR ONCOLOGY-          EQUITY    372917104    4649    110,521  SH         DEFINED    1              110,521
GENZYME-MOLECULAR ONCOLOGY-BIOSURGER EQUITY    372917708      78     11,465  SH         DEFINED    1               11,465
GEORGIA GULF CORP                    EQUITY    373200203     687     25,600  SH         DEFINED    2               25,600
GEORGIA GULF CORP.                   EQUITY    373200203     202      7,519  SH         DEFINED    1                7,519
Georgia Pacific                      CORPBOND  373298BJ6    4245  5,000,000  PRN        DEFINED    4            5,000,000
Georgia Pacific                      CORPBOND  373398BN7     815  1,000,000  PRN        DEFINED    4            1,000,000
GEORGIA-PACIFIC CORP.                EQUITY    373298108    3199    106,815  SH         DEFINED    1              106,815
GERBER SCIENTIFIC, INC.              EQUITY    373730100      42      5,775  SH         DEFINED    1                5,775
GERDAU SA-SPON ADR                   EQUITY    373737105     464     37,400  SH         DEFINED    1               37,400
GERMAN AMERICAN BANCORP              EQUITY    373865104      49      2,939  SH         DEFINED    1                2,939
GERON CORP                           EQUITY    374163103      51      6,724  SH         DEFINED    1                6,724
GETTY IMAGES, INC.                   EQUITY    374276103     318     10,620  SH         DEFINED    1               10,620
GETTY REALTY CORP.                   EQUITY    374297109    6044    321,479  SH         DEFINED    1              321,479
GIBRALTAR STEEL CORP.                EQUITY    37476F103      37      1,701  SH         DEFINED    1                1,701
GILEAD SCIENCES, INC.                EQUITY    375558103    9033    250,974  SH         DEFINED    1              250,974
GILLETTE CO                          EQUITY    375766102     196     19,500  SH         DEFINED    2               19,500





                                  TITLE       CUSIP     VALUE    SHRS OR     SH/   PUT/  INVSTMT  OTHR        VOTING AUTHORITY
NAME OF ISSUER                    CLASS                (X$1000)  PRN AMT     PRN   CALL  DSCRETN  MGRS    SOLE     SHARED    NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
GILLETTE CO.                      EQUITY    375766102    16377    481,540    SH          DEFINED    1              481,540
GLACIER BANCORP, INC.             EQUITY    37637Q105       99      4,349    SH          DEFINED    1                4,349
GLADSTONE CAP CORP                EQUITY    376535100     1450     11,000    SH          DEFINED    2               11,000
GLATFELTER, P.H. CO.              EQUITY    377316104     1029     57,355    SH          DEFINED    1               57,355
GLAXOSMITHKLINE PLC               EQUITY    37733W105      145      3,075    SH          DEFINED    2                3,075
GLENBOROUGH REALITY TRUST, INC    EQUITY    37803P105     3355    156,027    SH          DEFINED    1              156,027
GLIMCHER REALITY TRUST            EQUITY    379302102     5416    291,963    SH          DEFINED    1              291,963
Glimcher Realty Trust             EQUITY    379302102      835     45,000    SH          DEFINED    4               45,000
GLIMCHER RLTY TR SH BEN INT       EQUITY    379302102     4754    256,300    SH          Sole       3    227500              28800
GLOBAL IMAGING SYSTEMS, INC.      EQUITY    37934A100       39      2,127    SH          DEFINED    1                2,127
GLOBAL INDUSTRIES LT              EQUITY    379336100        6        624    SH          DEFINED    1                  624
GLOBAL PAYMENTS INC.              EQUITY    37940X102      401     10,937    SH          DEFINED    1               10,937
GLOBAL POWER EQUIPME              EQUITY    37941P108        1         87    SH          DEFINED    1                   87
GLOBAL SPORTS, INC.               EQUITY    37937A107       73      4,266    SH          DEFINED    1                4,266
GLOBALSANTAFE CORPORATION         EQUITY    G3930E101     5187     88,201    SH          DEFINED    2               88,201
GLOBESPAN VIRATA INC              EQUITY    37957V106      489     32,757    SH          DEFINED    1               32,757
GOLD BANK CORP., INC.             EQUITY    379907108       82      9,163    SH          DEFINED    1                9,163
GOLDEN STAE BANCORP, INC.         EQUITY    381197102     5703    192,070    SH          DEFINED    1              192,070
GOLDEN TELECOM INC                EQUITY    38122G107       80      5,177    SH          DEFINED    1                5,177
GOLDEN WEST FINANCIAL CORP.       EQUITY    381317106     4602     72,476    SH          DEFINED    1               72,476
GOLDMAN SACHS GROUP INC           EQUITY    38141G104    33558    371,830    SH          DEFINED    1              371,830
GOODRICH CORP.                    EQUITY    382388106     1488     47,031    SH          DEFINED    1               47,031
GOODYEAR TIRE & RUBBER CO.        EQUITY    382550101     1920     75,104    SH          DEFINED    1               75,104
GORMAN RUPP CO COM                EQUITY    383082104       61      2,283    SH          DEFINED    1                2,283
GRACE, W.R. & CO.                 EQUITY    38388F108      113     51,350    SH          DEFINED    1               51,350
GRACO INC COM                     EQUITY    384109104     8407    205,800    SH          Sole       3    202200               3600
GRACO, INC.                       EQUITY    384109104      395      9,678    SH          DEFINED    1                9,678
GRANITE CONSTRUCTION, INC.        EQUITY    387328107     1512     61,426    SH          DEFINED    1               61,426
GRANT PRIDE INC                   EQUITY    38821G101      948     90,255    SH          DEFINED    2               90,255
GRANT PRIDECO INC                 EQUITY    38821G101     1896    138,588    SH          DEFINED    1              138,588
GRAY COMMUNICATIONS SYSTEMS       EQUITY    389190109       46      2,868    SH          DEFINED    1                2,868
GREAT AMERICAN FINANCIAL RES      EQUITY    389915109       33      1,830    SH          DEFINED    1                1,830
GREAT ATLANTIC & PACIFIC TEA      EQUITY    390064103      167      6,002    SH          DEFINED    1                6,002
GREAT LAKES CHEM CORP.            EQUITY    390568103      740     26,252    SH          DEFINED    1               26,252
GREAT LAKES REIT, INC.            EQUITY    390752103     1525     90,036    SH          DEFINED    1               90,036
GREAT PLAINS ENERGY INC           EQUITY    391164100     8091    305,200    SH          DEFINED    1              293,162
GREAT SOUTHERN BANCORP, INC.      EQUITY    390905107       56      1,770    SH          DEFINED    1                1,770
GREATER BAY BANCORP               EQUITY    391648102     2674     78,380    SH          DEFINED    1               78,380
GREEN MOUNTAIN COFFEE INC         EQUITY    393122106       30      1,425    SH          DEFINED    1                1,425
Greenpoint Cap Trust              CORPBOND  39538PAC7     6848  7,405,000    PRN         DEFINED    4            7,405,000
GREENPOINT FINANCIAL CORP.        EQUITY    395384100     6884    157,540    SH          DEFINED    1              157,540
GREIF BROTHERS CORP., CLASS A     EQUITY    397624107      144      4,022    SH          DEFINED    1                4,022
GREY GLOBAL GROUP INC             EQUITY    39787M108      155        227    SH          DEFINED    1                  227
GREY WOLF, INC.                   EQUITY    397888108      176     44,430    SH          DEFINED    1               44,430
GRIFFON CORP.                     EQUITY    398433102      139      8,291    SH          DEFINED    1                8,291
GROUP 1 AUTOMOTIVE, INC.          EQUITY    398905109      191      4,897    SH          DEFINED    1                4,897
GRUPO AEROPORTUARIO SUR ADR       EQUITY    40051E202      332     22,000    SH          DEFINED    1               22,000
GRUPO IUSACELL-ADR V              EQUITY    40050B100      482    133,992    SH          DEFINED    1              133,992
Grupo Televisa S.A. GDR (ADR)     EQUITY    40049J206     5303    109,310    SH          DEFINED    1              109,310
GT GROUP TELECOM INC  CL B        EQUITY    362359408       13     35,000    SH          DEFINED    1               35,000
GTECH HOLDINGS CORP.              EQUITY    400518106     2164     44,395    SH          DEFINED    1               44,395





                                       TITLE               VALUE     SHRS OR    SH/  PUT/  INVSTMT  OTHR          VOTING AUTHORITY
NAME OF ISSUER                         CLASS     CUSIP    (X$1000)   PRN AMT    PRN  CALL  DSCRETN  MGRS    SOLE    SHARED     NONE
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GUESS? INC                             EQUITY  401617105        19       2,489  SH         DEFINED    1                2,489
GUIDANT CORP.                          EQUITY  401698105     11758     271,428  SH         DEFINED    1              271,428
GUILFORD PHARMACEUTICALS INC           EQUITY  401829106        54       7,631  SH         DEFINED    1                7,631
GUITAR CENTER, INC.                    EQUITY  402040109        91       5,220  SH         DEFINED    1                5,220
GULF ISLAND FABRICATION, INC.          EQUITY  402307102        36       2,376  SH         DEFINED    1                2,376
GULFMARK OFFSHORE, INC.                EQUITY  402629109        51       1,411  SH         DEFINED    1                1,411
GYMBOREE CORP                          EQUITY  403777105      1368      98,300  SH         DEFINED    2               98,300
GYMBOREE CORP.                         EQUITY  403777105       131       8,901  SH         DEFINED    1                8,901
H J HEINZ CO.                          EQUITY  423074103      6997     168,600  SH         DEFINED    1              168,600
H POWER CORP                           EQUITY  40427A108        20       7,782  SH         DEFINED    1                7,782
H.B. FULLER CO.                        EQUITY  359694106      1330      44,405  SH         DEFINED    1               44,405
HAEMONETICS CORP.                      EQUITY  405024100       198       6,234  SH         DEFINED    1                6,234
HAIN CELESTIAL GROUP INC               EQUITY  405217100       160       7,210  SH         DEFINED    1                7,210
HALLIBURTON CO.                        EQUITY  406216101      4243     248,560  SH         DEFINED    1              248,560
Halliburton Company                    EQUITY  406216101      1536      90,000  SH         DEFINED    4               90,000
HALLIBURTON COMPANY                    EQUITY  406216101        68       4,373  SH         DEFINED    2                4,373
HANARO TELECOM INC-SPONS ADR           EQUITY  409649209        19       3,500  SH         DEFINED    1                3,500
HANCOCK FABRICS, INC.                  EQUITY  409900107        92       5,087  SH         DEFINED    1                5,087
HANCOCK HOLDING CO.                    EQUITY  410120109       126       2,348  SH         DEFINED    1                2,348
HANDLEMAN CO.                          EQUITY  410252100        79       7,722  SH         DEFINED    1                7,722
HANDSPRING INC                         EQUITY  410293104        31       6,610  SH         DEFINED    1                6,610
HANOVER COMPRESSOR COMPANY             EQUITY  410768105      1450      80,575  SH         DEFINED    1               80,575
HARBOR FLORIDA BANCSHARES              EQUITY  411901101       129       6,730  SH         DEFINED    1                6,730
HARLAND, JOHN H. CO.                   EQUITY  412693103       263       9,040  SH         DEFINED    1                9,040
HARLEY-DAVIDSON FUNDING                EQUITY  412822108      9428     171,010  SH         DEFINED    1              171,010
HARLEYSVILLE GROUP, INC.               EQUITY  412824104       242       9,152  SH         DEFINED    1                9,152
HARLEYSVILLE NATIONAL CORP.            EQUITY  412850109       132       5,689  SH         DEFINED    1                5,689
HARMAN INT'L INDUSTRIES, INC.          EQUITY  413086109       492       9,962  SH         DEFINED    1                9,962
HARMONIC INC COM                       EQUITY  413160102     23024   1,984,800  SH         Sole       3   1953600              31200
HARMONIC INC.                          EQUITY  413160102       201      17,316  SH         DEFINED    1               17,316
HARRAH'S ENTERTAINMENT, INC.           EQUITY  413619107      2298      51,913  SH         DEFINED    1               51,913
HARRIS CORP.                           EQUITY  413875105      3009      83,798  SH         DEFINED    1               83,798
HARSCO CORP.                           EQUITY  415864107      2452      62,637  SH         DEFINED    1               62,637
HARTE-HANKS COMMUNICATIONS             EQUITY  416196103      2519      79,612  SH         DEFINED    1               79,612
HARTFORD FINANCIAL SVCS GROUP          EQUITY  416515104      8551     125,530  SH         DEFINED    1              125,530
HARVARD BIOSCIENCE INC                 EQUITY  416906105        19       2,148  SH         DEFINED    1                2,148
HARVARD BIOSCIENCE INC COM             EQUITY  416906105      4847     551,400  SH         Sole       3    551400
HASBRO, INC.                           EQUITY  418056107      1257      79,436  SH         DEFINED    1               79,436
HAVERTY FURNITURE COMPANIES            EQUITY  419596101        85       4,966  SH         DEFINED    1                4,966
HAWAIIAN ELECTRIC INDUSTRIES,          EQUITY  419870100      2360      53,617  SH         DEFINED    1               53,617
HCA Inc                              CORPBOND  197677AJ6      2209   2,500,000  PRN        DEFINED    4            2,500,000
HCA INC.                               EQUITY  404119109     14362     361,632  SH         DEFINED    1              361,632
HCC INSURANCE HOLDINGS, INC.           EQUITY  404132102      2147      76,818  SH         DEFINED    1               76,818
HDFC BANK LTD-ADR                      EQUITY  40415F101       818      53,300  SH         DEFINED    1               53,300
HEADWATERS INC                         EQUITY  42210P102       116       7,583  SH         DEFINED    1                7,583
HEALTH CARE PPTY INVS COM              EQUITY  421915109      9992     246,400  SH         Sole       3    199068              47332
HEALTH CARE PPTYS INVEST INC           EQUITY  421915109        21         520  SH         DEFINED    1                  520
HEALTH CARE REIT, INC.                 EQUITY  42217K106       283      10,149  SH         DEFINED    1               10,149
HEALTH MANAGEMENT ASSOC.               EQUITY  421933102      2335     112,640  SH         DEFINED    1              112,640
HEALTH NET INC. CLASS A                EQUITY  42222G108      4289     156,300  SH         DEFINED    1              156,300
HEALTHCARE REALTY TRUST, INC.          EQUITY  421946104       392      12,905  SH         DEFINED    1               12,905
HEALTHCARE RLTY TR COM                 EQUITY  421946104      9029     297,400  SH         Sole       3    237801              59599
HEALTHEXTRAS INC                       EQUITY  422211102        60      21,906  SH         DEFINED    1               21,906




                                        TITLE       CUSIP     VALUE    SHRS OR   SH/  PUT/  INVSTMT OTHR       VOTING AUTHORITY
NAME OF ISSUER                          CLASS                (X$1000)  PRN AMT   PRN  CALL  DSCRETN MGRS     SOLE    SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
HEALTHSOUTH CORP                        EQUITY    421924101     2601    181,268  SH         DEFINED   1              181,268
HEARST-ARGYLE TELEVI                    EQUITY    422317107        4        166  SH         DEFINED   1                  166
HEARTLAND EXPRESS INC                   EQUITY    422347104     2636     68,530  SH         DEFINED   2               68,530
HEARTLAND EXPRESS, INC.                 EQUITY    422347104      150      7,519  SH         DEFINED   1                7,519
HEICO CORP.                             EQUITY    422806109       55      3,516  SH         DEFINED   1                3,516
HEIDRICK & STRUGGLES INT'L              EQUITY    422819102      117      5,610  SH         DEFINED   1                5,610
HELIX TECHNOLOGY CORP.                  EQUITY    423319102      178      7,041  SH         DEFINED   1                7,041
HELMERICH & PAYNE, INC.                 EQUITY    423452101     4592    114,542  SH         DEFINED   1              114,542
HEMISPHERX BIOPHARMA INC.               EQUITY    42366C103       23      5,680  SH         DEFINED   1                5,680
HENRY JACK & ASSOC INC COM              EQUITY    426281101    32251  1,454,066  SH         Sole      3    1393760            57406
HENRY JACK & ASSOCIATES                 EQUITY    426281101     2512    113,259  SH         DEFINED   1              113,259
HENRY SCHEIN INC                        EQUITY    806407102     2381     54,060  SH         DEFINED   1               54,060
HERBALIFE INTERNATIONAL, INC., CLASS    EQUITY    426908208       69      4,694  SH         DEFINED   1                4,694
HERCULES, INC.                          EQUITY    427056106      681     51,149  SH         DEFINED   1               51,149
HERMAN MILLER, INC.                     EQUITY    600544100     2291     96,325  SH         DEFINED   1               96,325
HERSHEY FOODS CORP.                     EQUITY    427866108     4620     67,402  SH         DEFINED   1               67,402
Hertz Corp                              CORPBOND  428040BJ7     3975  5,000,000  PRN        DEFINED   4            5,000,000
Hewlett Packard                         CORPBOND  428236AE3     4880  5,000,000  PRN        DEFINED   4            5,000,000
HEWLETT PACKARD CO.                     EQUITY    428236103    18199  1,014,410  SH         DEFINED   1            1,014,410
HEXCEL CORP.                            EQUITY    428291108       30      7,441  SH         DEFINED   1                7,441
HI/FN, INC.                             EQUITY    428358105       29      2,496  SH         DEFINED   1                2,496
HIBBETT SPORTING GOODS, INC.            EQUITY    428565105       41      1,730  SH         DEFINED   1                1,730
HIBERNIA CORP                           EQUITY    428656102     1808    138,000  SH         DEFINED   2              138,000
HIBERNIA CORP. CLASS A                  EQUITY    428656102     3850    201,568  SH         DEFINED   1              201,568
HICKORY TECH CORP                       EQUITY    429060106       66      4,040  SH         DEFINED   1                4,040
HIGHWOODS PPTYS INC COM                 EQUITY    431284108     4590    163,400  SH         Sole      3     145000            18400
HIGHWOODS PROPERTIES, INC.              EQUITY    431284108      462     16,458  SH         DEFINED   1               16,458
HILB, ROGAL & HAMILTON CO.              EQUITY    431294107      275      8,799  SH         DEFINED   1                8,799
HILFIGER TOMMY CORP ORD                 EQUITY    G8915Z102    29463  2,053,200  SH         Sole      3    2016000            37200
HILLENBRAND INDUSTRIES, INC.            EQUITY    431573104     4884     79,243  SH         DEFINED   1               79,243
HILTON HOTELS CORP                      EQUITY    432848109     8366    685,092  SH         DEFINED   1              685,092
HILTON HOTELS CORP COM                  EQUITY    432848109    12444    870,200  SH         Sole      3     695854           174346
HISPANIC BROADCASTING                   EQUITY    43357b104    71389  2,451,545  SH         Sole      3    2346545            99400
HISPANIC BROADCASTING CORP. CLASS A     EQUITY    43357B104     4007    137,596  SH         DEFINED   1              137,596
HNC SOFTWARE, INC.                      EQUITY    40425P107      185     10,993  SH         DEFINED   1               10,993
HOLLINGER INTERNATIONAL, INC.           EQUITY    435569108        5        375  SH         DEFINED   1                  375
HOLLY CORP.                             EQUITY    435758305       49      2,639  SH         DEFINED   1                2,639
HOLLYWOOD CASINO CORP                   EQUITY    436132203       51      3,110  SH         DEFINED   1                3,110
HOLLYWOOD ENTERTAINMENT CORP.           EQUITY    436141105      226     13,424  SH         DEFINED   1               13,424
HOLLYWOOD PARK, INC.                    EQUITY    723456109       46      5,689  SH         DEFINED   1                5,689
HOME DEPOT, INC.                        EQUITY    437076102     9904     55,158  SH         DEFINED   2               55,158
HOME DEPOT, INC.                        EQUITY    437076102    57061  1,173,850  SH         DEFINED   1            1,173,850
HOME PPTYS N Y INC COM                  EQUITY    437306103    14176    411,500  SH         Sole      3     345720            65780
HOME PROPERTIES OF NY, INC.             EQUITY    437306103      193      5,605  SH         DEFINED   1                5,605
HOMESTORE.COM                           EQUITY    437852106        3      1,138  SH         DEFINED   1                1,138
HON INDUSTRIES INC.                     EQUITY    438092108     2110     74,278  SH         DEFINED   1               74,278
HONEYWELL INTERNATIONAL INC.            EQUITY    438516106    14270    372,870  SH         DEFINED   1              372,870
HOOPER HOLMES, INC.                     EQUITY    439104100      185     17,675  SH         DEFINED   1               17,675
HORACE MANN EDUCATORS CORP.             EQUITY    440327104     1438     63,874  SH         DEFINED   1               63,874
HORIZON OFFSHORE, INC.                  EQUITY    44043J105       54      4,561  SH         DEFINED   1                4,561
HORMEL FOODS CORP.                      EQUITY    440452100     4790    175,136  SH         DEFINED   1              175,136




                                       TITLE               VALUE     SHRS OR    SH/  PUT/  INVSTMT  OTHR          VOTING AUTHORITY
NAME OF ISSUER                         CLASS     CUSIP    (X$1000)   PRN AMT    PRN  CALL  DSCRETN  MGRS    SOLE    SHARED     NONE
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HOSPITALITY PPTYS TR COM SH BE         EQUITY  44106M102      4717     137,400  SH         Sole      3     122000              15400
HOSPITALITY PROPERTIES TRUST           EQUITY  44106M102      3794     110,516  SH         DEFINED   1               110,516
HOST MARRIOTT CORP COM                 EQUITY  44107p104     18066   1,511,800  SH         Sole      3    1239850             271950
HOST MARRIOTT CORP NEW                 EQUITY  44107P104       285      63,900  SH         DEFINED   2                63,900
HOT TOPIC INC                          EQUITY  441339108       177       8,467  SH         DEFINED   1                 8,467
HOT TOPIC INC COM                      EQUITY  441339108     28214   1,349,960  SH         Sole      3    1322960              27000
HOTEL RESERVATIONS I                   EQUITY  441451101         7         113  SH         DEFINED   1                   113
HOUSEHOLD FINANCE CORP.                EQUITY  441815107     14102     248,280  SH         DEFINED   1               248,280
HOUSEHOLD INTL INC                     EQUITY  441815107       426     160,000  SH         DEFINED   2               160,000
HOUSTON EXPLORATION COMPAN             EQUITY  442120101        94       3,043  SH         DEFINED   1                 3,043
HOVNANIAN ENTER, INC. COM PAR
   $0.01                               EQUITY  442487203       111       4,166  SH         DEFINED   1                 4,166
HOVNANIAN ENTERPRISES CL A             EQUITY  442487203      5568     209,400  SH         Sole      3     209400
HRPT PROPERTIES TRUST                  EQUITY  40426W101       361      40,138  SH         DEFINED   1                40,138
HS RESOURCES, INC.                     EQUITY  492386107      3183      50,652  SH         DEFINED   1                50,652
HSBC America Cap Trust               CORPBOND  40427QAA1      8139   8,000,000  PRN        DEFINED   4             8,000,000
HUBBELL INC. CLASS B                   EQUITY  443510201      2440      74,177  SH         DEFINED   1                74,177
HUDSON CITY BANCORP                    EQUITY  443683107        13         407  SH         DEFINED   1                   407
HUDSON RIVER BANKCORP.                 EQUITY  444128102       114       4,737  SH         DEFINED   1                 4,737
HUGHES SUPPLY, INC.                    EQUITY  444482103       286       7,337  SH         DEFINED   1                 7,337
HUMAN GENOME SCIENCES, INC.            EQUITY  444903108       114       5,239  SH         DEFINED   1                 5,239
Humana Inc.                            EQUITY  444859102       541      40,000  SH         DEFINED   4                40,000
HUMANA, INC.                           EQUITY  444859102      1053      77,863  SH         DEFINED   1                77,863
HUNT J B TRANS SVCS INC                EQUITY  445658107      8841      15,000  SH         DEFINED   2                15,000
HUNTINGTON BANCSHARES, INC.            EQUITY  446150104      2286     116,326  SH         DEFINED   1               116,326
HUSDON UNITED BANCORP                  EQUITY  444165104       457      14,374  SH         DEFINED   1                14,374
HUTCHINSON TECHNOLOGY, INC.            EQUITY  448407106       170       7,861  SH         DEFINED   1                 7,861
HYDRIL COMPANY                         EQUITY  448774109        98       4,006  SH         DEFINED   1                 4,006
HYPERION SOLUTIONS CORP                EQUITY  44914M104       275      10,196  SH         DEFINED   1                10,196
HYSEQ INC                              EQUITY  449163302        22       4,064  SH         DEFINED   1                 4,064
I2 TECHNOLOGIES                        EQUITY  465754109        81      16,030  SH         DEFINED   1                16,030
I2 TECHNOLOGIES INC                    EQUITY  465754109      3421      24,400  SH         DEFINED   2                24,400
IBASIS INC                             EQUITY  450732102         9      10,310  SH         DEFINED   1                10,310
IBERIABANK CORP                        EQUITY  450828108        57       1,650  SH         DEFINED   1                 1,650
IBM                                    EQUITY  459200101       274       3,600  SH         DEFINED   2                 3,600
ICN PHARMACEUTICALS, INC.              EQUITY  448924100      3287     103,516  SH         DEFINED   1               103,516
Icon Plc - Sponsored ADR               EQUITY  45103T107      1870      55,000  SH         DEFINED   1                55,000
ICOS CORPORATION                       EQUITY  449295104        97       2,114  SH         DEFINED   1                 2,114
ICT GROUP INC                          EQUITY  44929Y101        20         810  SH         DEFINED   1                   810
ICU MEDICAL, INC.                      EQUITY  44930G107       100       2,741  SH         DEFINED   1                 2,741
IDACORP, INC.                          EQUITY  451107106      1922      47,469  SH         DEFINED   1                47,469
IDEC PHARMACEUTICALS CORP              EQUITY  449370105        89     137,500  SH         DEFINED   2               137,500
IDEC PHARMACEUTICALS CORP.             EQUITY  449370105     12777     198,709  SH         DEFINED   1               198,709
IDENTIX INC                            EQUITY  451906101        92      10,320  SH         DEFINED   1                10,320
IDEX CORP.                             EQUITY  45167R104       353       9,553  SH         DEFINED   1                 9,553
IDEXX LABORATORIES, INC.               EQUITY  45168D104       281      10,456  SH         DEFINED   1                10,456
IDT CORP.                              EQUITY  448947101       267      13,232  SH         DEFINED   1                13,232
IDX SYSTEMS CORP.                      EQUITY  449491109        92       5,212  SH         DEFINED   1                 5,212
IGEN INTERNATIONAL, INC.               EQUITY  449536101       150       3,958  SH         DEFINED   1                 3,958
IHOP CORP.                             EQUITY  449623107       192       5,686  SH         DEFINED   1                 5,686
II-VI INC                              EQUITY  902104108        49       3,234  SH         DEFINED   1                 3,234
IKON OFFICE SOLUTIONS INC.             EQUITY  451713101       518      44,166  SH         DEFINED   1                44,166
ILEX ONCOLOGY INC                      EQUITY  451923106       169       9,804  SH         DEFINED   1                 9,804
ILLINOIS TOOL WKS INC COM              EQUITY  452308109      3364      46,500  SH         Sole      3      46500




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                                                                                                                 VOTING AUTHORITY
                                        TITLE      CUSIP    VALUE     SHRS OR   SH/  PUT/   INVSTMT   OTHR ----------------------
NAME OF ISSUER                          CLASS              (X$1000)   PRN AMT   PRN  CALL   DSCRETN   MGRS  SOLE   SHARED   NONE
---------------------------------------------------------------------------------------------------------------------------------
                                                                                           
Illinois Tool Works Inc                 EQUITY   452308109    2532      35,000  SH          DEFINED     4           35,000
ILLINOIS TOOL WORKS, INC.               EQUITY   452308109    9968     137,770  SH          DEFINED     1          137,770
ILLUMINA INC                            EQUITY   452327109      55       5,772  SH          DEFINED     1            5,772
IMAGEX.COM INC                          EQUITY   45244D102     633     791,393  SH          DEFINED     1          791,393
IMAGISTICS INTL INC                     EQUITY   45247T104       3         217  SH          DEFINED     1              217
I-MANY INC                              EQUITY   44973Q103      57      11,502  SH          DEFINED     1           11,502
IMATION CORP.                           EQUITY   45245A107    1437      54,167  SH          DEFINED     1           54,167
IMC GLOBAL INC                          EQUITY   449669100     475       7,500  SH          DEFINED     2            7,500
IMC GLOBAL, INC.                        EQUITY   449669100    2629     178,225  SH          DEFINED     1          178,225
IMCLONE SYSTEMS                         EQUITY   45245W109      71       2,893  SH          DEFINED     1            2,893
IMMUNE RESPONSE CORP. DEL.              EQUITY   45252T106       8       9,600  SH          DEFINED     1            9,600
IMMUNEX CORP NEW                        EQUITY   452528102     563      15,000  SH          DEFINED     2           15,000
IMMUNEX CORP.                           EQUITY   452528102   22877     756,030  SH          DEFINED     1          756,030
IMMUNOGEN INC                           EQUITY   45253H101     137      12,350  SH          DEFINED     1           12,350
IMMUNOMEDICS, INC.                      EQUITY   452907108     222      11,707  SH          DEFINED     1           11,707
IMPATH INC.                             EQUITY   45255G101     206       5,008  SH          DEFINED     1            5,008
IMPAX LABORATORIES INC                  EQUITY   45256B101      38       5,522  SH          DEFINED     1            5,522
IMPCO TECHNOLOGIES INC                  EQUITY   45255W106      33       2,530  SH          DEFINED     1            2,530
IMPSAT FIBER NETWORKS                   EQUITY   45321T103               4,836  SH          DEFINED     1            4,836
IMS HEALTH, INC.                        EQUITY   449934108    4250     189,293  SH          DEFINED     1          189,293
INAMED CORP                             EQUITY   453235103     150       4,566  SH          DEFINED     1            4,566
INCO LIMITED                            EQUITY   453258402    1608      82,170  SH          DEFINED     1           82,170
Incyte Genomics                         EQUITY   45337C102     238      20,000  SH          DEFINED     4           20,000
INCYTE GENOMICS, INC.                   EQUITY   45337C102    1240     104,172  SH          DEFINED     1          104,172
INDEPENDENCE COMMUNITY BANK             EQUITY   453414104    2594      92,211  SH          DEFINED     1           92,211
INDEPENDENT BANK CORP.                  EQUITY   453838104     206       7,548  SH          DEFINED     1            7,548
INDEX I-SHARES RUSSELL 2000             EQUITY   464287655     480       4,800  SH          DEFINED     1            4,800
INDUS INTERNATIONAL INC                 EQUITY   45578L100      50       9,645  SH          DEFINED     1            9,645
INDYMAC BANCORP, INC.                   EQUITY   456607100    2338      94,645  SH          DEFINED     1           94,645
INET TECHNOLOGY                         EQUITY   45662V105      29       3,053  SH          DEFINED     1            3,053
INFOCUS CORPORATION                     EQUITY   45665B106    1115      61,247  SH          DEFINED     1           61,247
INFOGRAMES INC.                         EQUITY   45665T107      28       4,557  SH          DEFINED     1            4,557
INFONET SERVICES COR                    EQUITY   45666T106       1         452  SH          DEFINED     1              452
INFORMATICA CORP                        EQUITY   45666Q102       7         974  SH          DEFINED     1              974
INFORMATION HOLDINGS INC.               EQUITY   456727106     175       6,081  SH          DEFINED     1            6,081
INFORMATION RESOURCES, INC.             EQUITY   456905108      78       8,526  SH          DEFINED     1            8,526
INFOSPACE INC.                          EQUITY   45678T102     115      75,933  SH          DEFINED     1           75,933
INFOUSA INC. CLASS B                    EQUITY   456818301      64       8,425  SH          DEFINED     1            8,425
INGERSOLL-RAND CO CL A                  EQUITY   G4776G101    4315      86,267  SH          DEFINED     1           86,267
INGLES MARKETS, INC., CLASS A           EQUITY   457030104     750      64,128  SH          DEFINED     1           64,128
INGRAM MICRO INC. CLASS A               EQUITY   457153104      13         766  SH          DEFINED     1              766
INHALE THERAPEUTIC S                    EQUITY   457191104       7         663  SH          DEFINED     1              663
Inhale Therapeutic System               EQUITY   457191104     211      20,000  SH          DEFINED     4           20,000
INKINE PHARMACEUTICAL CO INC            EQUITY   457214104      20      10,747  SH          DEFINED     1           10,747
INKTOMI CORP.                           EQUITY   457277101     135      38,995  SH          DEFINED     1           38,995
INNKEEPERS USA TRUST                    EQUITY   4576J0104      82       7,183  SH          DEFINED     1            7,183
INNOVATIVE SOLUTIONS & SUPPORT          EQUITY   45769N105      25       2,524  SH          DEFINED     1            2,524
INPUT/OUTPUT, INC.                      EQUITY   457652105     129      14,171  SH          DEFINED     1           14,171
INRANGE TECHNOLOGIES CL B               EQUITY   45769V206       1         109  SH          DEFINED     1              109
INSIGHT COMMUNICATIO                    EQUITY   45768V108       8         378  SH          DEFINED     1              378
INSIGHT ENTERPRISES, INC.               EQUITY   45765U103     278      12,268  SH          DEFINED     1           12,268
INSIGNIA FINANCIAL GROUP INC.           EQUITY   45767A105      69       6,060  SH          DEFINED     1            6,060




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                                                                                                                    VOTING AUTHORITY
                                        TITLE     CUSIP     VALUE     SHRS OR   SH/  PUT/  INVSTMT  OTHR  --------------------------
NAME OF ISSUER                          CLASS              (X$1000)   PRN AMT   PRN  CALL  DSCRETN  MGRS   SOLE     SHARED     NONE
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INSITUFORM TECHNOLOGIES, INC. CLASS A   EQUITY  457667103      184       7,282  SH         DEFINED    1                7,282
INSMED INC                              EQUITY  457669208       29      10,243  SH         DEFINED    1               10,243
INSPIRE PHARMACEUTICALS INC             EQUITY  457733103       10       5,046  SH         DEFINED    1                5,046
INSTINET GROUP INCORPORATED             EQUITY  457750107        3         397  SH         DEFINED    1                  397
INSURANCE AUTO AUCTIONS INC COM         EQUITY  457875102      411      24,576  SH         DEFINED    1               24,576
Insurance Services Office, Inc          EQUITY  45806@109      279      11,172  SH         DEFINED    4               11,172
INSWEB CORP                             EQUITY  45809K202       47       9,194  SH         DEFINED    1                9,194
INTEGRA BANK CORP.                      EQUITY  45814P105      105       5,370  SH         DEFINED    1                5,370
INTEGRA LIFESCIENCES CORP               EQUITY  457985208     2846      20,000  SH         DEFINED    2               20,000
INTEGRA LIFESCIENCES HOLDINGS           EQUITY  457985208      104       3,692  SH         DEFINED    1                3,692
INTEGRAL SYSTEMS INC/MD                 EQUITY  45810H107       57       2,817  SH         DEFINED    1                2,817
INTEGRATED CIRCUIT SYSTEMS              EQUITY  45811K208      176       8,643  SH         DEFINED    1                8,643
INTEGRATED DEVICE TECHNOLOGY,           EQUITY  458118106     4498     135,323  SH         DEFINED    1              135,323
INTEGRATED ELECTRICAL SERVICES          EQUITY  45811E103       47       9,349  SH         DEFINED    1                9,349
INTEGRATED SILICON SOLUTION             EQUITY  45812P107      107       8,293  SH         DEFINED    1                8,293
Intel                                   EQUITY  458140100      730      24,000  SH         DEFINED    4               24,000
INTEL CORP.                             EQUITY  458140100   137487   4,521,120  SH         DEFINED    1            4,521,120
INTEL CORP.                             EQUITY  458140100     2230      94,860  SH         DEFINED    2               94,860
INTELIDATA TECHNOLOGIES CORP.           EQUITY  45814T107       23      15,216  SH         DEFINED    1               15,216
INTERACTIVE DATA CORP                   EQUITY  45840J107      196      11,187  SH         DEFINED    1               11,187
INTERACTIVE INTELLIGENCE INC            EQUITY  45839M103        9       1,714  SH         DEFINED    1                1,714
INTERCEPT INC                           EQUITY  45845L107      156       4,314  SH         DEFINED    1                4,314
INTERCEPT INC COM                       EQUITY  45845L107    28820     795,039  SH         Sole       3    760061              34978
INTERDIGITAL COMMUNICATION              EQUITY  45866A105      166      17,331  SH         DEFINED    1               17,331
INTERFACE, INC. CLASS A                 EQUITY  458665106       89      13,985  SH         DEFINED    1               13,985
INTERGRAPH CORP.                        EQUITY  458683109      272      15,473  SH         DEFINED    1               15,473
INTERLAND INC                           EQUITY  458727104       43      16,854  SH         DEFINED    1               16,854
INTERMAGNETICS GENERAL CORP.            EQUITY  458771102      118       4,342  SH         DEFINED    1                4,342
INTERMUNE INC.                          EQUITY  45884X103      266       8,831  SH         DEFINED    1                8,831
INTERNAP NETWORK SERVICES               EQUITY  45885A102       36      47,081  SH         DEFINED    1               47,081
INTERNATIONAL BANCSHARES CORP.          EQUITY  459044103      226       5,112  SH         DEFINED    1                5,112
INTERNATIONAL BUSINESS MACHINES         EQUITY  459200101     1719      26,000  SH         DEFINED    2               26,000
INTERNATIONAL GAME TECHNOLOGY           EQUITY  459902102     2608      41,844  SH         DEFINED    1               41,844
INTERNATIONAL GAME TECHNOLOGY           EQUITY  459902102      753      21,200  SH         DEFINED    2               21,200
INTERNATIONAL MULTIFOODS CORP.          EQUITY  460043102      114       4,810  SH         DEFINED    1                4,810
INTERNATIONAL PAPER CO                  EQUITY  460146103     2474      17,500  SH         DEFINED    2               17,500
INTERNATIONAL PAPER CO.                 EQUITY  460146103     9371     217,870  SH         DEFINED    1              217,870
International Rectifier                 EQUITY  460254105      454      10,000  SH         DEFINED    4               10,000
INTERNATIONAL RECTIFIER CORP.           EQUITY  460254105     3662      80,640  SH         DEFINED    1               80,640
INTERNATIONAL SPEEDWAY CORP.            EQUITY  460335201     3067      67,101  SH         DEFINED    1               67,101
INTERNET CAPITAL GROUP, INC.            EQUITY  46059C106       38      59,707  SH         DEFINED    1               59,707
INTERNET SECURITY SY                    EQUITY  46060X107     1386      60,672  SH         DEFINED    1               60,672
INTERNEURON PHARMACEUTICALS             EQUITY  460573108       99      11,293  SH         DEFINED    1               11,293
INTERPOOL, INC.                         EQUITY  46062R108       76       4,058  SH         DEFINED    1                4,058
INTERPUBLIC GROUP CORP                  EQUITY  460690100     6099     177,919  SH         DEFINED    1              177,919
INTERSIL CORP -CL A                     EQUITY  46069S109       43       1,534  SH         DEFINED    1                1,534
INTERSILL CORP                          EQUITY  46069S109    29673   1,046,678  SH         Sole       3    958200              81878
INTERSTATE BAKERIES CORP.               EQUITY  46072H108     1754      72,440  SH         DEFINED    1               72,440
INTERTAN INC.                           EQUITY  461120107       90       7,972  SH         DEFINED    1                7,972
INTER-TEL, INC.                         EQUITY  458372109      105       5,668  SH         DEFINED    1                5,668
INTERTRUST TECHNOLOGIES CORP.           EQUITY  46113Q109       30      23,669  SH         DEFINED    1               23,669





                                       TITLE               VALUE     SHRS OR    SH/  PUT/  INVSTMT  OTHR          VOTING AUTHORITY
NAME OF ISSUER                         CLASS     CUSIP    (X$1000)   PRN AMT    PRN  CALL  DSCRETN  MGRS    SOLE    SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
INTERVOICE-BRITE INC.                  EQUITY  461142101        60       9,359  SH         DEFINED   1                 9,359
INTERWOVEN INC                         EQUITY  46114T102         7       1,321  SH         DEFINED   1                 1,321
INTERWOVEN INC                         EQUITY  46114T102       634      23,200  SH         DEFINED   2                23,200
INTL BUSINESS MACHINES CORP            EQUITY  459200101    133123   1,280,025  SH         DEFINED   1             1,280,025
INTL SPECIALTY PRODUCTS, INC.          EQUITY  460337108        38       3,994  SH         DEFINED   1                 3,994
INT'L. FLAVORS & FRAGRANCES,           EQUITY  459506101      1526      43,636  SH         DEFINED   1                43,636
INTRADO INC                            EQUITY  46117A100        81       3,721  SH         DEFINED   1                 3,721
Intuit                                 EQUITY  461202103       844      22,000  SH         DEFINED   4                22,000
INTUIT                                 EQUITY  461202103       123      64,500  SH         DEFINED   2                64,500
INTUIT, INC.                           EQUITY  461202103      4936     128,682  SH         DEFINED   1               128,682
INTUITIVE SURGICAL INC                 EQUITY  46120E107        90       9,598  SH         DEFINED   1                 9,598
INVACARE CORP.                         EQUITY  461203101       243       6,462  SH         DEFINED   1                 6,462
INVESTMENT TEC GRP NEW COM             EQUITY  46145F105     43117     817,540  SH         Sole      3     803090              14450
INVESTMENT TECHNOLOGY GROUP            EQUITY  46145F105      3260      61,822  SH         DEFINED   1                61,822
INVESTORS FINANCIAL SERVICES           EQUITY  461915100      3101      40,774  SH         DEFINED   1                40,774
INVESTORS REAL ESTATE TRUST            EQUITY  461730103        69       6,850  SH         DEFINED   1                 6,850
Invitrogen Corp                        EQUITY  46185R100       515      15,000  SH         DEFINED   4                15,000
INVITROGEN CORP                        EQUITY  46185R100        72       2,097  SH         DEFINED   1                 2,097
IOMEGA CORP                            EQUITY  462030305       144      16,228  SH         DEFINED   1                16,228
IONICS, INC.                           EQUITY  462218108       174       5,439  SH         DEFINED   1                 5,439
IPC Holdings                           EQUITY  G4933P101    381434  11,722,000  SH         DEFINED   1            11,722,000
IRON MOUNTAIN INC.                     EQUITY  462846106        23         727  SH         DEFINED   1                   727
IRON MTN INC DEL COM                   EQUITY  462846106     94409   2,976,309  SH         Sole      3    2825879             142930
IRT PROPERTY CO.                       EQUITY  450058102       110       9,496  SH         DEFINED   1                 9,496
IRWIN FINANCIAL CORP.                  EQUITY  464119106        54       2,861  SH         DEFINED   1                 2,861
IRWIN FINL CORP COM                    EQUITY  464119106      9355     500,000  SH         Sole      3     500000
ISHARES RUSSELL MIDCAP GRWTH           EQUITY  464287481       409       5,800  SH         DEFINED   1                 5,800
ISHARES RUSSELL MIDCAP VALUE           EQUITY  464287473       778       9,325  SH         DEFINED   1                 9,325
ISHARES S&P 500/BARRA GROWTH           EQUITY  464287309       336       5,700  SH         DEFINED   1                 5,700
ISHARES S&P 500/BARRA VALUE            EQUITY  464287408       839      15,000  SH         DEFINED   1                15,000
ISIS PHARMACEUTICALS, INC.             EQUITY  464330109       207      12,875  SH         DEFINED   1                12,875
ISLE OF CAPRI CASINOS                  EQUITY  464592104       111       5,999  SH         DEFINED   1                 5,999
ISTAR FINANCIAL INC                    EQUITY  45031U101        25         855  SH         DEFINED   1                   855
I-STAT CORP.                           EQUITY  450312103        41       5,576  SH         DEFINED   1                 5,576
ITC/\DELTACOM, INC.                    EQUITY  45031T104         4      11,123  SH         DEFINED   1                11,123
ITRON, INC.                            EQUITY  465741106       133       4,473  SH         DEFINED   1                 4,473
ITT EDUCATIONAL SERVICES, INC.         EQUITY  45068B109       332       7,367  SH         DEFINED   1                 7,367
ITT INDUSTRIAL INC                     EQUITY  450911102      2567      40,718  SH         DEFINED   1                40,718
ITXC CORP                              EQUITY  45069F109        45       7,393  SH         DEFINED   1                 7,393
IVAX CORP.                             EQUITY  465823102      4678     291,462  SH         DEFINED   1               291,462
IVEX PACKAGING CORP.                   EQUITY  465855104       114       4,965  SH         DEFINED   1                 4,965
IXIA                                   EQUITY  45071R109       113      13,262  SH         DEFINED   1                13,262
IXYS CORP.                             EQUITY  46600W106        36       3,108  SH         DEFINED   1                 3,108
J & J SNACK FOODS CORP                 EQUITY  466032109        69       1,835  SH         DEFINED   1                 1,835
J JILL GROUP INC                       EQUITY  466189107        95       3,326  SH         DEFINED   1                 3,326
J P MORGAN CHASE + CO                  EQUITY  46625H100       934      28,500  SH         DEFINED   2                28,500
J.B. HUNT TRANSPORT SERVICES           EQUITY  445658107      1422      50,030  SH         DEFINED   1                50,030
J.C. PENNEY CO., INC.                  EQUITY  708160106      2536     122,471  SH         DEFINED   1               122,471
J.D. EDWARDS & CO.                     EQUITY  281667105       564      31,248  SH         DEFINED   1                31,248
J.P. MORGAN CHASE & CO.                EQUITY  46625H100       143       4,060  SH         DEFINED   2                 4,060
J.P. MORGAN CHASE AND CO.              EQUITY  46625H100     36700   1,029,450  SH         DEFINED   1             1,029,450
JABIL CIRCUT, INC.                     EQUITY  466313103      2149      91,344  SH         DEFINED   1                91,344
JACK IN THE BOX INC.                   EQUITY  466367109       343      11,553  SH         DEFINED   1                11,553





                                 TITLE       CUSIP     VALUE    SHRS OR   SH/   PUT/  INVSTMT  OTHR       VOTING AUTHORITY
NAME OF ISSUER                   CLASS               (X$1000)  PRN AMT    PRN   CALL  DSCRETN  MGRS   SOLE    SHARED     NONE
--------------------------------------------------------------------------------------------------------------------------------
                                                                                      
JACOBS ENGINEERING GROUP, INC.   EQUITY    469814107     2426     34,032   SH         DEFINED     1             34,032
JAKKS PACIFIC, INC.              EQUITY    47012E106      131      5,751   SH         DEFINED     1              5,751
JDA SOFTWARE GROUP, INC.         EQUITY    46612K108      215      6,732   SH         DEFINED     1              6,732
JDN REALITY CORP.                EQUITY    465917102     1319    103,225   SH         DEFINED     1            103,225
JDS UNIPHASE CORP                EQUITY    46612J101     3839    651,780   SH         DEFINED     1            651,780
JEFFERIES GROUP, INC.            EQUITY    472319102      349      7,240   SH         DEFINED     1              7,240
Jefferson Pilot                  CORPBOND  475068AA0     8211  8,000,000   PRN        DEFINED     4          8,000,000
Jefferson Pilot                  CORPBOND  475529AA1     2522  2,500,000   PRN        DEFINED     4          2,500,000
JEFFERSON-PILOT CORP.            EQUITY    475070108     3483     69,546   SH         DEFINED     1             69,546
JLG INDUSTRIES, INC.             EQUITY    466210101      194     13,121   SH         DEFINED     1             13,121
JNI CORP                         EQUITY    46622G105       49      6,876   SH         DEFINED     1              6,876
JOHN HANCOCK FINANCIAL SERVICE   EQUITY    41014S106     8526    223,260   SH         DEFINED     1            223,260
JOHN NUVEEN CO-CL A              EQUITY    478035108        6        112   SH         DEFINED     1                112
JOHN WILEY & SONS, INC. CLASS A  EQUITY    968223206      369     14,070   SH         DEFINED     1             14,070
JOHNSON & JOHNSON                EQUITY    478160104    97459  1,500,521   SH         DEFINED     1          1,500,521
JOHNSON & JOHNSON                EQUITY    478160104    1885      54,872   SH         DEFINED     2             54,872
Johnson and Johnson              EQUITY    478160104     5196     80,000   SH         DEFINED     4             80,000
JOHNSON CONTROLS, INC.           EQUITY    478366107     6303     71,373   SH         DEFINED     1             71,373
JONES APPAREL GROUP, INC.        EQUITY    480074103    34091    975,408   SH         DEFINED     1            975,408
JONES LANG LASALLE, INC.         EQUITY    48020Q107      208      9,371   SH         DEFINED     1              9,371
JOURNAL REGISTER CO.             EQUITY    481138105      174      8,215   SH         DEFINED     1              8,215
JP REALITY, INC.                 EQUITY    46624A106       93      3,460   SH         DEFINED     1              3,460
JUNIPER NETWORKS, INC.           EQUITY    48203R104      163     12,880   SH         DEFINED     1             12,880
K V PHARMACEUTICAL CO CL B       EQUITY    482740107      237      7,250   SH         DEFINED     1              7,250
K.FORCE INC.                     EQUITY    493732101       39      7,478   SH         DEFINED     1              7,478
K2, INC.                         EQUITY    482732104       36      5,586   SH         DEFINED     1              5,586
KADANT INC                       EQUITY    48282T104       54      3,807   SH         DEFINED     1              3,807
Kafus Environmental Industries   EQUITY    482910106              75,000   SH         DEFINED     4             75,000
KAISER ALUMINUM CORP.            EQUITY    483007100        3      9,348   SH         DEFINED     1              9,348
KAMAN CORP., CLASS A             EQUITY    483548103      118      6,960   SH         DEFINED     1              6,960
KANA SOFTWARE INC.               EQUITY    483600300       88      4,912   SH         DEFINED     1              4,912
KANSAS CITY LIFE INSURANCE CO.   EQUITY    484836101       74      1,916   SH         DEFINED     1              1,916
KANSAS CITY SOUTHERN IND.        EQUITY    485170302      292     18,348   SH         DEFINED     1             18,348
KAYDON CORP.                     EQUITY    486587108     1248     46,229   SH         DEFINED     1             46,229
KB HOME                          EQUITY    48666K109     1547     35,642   SH         DEFINED     1             35,642
KCS ENERGY, INC.                 EQUITY    482434206       28      9,103   SH         DEFINED     1              9,103
KEANE, INC.                      EQUITY    486665102     1902    111,560   SH         DEFINED     1            111,560
KEITHLEY INSTRUMENTS, INC.       EQUITY    487584104       40      1,831   SH         DEFINED     1              1,831
KELLOGG CO.                      EQUITY    487836108     6263    186,556   SH         DEFINED     1            186,556
KELLWOOD CO.                     EQUITY    488044108      172      7,084   SH         DEFINED     1              7,084
KELLY SERVICES, INC., CLASS A    EQUITY    488152208     1413     50,067   SH         DEFINED     1             50,067
KEMET CORP.                      EQUITY    488360108     2902    149,795   SH         DEFINED     1            149,795
KENDLE INTERNATIONAL, INC.       EQUITY    48880L107       57      3,041   SH         DEFINED     1              3,041
KENNAMETAL INC COM               EQUITY    489170100    33657    832,483   SH         Sole        3  817183               15300
KENNAMETAL, INC.                 EQUITY    489170100     1970     48,714   SH         DEFINED     1             48,714
KERR-MCGEE                       EQUITY    492386107       64      1,000   SH         DEFINED     2              1,000
KERYX BIOPHARMACEUTICALS         EQUITY    492515101       21      3,898   SH         DEFINED     1              3,898
KEY BANK NA                      EQUITY    493267108     5211    195,545   SH         DEFINED     1            195,545
KEY ENERGY SERVICES INC          EQUITY    492914106      317     29,563   SH         DEFINED     1             29,563
KEY PRODUCTION COMPANY, INC.     EQUITY    493138101       82      4,353   SH         DEFINED     1              4,353
KEY3MEDIA GROUP, INC.            EQUITY    49326R104       44      9,518   SH         DEFINED     1              9,518
KeyCorp Institutional            CORPBOND  493265AC6     5785  6,000,000   PRN        DEFINED     4          6,000,000





                                       TITLE               VALUE     SHRS OR    SH/  PUT/  INVSTMT  OTHR          VOTING AUTHORITY
NAME OF ISSUER                         CLASS     CUSIP    (X$1000)   PRN AMT    PRN  CALL  DSCRETN  MGRS    SOLE    SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
KEYNOTE SYSTEMS INC                    EQUITY  493308100        71       7,353  SH         DEFINED   1                 7,353
KEYSPAN CORPORATION                    EQUITY  49337W100      2334      64,144  SH         DEFINED   1                64,144
KEYSTONE PROPERTY TRUST                EQUITY  493596100        35       2,502  SH         DEFINED   1                 2,502
KILROY REALTY CORP.                    EQUITY  49427F108       217       7,677  SH         DEFINED   1                 7,677
KIMBALL INTERNATIONAL, INC.
   CLASS B                             EQUITY  494274103       171      10,462  SH         DEFINED   1                10,462
KIMBERLY-CLARK CORP.                   EQUITY  494368103     30124     465,950  SH         DEFINED   1               465,950
KIMCO REALTY                           EQUITY  49446R109        79       2,402  SH         DEFINED   1                 2,402
KIMCO REALTY CORP COM                  EQUITY  49446R109     29497     902,050  SH         Sole      3     733923             168127
Kinder Morgan Energy Partners          EQUITY  494550106      2145      65,000  SH         DEFINED   4                65,000
KINDER MORGAN INC.                     EQUITY  49455P101      2760      56,991  SH         DEFINED   1                56,991
KING PHARMACEUTICALS COM               EQUITY  495582108     65092   1,859,243  SH         Sole      3    1768121              86822
KING PHARMACEUTICALS, INC.             EQUITY  495582108      4424     126,368  SH         DEFINED   1               126,368
KING PHARMACEUTIVALS INC               EQUITY  495582108        42       1,460  SH         DEFINED   2                 1,460
KIRBY CORP.                            EQUITY  497266106       173       5,785  SH         DEFINED   1                 5,785
KLA-TENCOR CORP.                       EQUITY  482480100      6206      93,324  SH         DEFINED   1                93,324
KMART CORP.                            EQUITY  482584109         8       4,914  SH         DEFINED   1                 4,914
KNIGHT TRADING GROUP                   EQUITY  499063105         8       1,139  SH         DEFINED   1                 1,139
KNIGHT TRANSPORTATION, INC.            EQUITY  499064103       111       5,266  SH         DEFINED   1                 5,266
KNIGHTBRIDGE TANKERS LTD               EQUITY  G5299G106     22317   1,228,920  SH         DEFINED   1             1,228,920
KNIGHT-RIDDER, INC.                    EQUITY  499040103      2685      39,085  SH         DEFINED   1                39,085
KOGER EQUITY, INC.                     EQUITY  500228101      1616      90,411  SH         DEFINED   1                90,411
KOHLS CORP                             EQUITY  500255104       510      24,500  SH         DEFINED   2                24,500
KOHLS CORP.                            EQUITY  500255104     30586     429,880  SH         DEFINED   1               429,880
KOOKMIN BANK SPONS ADR                 EQUITY  50049M109      1295      30,748  SH         DEFINED   1                30,748
KOPIN CORP.                            EQUITY  500600101       186      20,370  SH         DEFINED   1                20,370
Korea Electric Power Corp.
   Kepco Sp A                          EQUITY  5006311063      974      59,500  SH         DEFINED   1                59,500
KOREA FUND INC                         EQUITY  500634100       357      20,200  SH         DEFINED   1                20,200
KORN/FERRY INTERNATIONAL               EQUITY  500643200       590      59,260  SH         DEFINED   1                59,260
KOS PHARMACEUTICALS, INC.              EQUITY  500648100        42       1,509  SH         DEFINED   1                 1,509
KOSAN BIOSCIENCES INC                  EQUITY  50064W107        33       4,267  SH         DEFINED   1                 4,267
KPMG CONSULTING INC                    EQUITY  48265R109        29       1,459  SH         DEFINED   1                 1,459
Kraft Foods Inc                      CORPBOND  50075NAA2      3060   3,170,000  PRN        DEFINED   4             3,170,000
KRAMONT REALTY TRUST                   EQUITY  50075Q107        80       5,872  SH         DEFINED   1                 5,872
KRISPY KREME DOUGHNU                   EQUITY  501014104        25         617  SH         DEFINED   1                   617
KROGER CO.                             EQUITY  501044101      8045     363,050  SH         DEFINED   1               363,050
KROLL INC.                             EQUITY  501049100     24046   1,444,212  SH         DEFINED   1             1,444,212
KROLL INC.                             EQUITY  501049100        78       4,680  SH         DEFINED   1                 4,680
KRONOS, INC.                           EQUITY  501052104       287       6,112  SH         DEFINED   1                 6,112
K-SWISS, INC.                          EQUITY  482686102        82       1,949  SH         DEFINED   1                 1,949
KULICKE & SOFFA INDUSTRIES             EQUITY  501242101       318      15,264  SH         DEFINED   1                15,264
L 3 COMMUNICATIONS HLDG CORP           EQUITY  502424104       440      16,300  SH         DEFINED   2                16,300
L-3 COMMUNICATIONS HOLDINGS,           EQUITY  502424104      5559      49,634  SH         DEFINED   1                49,634
LA JOLLA PHARMACEUTICAL CO             EQUITY  503459109        73       9,919  SH         DEFINED   1                 9,919
LA QUINTA PROPERTIES-PAIRED            EQUITY  50419U202       289      40,399  SH         DEFINED   1                40,399
LA Z BOY INC COM                       EQUITY  505336107     14576     531,000  SH         Sole      3     521200               9800
Lab Corp of America Holdings           EQUITY  50540R409      1150      12,000  SH         DEFINED   4                12,000
LABOR READY, INC.                      EQUITY  505401208        98      12,616  SH         DEFINED   1                12,616
LABORATORY CORP OF AMERICA             EQUITY  50540R409     18859     196,732  SH         Sole      3     166500              28532
LABORATORY CRP OF AM                   EQUITY  50540R409        68         712  SH         DEFINED   1                   712
LABRANCHE & CO. INC.                   EQUITY  505447102      2312      74,447  SH         DEFINED   1                74,447
LACLEDE GAS CO.                        EQUITY  505597104       137       5,879  SH         DEFINED   1                 5,879
LADISH CO., INC.                       EQUITY  505754200        32       2,849  SH         DEFINED   1                 2,849
LAFARGE NORTH AMERIC                   EQUITY  505862102        13         306  SH         DEFINED   1                   306





                                        TITLE     CUSIP    VALUE     SHRS OR   SH/  PUT/  INVSTMT   OTHR        VOTING AUTHORITY
NAME OF ISSUER                          CLASS             (X$1000)   PRN AMT   PRN  CALL  DSCRETN   MGRS      SOLE   SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
LAKELAND BANCORP INC                    EQUITY  511637100      64       3,599  SH         DEFINED     1               3,599
LAM RESEARCH CORP.                      EQUITY  512807108    4694     160,079  SH         DEFINED     1             160,079
LAM RESH CORP                           EQUITY  512807108    1745      15,000  SH         DEFINED     2              15,000
LAMAR ADVERTISING CO                    EQUITY  512815101      24         581  SH         DEFINED     1                 581
LAMAR ADVERTISING CO CL A               EQUITY  512815101    1129      27,800  SH         Sole        3                        27800
LAMAR CORP CV                           EQUITY  512815af8    9916   9,255,000  PRN        Sole        3     8424000           679000
LAN CHILE SA SPON ADR                   EQUITY  501723100     120      18,500  SH         DEFINED     1              18,500
LANCASTER COLONY CORP.                  EQUITY  513847103    2038      55,011  SH         DEFINED     1              55,011
LANCE, INC.                             EQUITY  514606102     106       7,390  SH         DEFINED     1               7,390
LANDAMERICA FINANCIAL GROUP             EQUITY  514936103     200       5,784  SH         DEFINED     1               5,784
LANDAUER, INC.                          EQUITY  51476K103      94       2,489  SH         DEFINED     1               2,489
LANDRY'S RESTAURANTS INC.               EQUITY  51508L103     111       4,845  SH         DEFINED     1               4,845
LAND'S END, INC.                        EQUITY  515086106    1837      40,938  SH         DEFINED     1              40,938
LANDSTAR SYSTEM, INC.                   EQUITY  515098101     233       2,515  SH         DEFINED     1               2,515
LANTRONIX INC                           EQUITY  516548104      16       6,114  SH         DEFINED     1               6,114
LARGE SCALE BIOLOGY CORP                EQUITY  517053104      13       3,993  SH         DEFINED     1               3,993
LASALLE HOTEL PPTYS COM SH BEN          EQUITY  517942108    5929     366,000  SH         Sole        3      301837            64163
LASALLE HOTEL PROPERTIES                EQUITY  517942108      62       3,825  SH         DEFINED     1               3,825
LATTICE SEMICONDUCTOR CORP.             EQUITY  518415104    2434     138,836  SH         DEFINED     1             138,836
LAWSON PRODUCTS, INC.                   EQUITY  520776105      44       1,518  SH         DEFINED     1               1,518
LA-Z-BOY CHAIR CO.                      EQUITY  505336107     413      15,037  SH         DEFINED     1              15,037
LEAP WIRELESS INTL, INC.                EQUITY  521863100      82       9,745  SH         DEFINED     1               9,745
LEAR CORP                               EQUITY  521865105    3870      81,294  SH         DEFINED     1              81,294
LEARNING TREE INTERNATIONAL             EQUITY  522015106      87       3,597  SH         DEFINED     1               3,597
LECROY CORP                             EQUITY  52324W109      45       2,575  SH         DEFINED     1               2,575
LEE ENTERPRISES, INC.                   EQUITY  523768109    2555      69,237  SH         DEFINED     1              69,237
LEGATO SYSTEMS, INC.                    EQUITY  524651106    1265     140,346  SH         DEFINED     1             140,346
LEGG MASON, INC.                        EQUITY  524901105    4492      84,631  SH         DEFINED     1              84,631
LEGGETT & PLATT, INC.                   EQUITY  524660107    2252      90,797  SH         DEFINED     1              90,797
LEHMAN BROTHERS HLDGS INC               EQUITY  524908100    1146      27,000  SH         DEFINED     2              27,000
LEHMAN BROTHERS HOLDINGS, INC.          EQUITY  524908100    8038     124,350  SH         DEFINED     1             124,350
LENNAR CORP COM                         EQUITY  526057104   36190     685,938  SH         Sole        3      659351            26587
LENNAR CORP.                            EQUITY  526057104    5374     101,864  SH         DEFINED     1             101,864
LENNOX INTERNATIONAL INC                EQUITY  526107107     178      13,450  SH         DEFINED     1              13,450
LEUCADIA NATIONAL CORP.                 EQUITY  527288104    2501      69,952  SH         DEFINED     1              69,952
LEVEL 3 COMMUNICATIONS, INC.            EQUITY  52729N100      13       3,768  SH         DEFINED     1               3,768
LEXAR MEDIA INC                         EQUITY  52886P104    2634     975,389  SH         DEFINED     1             975,389
LEXENT INC                              EQUITY  52886Q102      19       5,985  SH         DEFINED     1               5,985
LEXICON GENETICS INC.                   EQUITY  528872104     100      10,574  SH         DEFINED     1              10,574
LEXINGTON CORP. PROPERTRIES             EQUITY  529043101      99       6,211  SH         DEFINED     1               6,211
LEXMARK INTERNATIONAL GROUP             EQUITY  529771107    4203      73,504  SH         DEFINED     1              73,504
LIBBEY, INC.                            EQUITY  529898108     184       4,768  SH         DEFINED     1               4,768
LIBERATE TECHNOLOGIES, INC.             EQUITY  530129105     196      32,912  SH         DEFINED     1              32,912
LIBERTY CORP.                           EQUITY  530370105     209       5,248  SH         DEFINED     1               5,248
LIBERTY LIVEWIRE CORP                   EQUITY  530709104      10       1,770  SH         DEFINED     1               1,770
LIBERTY MEDIA CORP NEW                  EQUITY  530718105     369     110,745  SH         DEFINED     2             110,745
LIBERTY MEDIA CORP-A                    EQUITY  530718105      21       1,661  SH         DEFINED     1               1,661
LIBERTY PROPERTY TRUST                  EQUITY  531172104      23         724  SH         DEFINED     1                 724
LIFEPOINT HOSPITALS HLDG                EQUITY  53219L109    2278      61,623  SH         DEFINED     1              61,623
LIGAND PHARMACEUTICALS, INC., CLASS B   EQUITY  53220K207     247      12,503  SH         DEFINED     1              12,503
LIGHTBRIDGE INC                         EQUITY  532226107      91       7,805  SH         DEFINED     1               7,805
LIGHTPATH TECHNOLOGIES INC              EQUITY  532257102       9       6,032  SH         DEFINED     1               6,032





                                       TITLE               VALUE     SHRS OR    SH/  PUT/  INVSTMT  OTHR          VOTING AUTHORITY
NAME OF ISSUER                         CLASS     CUSIP    (X$1000)   PRN AMT    PRN  CALL  DSCRETN  MGRS    SOLE    SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LILLY (ELI)                            EQUITY  532457108       143       1,875  SH         DEFINED   2                 1,875
LIMITED INC                            EQUITY  532716107       153       8,000  SH         DEFINED   2                 8,000
LIMITED, INC.                          EQUITY  532716107      4430     247,476  SH         DEFINED   1               247,476
LINCARE HOLDINGS, INC.                 EQUITY  532791100      3710     136,784  SH         DEFINED   1               136,784
LINCOLN ELECTRIC HOLDINGS, INC         EQUITY  533900106       280       9,800  SH         DEFINED   1                 9,800
LINCOLN NATIONAL CORP.                 EQUITY  534187109      6172     121,673  SH         DEFINED   1               121,673
LINCOLN NATL CORP IND                  EQUITY  530718105       115      11,320  SH         DEFINED   2                11,320
LINDSAY MANUFACTURING CO.              EQUITY  535555106        75       3,091  SH         DEFINED   1                 3,091
LINEAR TECHNOLOGY CORP.                EQUITY  535678106      6843     154,750  SH         DEFINED   1               154,750
LINENS N THINGS INC                    EQUITY  535679104      9184       5,000  SH         DEFINED   2                 5,000
LINENS 'N THINGS, INC.                 EQUITY  535679104       342      11,199  SH         DEFINED   1                11,199
LIQUI-BOX CORP.                        EQUITY  536314107        52         785  SH         DEFINED   1                   785
LITHIA MOTORS, INC.                    EQUITY  536797103        49       1,985  SH         DEFINED   1                 1,985
LITTELFUSE, INC.                       EQUITY  537008104       141       5,706  SH         DEFINED   1                 5,706
LIZ CLAIBORNE, INC.                    EQUITY  539320101      1380      48,657  SH         DEFINED   1                48,657
LNR PROPERTY CORP.                     EQUITY  501940100       243       6,926  SH         DEFINED   1                 6,926
LOCAL FINANCIAL CORP.                  EQUITY  539553107        93       5,896  SH         DEFINED   1                 5,896
LOCKHEED MARTIN CORP                   EQUITY  539830109       703     159,500  SH         DEFINED   2               159,500
LOCKHEED MARTIN CORP.                  EQUITY  539830109     11559     200,740  SH         DEFINED   1               200,740
LODGENET ENTERTAINMENT CORP.           EQUITY  540211109        49       2,878  SH         DEFINED   1                 2,878
LOEWS CORP.                            EQUITY  540424108      5271      89,973  SH         DEFINED   1                89,973
LO-JACK CORPORATION                    EQUITY  539451104      1267     240,000  SH         DEFINED   1               240,000
LONE STAR STEAKHOUSE & SALOON          EQUITY  542307103       117       5,577  SH         DEFINED   1                 5,577
LONE STAR TECHNOLOGIES, INC.           EQUITY  542312103       179       7,845  SH         DEFINED   1                 7,845
LONGS DRUG STORES CORP.                EQUITY  543162101      1593      57,176  SH         DEFINED   1                57,176
LONGVIEW FIBRE CO.                     EQUITY  543213102       825      80,101  SH         DEFINED   1                80,101
LOUDCLOUD INC                          EQUITY  545735102        18       7,690  SH         DEFINED   1                 7,690
LOUISIANA PACIFIC CORP.                EQUITY  546347105       928      86,411  SH         DEFINED   1                86,411
LOWE'S COMPANIES, INC.                 EQUITY  548661107     28118     646,530  SH         DEFINED   1               646,530
LOWES COS INC COM                      EQUITY  548661107      3044      70,000  SH         Sole      3      70000
LSI INDUSTRIES, INC.                   EQUITY  50216C108        87       4,409  SH         DEFINED   1                 4,409
LSI LOGIC CORP                         EQUITY  502161102      1826      30,000  SH         DEFINED   2                30,000
LSI LOGIC CORP.                        EQUITY  502161102      3219     189,376  SH         DEFINED   1               189,376
LTX CORP.                              EQUITY  502392103      2069      76,108  SH         DEFINED   1                76,108
LUBRIZOL CORP COM                      EQUITY  549271104     57840   1,662,534  SH         Sole      3    1632334              30200
LUBRIZOL CORP.                         EQUITY  549271104      2255      64,804  SH         DEFINED   1                64,804
LUBY'S, INC.                           EQUITY  549282101        47       6,984  SH         DEFINED   1                 6,984
LUCENT TECHNOLOGIES                    EQUITY  549463107         8       1,600  SH         DEFINED   2                 1,600
LUCENT TECHNOLOGIES INC                EQUITY  549463107     12647   2,673,772  SH         DEFINED   1             2,673,772
LUFKIN INDS INC COM                    EQUITY  549764108        47       1,745  SH         DEFINED   1                 1,745
Lumbermens Mutual                    CORPBOND  550060AC1      5542   6,875,000  PRN        DEFINED   4             6,875,000
LUMINEX CORP                           EQUITY  55027E102        63       5,028  SH         DEFINED   1                 5,028
LYDALL, INC.                           EQUITY  550819106        66       4,652  SH         DEFINED   1                 4,652
LYNCH INTERACTIVE CORP                 EQUITY  551146103        29         663  SH         DEFINED   1                   663
LYONDELL CHEMICAL CO.                  EQUITY  552078107      5929     356,948  SH         DEFINED   1               356,948
M&T BANK CORP.                         EQUITY  55261F104      9452     117,606  SH         DEFINED   1               117,606
M.D.C. HOLDINGS, INC.                  EQUITY  552676108       245       5,675  SH         DEFINED   1                 5,675
M/I SCHOTTENSTEIN HOMES INC            EQUITY  55305B101       101       1,789  SH         DEFINED   1                 1,789
MACDERMID, INC.                        EQUITY  554273102       143       6,615  SH         DEFINED   1                 6,615
MACERICH CO COM                        EQUITY  554382101       301      10,000  SH         Sole      3      10000
MACERICH CO.                           EQUITY  554382101       294       9,743  SH         DEFINED   1                 9,743
MACK-CALI REALTY CORP                  EQUITY  554489104      3011      86,823  SH         DEFINED   1                86,823
MACROCHEM CORP.                        EQUITY  555903103        23       7,145  SH         DEFINED   1                 7,145




                                       TITLE               VALUE     SHRS OR    SH/  PUT/  INVSTMT  OTHR          VOTING AUTHORITY
NAME OF ISSUER                         CLASS     CUSIP    (X$1000)   PRN AMT    PRN  CALL  DSCRETN  MGRS    SOLE    SHARED     NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MACROMEDIA, INC.                       EQUITY  556100105      1881     92,134   SH         DEFINED   1                92,134
MACROVISION CORP                       EQUITY  555904101      1714     64,311   SH         DEFINED   1                64,311
MADISON GAS & ELECTRIC CO.             EQUITY  557497104       142      5,003   SH         DEFINED   1                 5,003
MAF BANCORP, INC.                      EQUITY  55261R108       202      5,727   SH         DEFINED   1                 5,727
MAGELLAN HEALTH SERVICES, INC.         EQUITY  559079108        42      7,434   SH         DEFINED   1                 7,434
MAGNA ENTERTAINMENT CL A               EQUITY  559211107        58      7,111   SH         DEFINED   1                 7,111
MAGNATEK, INC.                         EQUITY  559424106        74      6,315   SH         DEFINED   1                 6,315
MAGNUM HUNTER RESOURCES INC            EQUITY  55972F203        94     11,994   SH         DEFINED   1                11,994
MAHANAGAR TELE NIGAM-ADR               EQUITY  559778402      1052    176,800   SH         DEFINED   1               176,800
MAIL-WELL, INC.                        EQUITY  560321200        59      9,320   SH         DEFINED   1                 9,320
MAIN STREET BANKS INC                  EQUITY  56034R102        56      2,986   SH         DEFINED   1                 2,986
MALAYSIA FUND INC                      EQUITY  560905101        88     18,000   SH         DEFINED   1                18,000
MANAGEMENT NETWORK GROUP INC           EQUITY  561693102        16      2,892   SH         DEFINED   1                 2,892
MANDALAY RESORT GROUP                  EQUITY  562567107      2750     89,567   SH         DEFINED   1                89,567
MANHATTAN ASSOCIATES, INC.             EQUITY  562750109       173      4,547   SH         DEFINED   1                 4,547
MANITOWOC CO., INC.                    EQUITY  563571108       299      7,559   SH         DEFINED   1                 7,559
MANOR CARE, INC.                       EQUITY  564055101      1216     52,179   SH         DEFINED   1                52,179
MANPOWER, INC.                         EQUITY  56418H100      3746     96,350   SH         DEFINED   1                96,350
MANUFACTURED HOME CMNT COM             EQUITY  564682102     10903    330,400   SH         Sole      3     268727              61673
MANUFACTURED HOME COMMUNITIES          EQUITY  564682102       146      4,416   SH         DEFINED   1                 4,416
MANUFACTURERS SERVICES LTD             EQUITY  565005105        25      4,833   SH         DEFINED   1                 4,833
MANUGISTICS GROUP IN                   EQUITY  565011103        16        761   SH         DEFINED   1                   761
MAPINFO CORP COM                       EQUITY  565105103        42      4,173   SH         DEFINED   1                 4,173
MARATHON OIL CORP                      EQUITY  565849106      4134    143,540   SH         DEFINED   1               143,540
MARCUS CORP                            EQUITY  566330106        88      5,435   SH         DEFINED   1                 5,435
MARKEL CORP                            EQUITY  570535104        14         70   SH         DEFINED   1                    70
Marriott International               CORPBOND  571900AU3      1091  1,100,000   PRN        DEFINED   4             1,100,000
MARRIOTT INTERNATIONAL, INC.           EQUITY  571903202      4985    110,908   SH         DEFINED   1               110,908
MARSH & MCLENNAN COMPANIES INC         EQUITY  571748102     38580    342,200   SH         DEFINED   1               342,200
MARSHALL & ILSLEY CORP.                EQUITY  571834100      3094     49,716   SH         DEFINED   1                49,716
MARTEK BIOSCIENCES CORP.               EQUITY  572901106       151      4,798   SH         DEFINED   1                 4,798
MARTHA STEWART LIVING INC              EQUITY  573083102      2567     39,300   SH         DEFINED   2                39,300
MARTHA STEWART LIVING-CL A             EQUITY  573083102        47      2,641   SH         DEFINED   1                 2,641
MARTIN MARIETTA MATERIALS              EQUITY  573284106      2596     61,478   SH         DEFINED   1                61,478
MARVELL TECH GROUP LTD ORD             EQUITY  G5876H105      9339    213,208   SH         Sole      3     179600              31208
MARVELL TECHNOLOGY GROUP LTD           EQUITY  G5876H105       524    120,700   SH         DEFINED   2               120,700
MASCO CORP                             EQUITY  574599106       101     93,500   SH         DEFINED   2                93,500
MASCO CORP.                            EQUITY  574599106      5883    214,334   SH         DEFINED   1               214,334
MASSEY ENERGY COMPANY                  EQUITY  576206106        12        737   SH         DEFINED   1                   737
MASTEC, INC.                           EQUITY  576323109        58      7,179   SH         DEFINED   1                 7,179
MATRIX PHARMACEUTICALS, INC.           EQUITY  576844104         1        455   SH         DEFINED   1                   455
MATRIXONE INC                          EQUITY  57685P304       100     11,265   SH         DEFINED   1                11,265
MATRIXONE INC                          EQUITY  57685P304       158     40,800   SH         DEFINED   2                40,800
MATTEL, INC.                           EQUITY  577081102      6390    306,616   SH         DEFINED   1               306,616
MATTHEWS INTERNATIONAL CORP.
   CLASS A                             EQUITY  577128101       235      9,343   SH         DEFINED   1                 9,343
MATTSON TECHNOLOGY, INC.               EQUITY  577223100        68      9,752   SH         DEFINED   1                 9,752
MAUI LAND & PINEAPPLE CO               EQUITY  577345101        14        659   SH         DEFINED   1                   659
MAVERICK TUBE CORP                     EQUITY  577914104      1718      6,200   SH         DEFINED   2                 6,200
MAVERICK TUBE CORP.                    EQUITY  577914104       173     10,586   SH         DEFINED   1                10,586
MAXIM INTEGRATED PRODUCTS INC.         EQUITY  57772K101      8881    159,410   SH         DEFINED   1               159,410
MAXIM PHARMACEUTICALS INC.             EQUITY  57772M107        39      7,240   SH         DEFINED   1                 7,240
MAXIMUS INC COM                        EQUITY  577933104      5239    170,501   SH         Sole      3     166883               3618
MAXIMUS, INC.                          EQUITY  577933104       120      3,892   SH         DEFINED   1                 3,892





                                 TITLE      CUSIP      VALUE     SHRS OR  SH/  PUT/  INVSTMT OTHR            VOTING AUTHORITY
NAME OF ISSUER                   CLASS                (X$1000)   PRN AMT  PRN  CALL  DSCRETN MGRS   SOLE     SHARED       NONE
------------------------------------------------------------------------------------------------------------------------------
                                                                                        
MAXTOR CORP                      EQUITY    577729205       14       2,071  SH        DEFINED    1                2,071
MAXWELL TECHNOLOGIES, INC.       EQUITY    577767106       29       3,161  SH        DEFINED    1                3,161
MAXYGEN                          EQUITY    577776107      113       9,060  SH        DEFINED    1                9,060
MAY DEPARTMENT STORES CO.        EQUITY    577778103     8186     234,902  SH        DEFINED    1              234,902
MAYTAG CORP COM                  EQUITY    578592107    15545     351,300  SH        Sole       3    309700               38200
MAYTAG CORP.                     EQUITY    578592107     1582      35,747  SH        DEFINED    1               35,747
MB FINANCIAL INC                 EQUITY    55264U108      129       4,315  SH        DEFINED    1                4,315
MBIA, INC                        EQUITY    55262C100     3750      68,564  SH        DEFINED    1               68,564
MBNA Capital                     CORPBOND  55263BAA9     2636   3,000,000  PRN       DEFINED    4            3,000,000
MBNA CORP.                       EQUITY    55262L100    17169     445,130  SH        DEFINED    1              445,130
MCAFEE.COM CORP.                 EQUITY    579062100       28       1,720  SH        DEFINED    1                1,720
MCCLATCHY COMPANY-CL             EQUITY    579489105       13         226  SH        DEFINED    1                  226
MCCORMICK & CO., INC.            EQUITY    579780206     4499      87,987  SH        DEFINED    1               87,987
MCDATA CORP CL A                 EQUITY    580031201        2         316  SH        DEFINED    2                  316
MCDATA CORP-CL A                 EQUITY    580031201     1681     141,582  SH        DEFINED    1              141,582
MCDERMOTT INTERNATIONAL, INC.    EQUITY    580037109      493      31,720  SH        DEFINED    1               31,720
McDonalds Corp                   EQUITY    580135101      624      22,500  SH        DEFINED    4               22,500
MCDONALDS CORP                   EQUITY    580135101      118      61,900  SH        DEFINED    2               61,900
MCDONALD'S CORP.                 EQUITY    580135101    16189     583,400  SH        DEFINED    1              583,400
MCG CAPITAL CORP                 EQUITY    58047P107    47023   2,411,670  SH        DEFINED    1            2,411,670
MCGRATH RENTCORP                 EQUITY    580589109       65       2,109  SH        DEFINED    1                2,109
MCGRAW-HILL, INC.                EQUITY    580645109     7398     108,394  SH        DEFINED    1              108,394
MCKESSON CORP                    EQUITY    58155Q103     1214       4,100  SH        DEFINED    2                4,100
MCKESSON CORP.                   EQUITY    58155Q103     5985     159,904  SH        DEFINED    1              159,904
MCMORAN EXPLORATION CO           EQUITY    582411104       13       4,046  SH        DEFINED    1                4,046
MCSI INC                         EQUITY    55270M108       74       6,192  SH        DEFINED    1                6,192
MDU RESOURCES GROUP, INC.        EQUITY    552690109     2746      88,582  SH        DEFINED    1               88,582
Mead Corp                        CORPBON   582834AK3     5300 D 6,000,000  PRN       DEFINED    4            6,000,000
Mead Corp                        CORPBON   582834AH0     3979 D 4,000,000  PRN       DEFINED    4            4,000,000
MEADWESTVACO CORP                EQUITY    583334107     3079      92,878  SH        DEFINED    1               92,878
MEASUREMENT SPECIALTIES INC      EQUITY    583421102       21       2,965  SH        DEFINED    1                2,965
MECHANICAL TECHNOLOGY INC        EQUITY    583538103       21       5,970  SH        DEFINED    1                5,970
MEDALLION FINANCIAL CORP.        EQUITY    583928106       33       4,279  SH        DEFINED    1                4,279
MEDAREX INC                      EQUITY    583916101       17       1,081  SH        DEFINED    1                1,081
MED-DESIGN CORP                  EQUITY    583926100       33       2,349  SH        DEFINED    1                2,349
MEDFORD BANCORP INC              EQUITY    584131106       49       1,925  SH        DEFINED    1                1,925
MEDIA GENERAL, INC. CLASS A      EQUITY    584404107     2078      32,728  SH        DEFINED    1               32,728
MEDIACOM COMMUNICATI             EQUITY    58446K105        5         331  SH        DEFINED    1                  331
MEDICINES CO                     EQUITY    584688105     2340       8,300  SH        DEFINED    2                8,300
MEDICINES COMPANY                EQUITY    584688105       99       6,952  SH        DEFINED    1                6,952
MEDICIS PHARMACEUTIC             EQUITY    584690309       22         401  SH        DEFINED    1                  401
MEDICIS PHARMACEUTICAL CL A NE   EQUITY    584690309    84636   1,524,970  SH        Sole       3   1472222               51048
MEDIMMUNE INC                    EQUITY    584699102      720      59,500  SH        DEFINED    2               59,500
MEDIMMUNE, INC.                  EQUITY    584699102     4820     122,565  SH        DEFINED    1              122,565
MEDIS TECHNOLOGIES LTD           EQUITY    58500P107       40       3,242  SH        DEFINED    1                3,242
MEDQUIST, INC.                   EQUITY    584949101       96       3,191  SH        DEFINED    1                3,191
MEDTRONIC, INC.                  EQUITY    585055106    24857     549,810  SH        DEFINED    1              549,810
MEEMIC HOLDINGS INC              EQUITY    585135106        9         324  SH        DEFINED    1                  324
MELLON FINANCIAL CORPORATION     EQUITY    58551A108    12405     321,450  SH        DEFINED    1              321,450
MELLON FINL CORP                 EQUITY    58551A108      910      75,400  SH        DEFINED    2               75,400
MEMBERWORKS INCORPORATED         EQUITY    586002107       56       2,972  SH        DEFINED    1                2,972
MEMC ELECTRONIC MATERIALS, INC   EQUITY    552715104       76      12,805  SH        DEFINED    1               12,805





-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                             VOTING AUTHORITY
                                    TITLE     CUSIP    VALUE     SHRS OR   SH/  PUT/   INVSTMT  OTHR  -----------------------------
NAME OF ISSUER                      CLASS             (X$1000)   PRN AMT   PRN  CALL   DSCRETN  MGRS     SOLE     SHARED    NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MENS WEARHOUSE, INC.                EQUITY  587118100     238      10,203  SH          DEFINED    1                10,203
MENTOR CORP.                        EQUITY  587188103     236       6,538  SH          DEFINED    1                 6,538
MENTOR GRAPHICS CORP COM            EQUITY  587200106   35785   1,692,765  SH          Sole       3    1614865              71100
MENTOR GRAPHICS CORP.               EQUITY  587200106    1735      82,058  SH          DEFINED    1                82,058
MERCANTILE BANKSHARES CORP.         EQUITY  587405101    3846      88,908  SH          DEFINED    1                88,908
MERCK & CO., INC.                   EQUITY  589331107   65871   1,143,990  SH          DEFINED    1             1,143,990
MERCK AND CO INC                    EQUITY  589331107    2701      46,900  SH          DEFINED    4                46,900
MERCK & CO.                         EQUITY  589331107    1427      20,960  SH          DEFINED    2                20,960
MERCURY COMPUTER SYSTEMS INC        EQUITY  589378108     185       5,799  SH          DEFINED    1                 5,799
MERCURY GENERAL CORP                EQUITY  589400100      12         254  SH          DEFINED    1                   254
MERCURY INTERACTIVE CORP.           EQUITY  589405109    1551      41,184  SH          DEFINED    1                41,184
MERCURY INTERACTIVE CP COM          EQUITY  589405109   73456   1,951,011  SH          Sole       3    1854080              92031
MEREDITH CORP                       EQUITY  589433101     964      22,677  SH          DEFINED    1                22,677
MERIDIAN RESOURCE CORP              EQUITY  58977Q109      52      10,691  SH          DEFINED    1                10,691
MERISTAR HOSPITALITY CORP.          EQUITY  58984Y103     215      11,777  SH          DEFINED    1                11,777
MERITAGE CORPORATION                EQUITY  59001A102      63         981  SH          DEFINED    1                   981
MERIX CORPORATION                   EQUITY  590049102      76       4,093  SH          DEFINED    1                 4,093
MERRILL LYNCH & CO., INC.           EQUITY  590188108   21103     381,050  SH          DEFINED    1               381,050
MERRILL LYNCH + CO INC              EQUITY  590188108     632      17,200  SH          DEFINED    2                17,200
MESA AIR GROUP INC                  EQUITY  590479101    4294      56,400  SH          DEFINED    2                56,400
MESA AIRLINES, INC.                 EQUITY  590479101      97       8,675  SH          DEFINED    1                 8,675
MESABA HOLDINGS, INC.               EQUITY  59066B102      27       3,071  SH          DEFINED    1                 3,071
MESTEK, INC.                        EQUITY  590829107      19         828  SH          DEFINED    1                   828
METASOLV INC.                       EQUITY  59139P104      63       8,395  SH          DEFINED    1                 8,395
METAWAVE COMMUNICATIONS CORP.       EQUITY  591409107       6      12,785  SH          DEFINED    1                12,785
METHODE ELECTRONICS, INC., CLASS A  EQUITY  591520200     131      10,533  SH          DEFINED    1                10,533
METLIFE, INC.                       EQUITY  59156R108   10320     327,610  SH          DEFINED    1               327,610
METRIS COMPANIES INC                EQUITY  591598107    1614      80,703  SH          DEFINED    1                80,703
METRIS COS INC COM                  EQUITY  591598107   98214   4,910,688  SH          Sole       3    4700291             199997
METRO ONE TELECOMMUNICATIONS        EQUITY  59163F105     144       5,678  SH          DEFINED    1                 5,678
METRO-GOLDWYN-MAYER                 EQUITY  591610100     413      24,873  SH          DEFINED    1                24,873
METROMEDIA FIBER NETWORK, INC.      EQUITY  591689104       1       5,166  SH          DEFINED    1                 5,166
METROMEDIA INTERNATIONAL GROUP      EQUITY  591695101       7      22,984  SH          DEFINED    1                22,984
METTLER-TOLEDO INTERNATIONAL        EQUITY  592688105      21         467  SH          DEFINED    1                   467
MGI PHARMA INC                      EQUITY  552880106     103       7,493  SH          DEFINED    1                 7,493
MGIC INVESTMENT CORP.               EQUITY  552848103    3567      52,124  SH          DEFINED    1                52,124
MGM GRAND INC                       EQUITY  552953101      24         661  SH          DEFINED    1                   661
MICHAELS STORES INC COM             EQUITY  594087108   14927     394,900  SH          Sole       3     351200              40100
MICHAELS STORES, INC.               EQUITY  594087108     773      20,438  SH          DEFINED    1                20,438
MICREL, INC.                        EQUITY  594793101    2971     117,784  SH          DEFINED    1               117,784
MICRO GENERAL CORP                  EQUITY  594838302      46       3,323  SH          DEFINED    1                 3,323
MICROCHIP TECHNOLOGY COM            EQUITY  595017104    9483     226,700  SH          Sole       3     195800              28400
MICROCHIP TECHNOLOGY, INC.          EQUITY  595017104    7198     172,081  SH          DEFINED    1               172,081
MICROFINANCIAL INC                  EQUITY  595072109      19       2,200  SH          DEFINED    1                 2,200
MICROMUSE INC                       EQUITY  595094103      10       1,096  SH          DEFINED    1                 1,096
MICRON TECHNOLOGY INC               EQUITY  595112103    3003      25,000  SH          DEFINED    2                25,000
MICRON TECHNOLOGY, INC.             EQUITY  595112103   16649     506,050  SH          DEFINED    1               506,050
MICROS SYSTEMS, INC.                EQUITY  594901100     139       5,446  SH          DEFINED    1                 5,446
MICROSEMI CORP.                     EQUITY  595137100     144       8,843  SH          DEFINED    1                 8,843
MICROSOFT CORP.                     EQUITY  594918104  215035   3,565,500  SH          DEFINED    1             3,565,500
MICROSOFT CORP                      EQUITY  594918104    1206      20,000  SH          DEFINED    4                20,000






                                        TITLE     CUSIP    VALUE   SHRS OR  SH/   PUT/ INVSTMT OTHR    VOTING AUTHORITY
NAME OF ISSUER                          CLASS             (X$1000) PRN AMT  PRN   CALL DSCRETN MGRS    SOLE  SHARED  NONE
--------------------------------------------------------------------------------------------------------------------------
                                                                                    
MICROSOFT CORP.                         EQUITY  594918104    1080    76,013 SH         DEFINED   2            76,013
MICROSTRATEGY, INC.                     EQUITY  594972101      31    10,145 SH         DEFINED   1            10,145
MICROTUNE INC                           EQUITY  59514P109     136     9,472 SH         DEFINED   1             9,472
MICROTUNE INC DEL                       EQUITY  59514P109     323    58,500 SH         DEFINED   2            58,500
MICROTUNE INC DEL COM                   EQUITY  59514P109    7128   496,000 SH         Sole      3    496000
MICROVISION INC.                        EQUITY  594960106      38     3,333 SH         DEFINED   1             3,333
MID ATLANTIC MED SERVICES, INC          EQUITY  59523C107     430    15,096 SH         DEFINED   1            15,096
MID ATLANTIC REALTY TRUST               EQUITY  595232109      63     4,089 SH         DEFINED   1             4,089
MID STATE BANCSHARES                    EQUITY  595440108     133     7,510 SH         DEFINED   1             7,510
MID-AMERICA APT. COMMUNITIES            EQUITY  59522J103     115     4,396 SH         DEFINED   1             4,396
MIDAS, INC.                             EQUITY  595626102      66     4,643 SH         DEFINED   1             4,643
MIDDLESEX WATER CO                      EQUITY  596680108      55     2,371 SH         DEFINED   1             2,371
MIDLAND CO COM                          EQUITY  597486109      52     1,221 SH         DEFINED   1             1,221
MIDWAY GAMES INC.                       EQUITY  598148104     130     9,624 SH         DEFINED   1             9,624
MIDWEST BANC HOLDINGS INC.              EQUITY  598251106      40     1,808 SH         DEFINED   1             1,808
MIDWEST EXPRESS HOLDINGS, INC.          EQUITY  597911106      72     3,924 SH         DEFINED   1             3,924
MILACRON, INC.                          EQUITY  598709103      72     4,908 SH         DEFINED   1             4,908
MILLENNIUM CELL INC                     EQUITY  60038B105      20     4,970 SH         DEFINED   1             4,970
MILLENNIUM CHEMICALS INC.               EQUITY  599903101     290    19,708 SH         DEFINED   1            19,708
MILLENNIUM PHARMACEUTICALS, IN          EQUITY  599902103    8123   364,116 SH         DEFINED   1           364,116
MILLIPORE CORP.                         EQUITY  601073109    9141   206,618 SH         DEFINED   1           206,618
MILLS CORP.                             EQUITY  601148109    2955   105,684 SH         DEFINED   1           105,684
MINAS BUENAVENTURA-SPON ADR             EQUITY  204448104    1267    46,900 SH         DEFINED   1            46,900
MINE SAFETY APPLIANCES CO.              EQUITY  602720104     101     2,691 SH         DEFINED   1             2,691
MINERALS TECHNOLOGIES, INC.             EQUITY  603158106    1611    30,695 SH         DEFINED   1            30,695
Minnesota Mining & Manufacturing Co     EQUITY  604059105     244     2,120 SH         DEFINED   1             2,120
MINNESOTA MINING & MFG. CO.             EQUITY  604059105   20488   178,140 SH         DEFINED   1           178,140
MIPS TECHNOLOGIES INC                   EQUITY  604567107      89    12,153 SH         DEFINED   1            12,153
MIPS TECHNOLOGIES INC CL B              EQUITY  604567206     329    49,100 SH         DEFINED   1            49,100
MIRANT CORP.                            EQUITY  604675108    3875   268,135 SH         DEFINED   1           268,135
MIRAVANT MEDICAL TECHNOLOGIES           EQUITY  604690107       5     4,308 SH         DEFINED   1             4,308
MISSION WEST PROPERTIES                 EQUITY  605203108      62     4,765 SH         DEFINED   1             4,765
MISSISSIPPI VALLEY BANCSHARES,          EQUITY  605720101      72     1,788 SH         DEFINED   1             1,788
MKS INSTRUMENTS, INC.                   EQUITY  55306N104     220     6,426 SH         DEFINED   1             6,426
MOBILE MINI                             EQUITY  60740F105   43329 1,346,455 SH         Sole      3   1315677         30778
MOBILE MINI INC                         EQUITY  60740F105     722     9,900 SH         DEFINED   2             9,900
MOBILE MINI INC.                        EQUITY  60740F105     131     4,081 SH         DEFINED   1             4,081
MOBILE TELESYSTEMS-SP ADR               EQUITY  607409109    1477    40,400 SH         DEFINED   1            40,400
MODINE MANUFACTURING CO.                EQUITY  607828100    1365    50,561 SH         DEFINED   1            50,561
MOHAWK INDS INC COM                     EQUITY  608190104   72326 1,203,620 SH         Sole      3   1146798         53822
MOHAWK INDUSTRIES, INC.                 EQUITY  608190104    5200    86,545 SH         DEFINED   1            86,545
MOLDFLOW CORPORATION                    EQUITY  608507109      18     1,329 SH         DEFINED   1             1,329
MOLECULAR DEVICES CORP.                 EQUITY  60851C107      81     4,468 SH         DEFINED   1             4,468
MOLEX, INC.                             EQUITY  608554101    3208    92,535 SH         DEFINED   1            92,535
MOMENTUM BUSINESS APPLICATIONS, INC     EQUITY  60877P108     664    35,500 SH         DEFINED   1            35,500
MONACO COACH CORP                       EQUITY  60886R103     173     7,125 SH         DEFINED   1             7,125
MONDAVI, ROBERT CORP. CLASS A           EQUITY  609200100      94     2,616 SH         DEFINED   1             2,616
MONSANTO CO                             EQUITY  61166W101      12       374 SH         DEFINED   1               374
MONY GROUP, INC.                        EQUITY  615337102    2430    60,269 SH         DEFINED   1            60,269
MOODY'S CORP.                           EQUITY  615369105    2991    72,765 SH         DEFINED   1            72,765
MOOG INC.                               EQUITY  615394202     142     4,422 SH         DEFINED   1             4,422
MORGAN STANLEY & COMPANY                EQUITY  617446448   15240    69,100 SH         DEFINED   2            69,110
MORGAN STANLEY DEAN WITTER & C          EQUITY  617446448   28772   502,040 SH         DEFINED   1           502,040






                                                                                                             VOTING AUTHORITY
                                     TITLE     CUSIP   VALUE    SHRS OR   SH/   PUT/  INVSTMT  OTHR
NAME OF ISSUER                       CLASS            (X$1000)  PRN AMT   PRN   CALL  DSCRETN  MGRS    SOLE       SHARED       NONE
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MOTOROLA, INC.                       EQUITY  620076109  16837  1,185,675  SH          DEFINED    1              1,185,675
MOVADO GROUP, INC.                   EQUITY  624580106     66      3,010  SH          DEFINED    1                  3,010
MOVIE GALLERY, INC.                  EQUITY  624581104     59      3,420  SH          DEFINED    1                  3,420
MPS GROUP INC                        EQUITY  553409103   1330    151,977  SH          DEFINED    1                151,977
MRO SOFTWARE                         EQUITY  55347W105     60      4,848  SH          DEFINED    1                  4,848
MRV COMMUNICATIONS, INC.             EQUITY  553477100     73     25,733  SH          DEFINED    1                 25,733
MSC INDUSTRIAL DIRECT CO.            EQUITY  553530106    283     12,337  SH          DEFINED    1                 12,337
MSC SOFTWARE CORPORATION             EQUITY  553531104    204      8,874  SH          DEFINED    1                  8,874
MTR GAMING GROUP INC                 EQUITY  553769100     94      6,084  SH          DEFINED    1                  6,084
MTS SYSTEMS CORP.                    EQUITY  553777103     72      6,547  SH          DEFINED    1                  6,547
MUELLER INDUSTRIES, INC.             EQUITY  624756102    320      9,135  SH          DEFINED    1                  9,135
MULTEX.COM, INC.                     EQUITY  625367107     38      8,481  SH          DEFINED    1                  8,481
MURPHY OIL CORP.                     EQUITY  626717102   5521     57,506  SH          DEFINED    1                 57,506
MYERS INDUSTRIES, INC.               EQUITY  628464109     74      5,121  SH          DEFINED    1                  5,121
MYKROLIS CORP                        EQUITY  62852P103      7        455  SH          DEFINED    1                    455
MYLAN LABORATORIES INC.              EQUITY  628530107   4705    159,693  SH          DEFINED    1                159,693
MYRIAD GENETICS INC                  EQUITY  62855J104     12        350  SH          DEFINED    1                    350
MYRIAD GENETICS INC                  EQUITY  62855J104    887     33,300  SH          DEFINED    2                 33,300
NABI BIOPHARMACEUTICALS              EQUITY  629519109     73     11,853  SH          DEFINED    1                 11,853
NABORS INDUSTRIES INC                EQUITY  629568106   1136    343,315  SH          DEFINED    2                343,315
NABORS INDUSTRIES, INC.              EQUITY  629568106   2735     64,725  SH          DEFINED    1                 64,725
NACCO INDUSTRIES, INC. CLASS A       EQUITY  629579103    134      2,019  SH          DEFINED    1                  2,019
NANOGEN INC.                         EQUITY  630075109     18      4,190  SH          DEFINED    1                  4,190
NANOMETRICS INC.                     EQUITY  630077105     42      2,292  SH          DEFINED    1                  2,292
NANOPHASE TECHNOLOGIES CORP          EQUITY  630079101     30      3,629  SH          DEFINED    1                  3,629
NAPRO BIOTHERAPEUTICS INC            EQUITY  630795102     66      7,544  SH          DEFINED    1                  7,544
NASDAQ 100 TR                        EQUITY  631100104    631     30,100  SH          DEFINED    2                 30,100
NASHFINCH CO.                        EQUITY  631158102     92      3,375  SH          DEFINED    1                  3,375
NATCO GROUP INC                      EQUITY  63227W203     23      2,887  SH          DEFINED    1                  2,887
NATIONAL BEVERAGE CORP.              EQUITY  635017106     15      1,114  SH          DEFINED    1                  1,114
NATIONAL CITY CORP                   EQUITY  635405103   2224     20,500  SH          DEFINED    2                 20,500
NATIONAL CITY CORP.                  EQUITY  635405103   8586    279,140  SH          DEFINED    1                279,140
NATIONAL COMMERCE BANCORP.           EQUITY  63545P104   7170    257,906  SH          DEFINED    1                257,906
NATIONAL DATA CORP.                  EQUITY  639480102    366     10,052  SH          DEFINED    1                 10,052
NATIONAL EQUIPMENT SERVICES          EQUITY  635847106    206     75,000  SH          DEFINED    1                 75,000
NATIONAL FUEL GAS CO.                EQUITY  636180101   5235    214,984  SH          DEFINED    1                214,984
NATIONAL GOLF PROPERTIES, INC.       EQUITY  63623G109     23      3,123  SH          DEFINED    1                  3,123
NATIONAL GRID GROUP-SPON ADR         EQUITY  636274102     25        777  SH          DEFINED    1                    777
NATIONAL HEALTH INVESTORS, INC       EQUITY  63633D104     94      6,432  SH          DEFINED    1                  6,432
NATIONAL HEALTHCARE CORP             EQUITY  635906100     41      2,507  SH          DEFINED    1                  2,507
NATIONAL INSTRUMENTS CORP.           EQUITY  636518102   2711     64,828  SH          DEFINED    1                 64,828
NATIONAL PENN BANCSHARES, INC.       EQUITY  637138108    137      5,583  SH          DEFINED    1                  5,583
NATIONAL PRESTO INDUSTRIES           EQUITY  637215104     42      1,453  SH          DEFINED    1                  1,453
NATIONAL PROCESSING INC              EQUITY  637229105     62      2,155  SH          DEFINED    1                  2,155
NATIONAL SEMICONDUCTOR CORP.         EQUITY  637640103   2778     82,468  SH          DEFINED    1                 82,468
NATIONAL SERVICE INDUSTRIES,         EQUITY  637657206     34      3,215  SH          DEFINED    1                  3,215
NATIONAL WESTERN LIFE INS. CO. CLASS EQUITY  638522102     76        664  SH          DEFINED    1                    664
NATIONAL-OILWELL INC COM             EQUITY  637071101  24591    970,832  SH          Sole       3    953132                   17700
NATIONAL-OILWELL, INC.               EQUITY  637071101  33937  1,339,802  SH          DEFINED    1              1,339,802
NATIONWIDE FINANCIAL                 EQUITY  638612101     10        238  SH          DEFINED    1                    238
NATIONWIDE HEALTH PROPERTIES         EQUITY  638620104    296     14,706  SH          DEFINED    1                 14,706




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE     SHARED     NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
NATURES SUNSHINE PRODUCTS, INC         EQUITY    639027101        40      3,610  SH       DEFINED    1                3,610
NAUTICA ENTERPRISES, INC.              EQUITY    639089101       118      7,753  SH       DEFINED    1                7,753
NAVIGANT CONSULTING CO.                EQUITY    63935N107        80     12,411  SH       DEFINED    1               12,411
NAVIGANT INTERNATIONAL, INC.           EQUITY    63935R108        60      4,111  SH       DEFINED    1                4,111
NAVISTAR INTERNATIONAL CORP.           EQUITY    63934E108      1229     27,737  SH       DEFINED    1               27,737
NAVISTAR INTL CORP INC                 EQUITY    63934E108      2298     31,575  SH       DEFINED    2               31,575
NBC CAPITAL CORP                       EQUITY    628729105        49      1,628  SH       DEFINED    1                1,628
NBT BANCORP, INC.                      EQUITY    628778102       112      7,579  SH       DEFINED    1                7,579
NBTY, INC.                             EQUITY    628782104       229     13,395  SH       DEFINED    1               13,395
NCI BUILDING SYSTEMS, INC.             EQUITY    628852105       112      4,977  SH       DEFINED    1                4,977
NCO GROUP, INC.                        EQUITY    628858102      1060     38,184  SH       DEFINED    1               38,184
NCR CORP.                              EQUITY    62886E108      2005     44,794  SH       DEFINED    1               44,794
NEIMAN MARCUS GROUP INC CL A           EQUITY    640204202      2079     60,350  SH       DEFINED    1               60,350
NEON COMMUNICATIONS INC.               EQUITY    640506101         1      2,332  SH       DEFINED    1                2,332
NEOPHARM INC                           EQUITY    640919106        76      3,516  SH       DEFINED    1                3,516
NEOSE TECHNOLOGIES, INC.               EQUITY    640522108       116      3,625  SH       DEFINED    1                3,625
NET.B@NK INC                           EQUITY    640933107       143      8,468  SH       DEFINED    1                8,468
NET2PHONE, INC.                        EQUITY    64108N106        28      5,451  SH       DEFINED    1                5,451
NETEGRITY, INC.                        EQUITY    64110P107       109      7,378  SH       DEFINED    1                7,378
NETIQ CORP.                            EQUITY    64115P102       275     12,595  SH       DEFINED    1               12,595
NETRATINGS INC                         EQUITY    64116M108        27      2,255  SH       DEFINED    1                2,255
NETRO CORP                             EQUITY    64114R109        33     11,773  SH       DEFINED    1               11,773
NETSCOUT SYSTEMS INC                   EQUITY    64115T104        38      5,361  SH       DEFINED    1                5,361
NETWORK APPLIANCE INC                  EQUITY    64120L104       142     20,000  SH       DEFINED    2               20,000
NETWORK APPLIANCE, INC.                EQUITY    64120L104      3353    164,509  SH       DEFINED    1              164,509
Network Associates                     EQUITY    640938106       726     30,000  SH       DEFINED    4               30,000
NETWORKS ASSOCIATES, INC.              EQUITY    640938106      4324    178,698  SH       DEFINED    1              178,698
NETWORKS ASSOCS INC                    EQUITY    640938106        90     91,900  SH       DEFINED    2               91,900
NEUBERGER BERMAN INC                   EQUITY    641234109      4179     89,199  SH       DEFINED    1               89,199
NEUROCRINE BIOSCIENCES, INC.           EQUITY    64125C109       344      8,487  SH       DEFINED    1                8,487
NEUROGEN CORP.                         EQUITY    64124E106        49      3,865  SH       DEFINED    1                3,865
NEW CENTURY FINANCIAL CORP             EQUITY    64352D101        75      3,297  SH       DEFINED    1                3,297
NEW ENGLAND BUSINESS SERVICE           EQUITY    643872104        91      3,540  SH       DEFINED    1                3,540
NEW HORIZONS WORLDWIDE INC             EQUITY    645526104        25      2,081  SH       DEFINED    1                2,081
NEW JERSEY RESOURCES CORP.             EQUITY    646025106       252      8,322  SH       DEFINED    1                8,322
NEW PLAN EXCEL REALTY TRUST            EQUITY    648053106     18941    944,700  SH       Sole       3    785864             158836
NEW PLAN EXCEL REALTY TRUST            EQUITY    648053106     12315    614,220  SH       DEFINED    1              614,220
NEW YORK COMMUNITY BANCORP INC         EQUITY    649445103      4253    153,813  SH       DEFINED    1              153,813
NEW YORK TIMES CO. CLASS  A            EQUITY    650111107      3349     69,979  SH       DEFINED    1               69,979
NEWELL RUBBERMAID, INC.                EQUITY    651229106      3982    124,580  SH       DEFINED    1              124,580
NEWFIELD EXPLORATION                   EQUITY    651290108        20        547  SH       DEFINED    1                  547
NEWFOCUS, INC.                         EQUITY    644383101        49     16,309  SH       DEFINED    1               16,309
NEWMARK HOMES CORP                     EQUITY    651578106        12        717  SH       DEFINED    1                  717
Newmont Mining                         CORPBOND  651639AD8      4058  4,000,000  PRN      DEFINED    4            4,000,000
NEWMONT MINING CORP COM                EQUITY    651639106      2769    100,000  SH       Sole       3    100000
NEWMONT MINING CORP HLDG CO            EQUITY    651639106      4997    180,445  SH       DEFINED    1              180,445
NEWPARK RESOURCES, INC.                EQUITY    651718504       159     20,469  SH       DEFINED    1               20,469
NEWPORT CORP                           EQUITY    651824104      1358     56,800  SH       DEFINED    1               56,800
NEWPOWER HOLDINGS INC                  EQUITY    652463100         6     14,941  SH       DEFINED    1               14,941
NEWTEK CAPITAL INC                     EQUITY    652526104      1117    333,333  SH       DEFINED    1              333,333
NEXT CARD, INC.                        EQUITY    65332K107         1     10,039  SH       DEFINED    1               10,039
NEXT LEVEL COMMUNICATION               EQUITY    65333U104         9      6,503  SH       DEFINED    1                6,503
NEXTEL COMMUNICATIONS, INC.  CLASS A   EQUITY    65332V103      2231    414,636  SH       DEFINED    1              414,636





                                  TITLE    CUSIP   VALUE   SHRS OR  SH/ PUT/ INVSTMT OTHR            VOTING AUTHORITY
NAME OF ISSUER                    CLASS           (X$1000) PRN AMT  PRN CALL DSCRETN MGRS    SOLE         SHARED        NONE
-------------------------------------------------------------------------------------------------------------------------------
                                                                                       
NEXTEL PARTNERS INC               EQUITY 65333F107    304    50,534 SH       DEFINED   1                   50,534
NICOR, INC.                       EQUITY 654086107    942    20,671 SH       DEFINED   1                   20,671
Nike Inc                          EQUITY 654106103   1500    25,000 SH       DEFINED   4                   25,000
NIKE INC                          EQUITY 654106103   1555     5,225 SH       DEFINED   2                    5,225
NIKE, INC. CLASS  B               EQUITY 654106103   7331   122,160 SH       DEFINED   1                  122,160
NISOURCE, INC.                    EQUITY 65473P105   2220    96,729 SH       DEFINED   1                   96,729
NITCHES INC                       EQUITY 65476M109    493    81,950 SH       DEFINED   1                   81,950
NL INDUSTRIES, INC.               EQUITY 629156407     49     2,979 SH       DEFINED   1                    2,979
NMS COMMUNUCATIONS CORP.          EQUITY 629248105     49    11,467 SH       DEFINED   1                   11,467
NN INC                            EQUITY 629337106     39     3,579 SH       DEFINED   1                    3,579
NOBLE AFFILIATES INC              EQUITY 654894104  26177   670,178 SH       Sole      3    656078                      14100
NOBLE AFFILIATES, INC.            EQUITY 654894104   2803    71,758 SH       DEFINED   1                   71,758
NOBLE DRILLING CORP.              EQUITY 655042109   2550    61,609 SH       DEFINED   1                   61,609
NOKIA CORP                        EQUITY 654902204   1717    67,190 SH       DEFINED   2                   67,190
NORDSON CORP.                     EQUITY 655663102   1477    48,995 SH       DEFINED   1                   48,995
NORDSTROM, INC.                   EQUITY 655664100   1513    61,766 SH       DEFINED   1                   61,766
NORFOLK SOUTHERN CORP.            EQUITY 655844108   4282   178,881 SH       DEFINED   1                  178,881
NORTEK, INC.                      EQUITY 656559101     95     2,637 SH       DEFINED   1                    2,637
NORTEL NETWORKS CORP              EQUITY 656568102     10     3,600 SH       DEFINED   2                    3,600
NORTEL NETWORKS CORP.             EQUITY 656568102   7219 1,607,720 SH       DEFINED   1                1,607,720
NORTH AMERICAN SCIENTIFIC         EQUITY 65715D100     28     2,198 SH       DEFINED   1                    2,198
NORTH FORK BANCORPORATION INC.    EQUITY 659424105   7315   205,700 SH       DEFINED   1                  205,700
NORTH PITTSBURGH SYSTEMS          EQUITY 661562108     65     4,673 SH       DEFINED   1                    4,673
NORTHEAST UTILITIES               EQUITY 664397106   3529   177,600 SH       DEFINED   1                  177,600
NORTHERN TRUST CORP               EQUITY 665859104   1368    28,100 SH       DEFINED   2                   28,100
NORTHERN TRUST CORP.              EQUITY 665859104   6314   105,041 SH       DEFINED   1                  105,041
NORTHFIELD LABORATORIES, INC.     EQUITY 666135108     23     3,304 SH       DEFINED   1                    3,304
NORTHROP GRUMMAN CORP             EQUITY 666807102    725    12,100 SH       DEFINED   2                   12,100
NORTHROP GRUMMAN CORP.            EQUITY 666807102   5797    51,280 SH       DEFINED   1                   51,280
NORTHWEST AIRLINES CORP CL-A      EQUITY 667280101     11       589 SH       DEFINED   1                      589
NORTHWEST BANCORP INC.            EQUITY 667328108     45     3,781 SH       DEFINED   1                    3,781
NORTHWEST NATURAL GAS CO.         EQUITY 667655104    238     8,488 SH       DEFINED   1                    8,488
NORTHWESTERN CORP.                EQUITY 668074107    430    19,528 SH       DEFINED   1                   19,528
NOVADIGM INC                      EQUITY 669937104     32     4,121 SH       DEFINED   1                    4,121
NOVATEL WIRELESS INC              EQUITY 66987M109      5     8,277 SH       DEFINED   1                    8,277
NOVAVAX INC                       EQUITY 670002104     53     4,598 SH       DEFINED   1                    4,598
NOVELL, INC .                     EQUITY 670006105   1112   285,928 SH       DEFINED   1                  285,928
NOVELLUS SYSTEMS, INC.            EQUITY 670008101   3994    73,780 SH       DEFINED   1                   73,780
NOVEN PHARMACEUTICALS, INC.       EQUITY 670009109    145     6,994 SH       DEFINED   1                    6,994
NOVOSTE CORPORATION               EQUITY 67010C100     38     4,628 SH       DEFINED   1                    4,628
NPS  PHARMACEUTICALS INC.         EQUITY 62936P103    280     8,580 SH       DEFINED   1                    8,580
NRG ENERGY INC                    EQUITY 629377102      9       705 SH       DEFINED   1                      705
NS GROUP, INC.                    EQUITY 628916108     49     5,399 SH       DEFINED   1                    5,399
NTELOS INC.                       EQUITY 67019U101     22     5,262 SH       DEFINED   1                    5,262
NTL INCORPORATED                  EQUITY 629407107            1,677 SH       DEFINED   1                    1,677
NU HORIZONS ELEC CORP             EQUITY 669908105     45     4,569 SH       DEFINED   1                    4,569
NU SKIN ENTERPRISES, INC. CLASS A EQUITY 67018T105    143    13,353 SH       DEFINED   1                   13,353
NUANCE COMMUNICATIONS, INC.       EQUITY 669967101     57     8,323 SH       DEFINED   1                    8,323
NUCOR CORP.                       EQUITY 670346105   2309    35,947 SH       DEFINED   1                   35,947
NUEVO ENERGY CO.                  EQUITY 670509108     68     4,555 SH       DEFINED   1                    4,555





                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE     SHARED     NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
NUI CORPORATION                        EQUITY    629431107       108      4,357  SH       DEFINED    1                4,357
NUMERICAL TECHNOLOGIES, INC.           EQUITY    67053T101        79      5,826  SH       DEFINED    1                5,826
NVIDIA CORP                            EQUITY    67066G104      3163     71,309  SH       DEFINED    1               71,309
NVIDIA CORP                            EQUITY    67066G104       347     19,100  SH       DEFINED    2               19,100
NVR, INC.                              EQUITY    62944T105       601      1,904  SH       DEFINED    1                1,904
NYFIX INC                              EQUITY    670712108       109      7,292  SH       DEFINED    1                7,292
NYMAGIC, INC.                          EQUITY    629484106        20      1,030  SH       DEFINED    1                1,030
O CHARLEYS INC COM                     EQUITY    670823103      6620    307,200  SH       Sole       3    307200
OAK TECHNOLOGY, INC.                   EQUITY    671802106       221     14,869  SH       DEFINED    1               14,869
OAKLEY INC.                            EQUITY    673662102         7        381  SH       DEFINED    1                  381
OCCIDENTAL PETROLEUM CORP.             EQUITY    674599105      5029    172,533  SH       DEFINED    1              172,533
OCEAN ENERGY INC TEX                   EQUITY    67481E106      1800      6,000  SH       DEFINED    2                6,000
OCEAN ENERGY INC TEX COM               EQUITY    67481E106     23526  1,188,800  SH       Sole       3   1046800             130300
OCEAN ENERGY, INC.                     EQUITY    67481E106      4318    218,202  SH       DEFINED    1              218,202
OCEANEERING INTERNATIONAL, INC         EQUITY    675232102       199      6,875  SH       DEFINED    1                6,875
OCEANFIRST FINANCIAL CORP              EQUITY    675234108        69      2,307  SH       DEFINED    1                2,307
O'CHARLEY'S INC.                       EQUITY    670823103       112      5,199  SH       DEFINED    1                5,199
OCTEL CORP.                            EQUITY    675727101        58      3,075  SH       DEFINED    1                3,075
OCULAR SCIENCES, INC.                  EQUITY    675744106       147      5,239  SH       DEFINED    1                5,239
OCWEN FINANCIAL CORP.                  EQUITY    675746101        75     11,440  SH       DEFINED    1               11,440
OFFICE DEPOT INC                       EQUITY    676220106       289     36,500  SH       DEFINED    2               36,500
OFFICE DEPOT, INC.                     EQUITY    676220106      2814    141,786  SH       DEFINED    1              141,786
OFFICEMAX, INC.                        EQUITY    67622M108       186     33,269  SH       DEFINED    1               33,269
OFFSHORE LOGISTICS INC                 EQUITY    676255102       897     13,400  SH       DEFINED    2               13,400
OFFSHORE LOGISTICS, INC.               EQUITY    676255102       118      5,483  SH       DEFINED    1                5,483
OGE ENERGY CORP.                       EQUITY    670837103     11227    468,368  SH       DEFINED    1              468,368
OGLEBAY NORTON CO                      EQUITY    677007106         9        870  SH       DEFINED    1                  870
OHIO CASUALTY CORP.                    EQUITY    677240103      1764     93,113  SH       DEFINED    1               93,113
OIL STATES INTERNATIONAL INC           EQUITY    678026105        34      3,105  SH       DEFINED    1                3,105
OLD NATL BANCORP                       EQUITY    680033107        15        607  SH       DEFINED    1                  607
OLD REPUBLIC INTL CORP.                EQUITY    680223104      4817    150,673  SH       DEFINED    1              150,673
OLD SECOND BANCORP INC                 EQUITY    680277100        72      1,785  SH       DEFINED    1                1,785
OLIN CORP.                             EQUITY    680665205      1230     65,422  SH       DEFINED    1               65,422
OM GROUP INC                           EQUITY    670872100        20        273  SH       DEFINED    1                  273
OMEGA FINANCIAL CORP.                  EQUITY    682092101        83      2,560  SH       DEFINED    1                2,560
OMNICARE, INC.                         EQUITY    681904108      3064    118,364  SH       DEFINED    1              118,364
OMNICELL INC                           EQUITY    68213N109       203     40,900  SH       DEFINED    2               40,900
OMNICOM GROUP                          EQUITY    681919106        65      9,500  SH       DEFINED    2                9,500
OMNICOM GROUP, INC.                    EQUITY    681919106      9405     99,628  SH       DEFINED    1               99,628
OMNOVA SOLUTIONS                       EQUITY    682129101       102     12,327  SH       DEFINED    1               12,327
ON ASSIGNMENT, INC.                    EQUITY    682159108       117      6,514  SH       DEFINED    1                6,514
ON COMMAND CORP.                       EQUITY    682160106         8      1,721  SH       DEFINED    1                1,721
ON SEMICONDUCTOR CORPORATION           EQUITY    682189105        43     10,357  SH       DEFINED    1               10,357
ONEIDA LTD.                            EQUITY    682505102        66      4,400  SH       DEFINED    1                4,400
ONEOK, INC.                            EQUITY    682680103      2232    107,074  SH       DEFINED    1              107,074
ONI SYSTEMS CORP                       EQUITY    68273F103         8      1,335  SH       DEFINED    1                1,335
ONYX PHARMACEUTICALS INC               EQUITY    683399109        26      5,764  SH       DEFINED    1                5,764
ONYX SOFTWARE CORP.                    EQUITY    683402101        54     10,912  SH       DEFINED    1               10,912
OPENWAVE SYS INC                       EQUITY    683718100      1422     10,200  SH       DEFINED    2               10,200
OPENWAVE SYSTEMS INC.                  EQUITY    683718100       206     32,377  SH       DEFINED    1               32,377
OPLINK COMMUNICATIONS INC              EQUITY    68375Q106        55     35,779  SH       DEFINED    1               35,779
OPNET TECHNOLOGIES                     EQUITY    683757108        25      2,670  SH       DEFINED    1                2,670
OPTICAL CABLE CORP.                    EQUITY    683827109         1        727  SH       DEFINED    1                  727




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE     SHARED     NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
OPTICAL COMMUNICATION PROD             EQUITY    68382T101         4      1,443  SH       DEFINED    1                1,443
OPTION CARE INC                        EQUITY    683948103        38      2,320  SH       DEFINED    1                2,320
OPTION CARE INC COM                    EQUITY    683948103      4728    286,400  SH       Sole       3    286400
Oracle                                 EQUITY    68389X105      1651    129,000  SH       DEFINED    4              129,000
ORACLE CORP                            EQUITY    68389X105       499      4,500  SH       DEFINED    2                4,500
ORACLE CORP.                           EQUITY    68389X105     44763  3,497,110  SH       DEFINED    1            3,497,110
ORASURE TECHNOLOGIES INC               EQUITY    68554V108        49      8,098  SH       DEFINED    1                8,098
ORBITAL SCIENCES CORP.                 EQUITY    685564106       199     37,894  SH       DEFINED    1               37,894
ORCHID BIOSCIENCES, INC.               EQUITY    68571P100        32     12,305  SH       DEFINED    1               12,305
OREGON STEEL MILLS, INC.               EQUITY    686079104        61      8,024  SH       DEFINED    1                8,024
O'REILLY AUTOMOTIVE, INC.              EQUITY    686091109       364     11,536  SH       DEFINED    1               11,536
ORGANOGENESIS, INC.                    EQUITY    685906109        14      9,971  SH       DEFINED    1                9,971
ORIENTAL FINANCIAL GROUP               EQUITY    68618W100        72      3,389  SH       DEFINED    1                3,389
ORTHODONTIC CENTERS OF AMERICA         EQUITY    68750P103       469     16,976  SH       DEFINED    1               16,976
OSCA INC                               EQUITY    687836106        58      2,083  SH       DEFINED    1                2,083
OSHKOSH B'GOSH, INC. CLASS A           EQUITY    688222207       128      2,996  SH       DEFINED    1                2,996
OSHKOSH TRUCK CORP CL B                EQUITY    688239201       296      5,200  SH       DEFINED    1                5,200
OSI PHARMACEUTICALS                    EQUITY    671040103        21        537  SH       DEFINED    1                  537
OSMONICS INC                           EQUITY    688350107        48      3,289  SH       DEFINED    1                3,289
OTG SOFTWARE INC                       EQUITY    671059103        41      4,779  SH       DEFINED    1                4,779
OTTER TAIL POWER CO.                   EQUITY    689648103       237      7,668  SH       DEFINED    1                7,668
OUTBACK STEAKHOUSE INC.                EQUITY    689899102      3467     96,933  SH       DEFINED    1               96,933
OVERSEAS SHIPHOLDING GROUP             EQUITY    690368105      1254     51,615  SH       DEFINED    1               51,615
OVERTURE SERVICES INC                  EQUITY    69039R100       170      6,095  SH       DEFINED    1                6,095
OWENS & MINOR, INC.                    EQUITY    690732102       207     10,538  SH       DEFINED    1               10,538
OWENS-ILLINOIS, INC.                   EQUITY    690768403       775     45,602  SH       DEFINED    1               45,602
OXFORD HEALTH PLANS, INC.              EQUITY    691471106      6156    147,315  SH       DEFINED    1              147,315
OXFORD INDS INC.                       EQUITY    691497309        49      1,862  SH       DEFINED    1                1,862
P G & E CORP.                          EQUITY    69331C108      4361    185,088  SH       DEFINED    1              185,088
P. F. CHANGS CHINA BISTRO INC.         EQUITY    69333Y108       190      2,850  SH       DEFINED    1                2,850
PACCAR, INC                            EQUITY    693718108      2754     37,622  SH       DEFINED    1               37,622
PACIFIC CAPITAL BANCORP                EQUITY    69404P101       253      8,199  SH       DEFINED    1                8,199
PACIFIC CENTURY FINL CORP              EQUITY    694058108      2537     97,357  SH       DEFINED    1               97,357
PACIFIC NORTHWEST BANCORP              EQUITY    69466M103       113      4,304  SH       DEFINED    1                4,304
PACIFIC SUNWEAR OF CALIF               EQUITY    694873100      2632     57,800  SH       DEFINED    2               57,800
PACIFIC SUNWEAR OF CALIFORNIA          EQUITY    694873100       222      9,033  SH       DEFINED    1                9,033
PACIFICARE HEALTH SYSTEMS INC CLASS A  EQUITY    695112102       912     52,264  SH       DEFINED    1               52,264
Pacificorp                             CORPBOND  69512EGN9      2963  3,000,000  PRN      DEFINED    4            3,000,000
PACKAGING CORP OF AMERICA              EQUITY    695156109      2637    133,262  SH       DEFINED    1              133,262
PACKETEER, INC                         EQUITY    695210104        52      6,965  SH       DEFINED    1                6,965
PACTIV CORPORATION                     EQUITY    695257105      1472     73,551  SH       DEFINED    1               73,551
PAIN THERAPEUTICS INC                  EQUITY    69562K100        48      4,973  SH       DEFINED    1                4,973
PALL CORP                              EQUITY    696429307      1168     56,991  SH       DEFINED    1               56,991
PALM HARBOR HOMES, INC                 EQUITY    696639103       106      5,083  SH       DEFINED    1                5,083
PALM, INC                              EQUITY    696642107      1505    377,278  SH       DEFINED    1              377,278
PAN PACIFIC RETAIL COM                 EQUITY    69806L104     12274    401,500  SH       Sole       3    326685              74815
PAN PACIFIC RETAIL PROPERTIES          EQUITY    69806L104       229      7,500  SH       DEFINED    1                7,500
PANAMSAT CORP                          EQUITY    697933109       128      5,620  SH       DEFINED    1                5,620
PANERA BREAD COMPANY CL A              EQUITY    69840W108       194      3,045  SH       DEFINED    1                3,045
PAPA JOHNS INTERNATIONAL, INC          EQUITY    698813102       923     33,091  SH       DEFINED    1               33,091
PARADIGM GENETICS INC                  EQUITY    69900R106        10      6,469  SH       DEFINED    1                6,469
PARAMETRIC TECHNOLOGY CORP.            EQUITY    699173100       764    126,465  SH       DEFINED    1              126,465
PAREXEL INTERNATIONAL CORP.            EQUITY    699462107       124      7,720  SH       DEFINED    1                7,720




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                                                                                                 VOTING AUTHORITY
                              TITLE    CUSIP   VALUE   SHRS OR SH/ PUT/ INVSTMT OTHR  ------------------------------------
NAME OF ISSUER                CLASS           (X$1000) PRN AMT PRN CALL DSCRETN MGRS     SOLE         SHARED        NONE
---------------------------------------------------------------------------------------------------------------------------
                                                                                   
PARK ELECTROCHEMICAL CORP.    EQUITY 700416209    150    5,162 SH       DEFINED   1                     5,162
PARK NATIONAL CORP.           EQUITY 700658107    356    3,608 SH       DEFINED   1                     3,608
PARKER DRILLING CO.           EQUITY 701081101    119   26,877 SH       DEFINED   1                    26,877
PARKER HANNIFIN CORP.         EQUITY 701094104   3317   66,482 SH       DEFINED   1                    66,482
PARKERVISION, INC             EQUITY 701354102     53    2,614 SH       DEFINED   1                     2,614
PARKWAY PROPERTIES, INC.      EQUITY 70159Q104   1313   35,981 SH       DEFINED   1                    35,981
PATHMARK STORES INC           EQUITY 70322A101    224    9,373 SH       DEFINED   1                     9,373
PATINA OIL & GAS CORP         EQUITY 703224105    185    5,873 SH       DEFINED   1                     5,873
PATTERSON DENTAL CO.          EQUITY 703412106   3753   85,828 SH       DEFINED   1                    85,828
PATTERSON UTI ENERGY INC      EQUITY 703481101   1753   88,500 SH       DEFINED   2                    88,500
PATTERSON-UTI ENERGY INC      EQUITY 703481101   2885   96,998 SH       DEFINED   1                    96,998
PAXAR CORP.                   EQUITY 704227107    895   52,114 SH       DEFINED   1                    52,114
PAXSON COMMUNICATIONS CORP.   EQUITY 704231109    108    9,822 SH       DEFINED   1                     9,822
PAYCHEX INC                   EQUITY 704326107  38733  975,651 SH       Sole      3     925274                      47777
PAYCHEX INC                   EQUITY 704326107    268   44,150 SH       DEFINED   2                    44,150
PAYCHEX, INC.                 EQUITY 704326107   8515  214,480 SH       DEFINED   1                   214,480
PAYLESS SHOESOURCE, INC.      EQUITY 704379106   1717   28,119 SH       DEFINED   1                    28,119
PAYPAL INC COM                EQUITY 704508100  12864  675,300 SH       Sole      3     658100                      17200
PC CONNECTION INC             EQUITY 69318J100     22    2,061 SH       DEFINED   1                     2,061
PC-TEL  INC.                  EQUITY 69325Q105     37    4,233 SH       DEFINED   1                     4,233
PEABODY ENERGY CORP           EQUITY 704549104      5      186 SH       DEFINED   1                       186
PEC SOLUTIONS INC             EQUITY 705107100     12      472 SH       DEFINED   1                       472
PECO II INC                   EQUITY 705221109     21    4,287 SH       DEFINED   1                     4,287
PEDIATRIX MEDICAL GROUP       EQUITY 705324101    267    6,557 SH       DEFINED   1                     6,557
PEGASUS SATELLITE             EQUITY 705904100     40   13,387 SH       DEFINED   1                    13,387
PEGASUS SOLUTIONS INC.        EQUITY 705906105    142    7,654 SH       DEFINED   1                     7,654
PEMSTAR INC                   EQUITY 706552106     64    6,697 SH       DEFINED   1                     6,697
PENN ENGINERRING & MFG CORP   EQUITY 707389300     70    3,718 SH       DEFINED   1                     3,718
PENN NATIONAL GAMING, INC.    EQUITY 707569109     95    2,716 SH       DEFINED   1                     2,716
PENN VIRGINIA CORPORATION     EQUITY 707882106    100    2,492 SH       DEFINED   1                     2,492
PENNFED FINANCIAL SVCS INC    EQUITY 708167101     49    1,801 SH       DEFINED   1                     1,801
PENNSYLVANIA REAL ESTATE INV. EQUITY 709102107    105    4,111 SH       DEFINED   1                     4,111
PENNZOIL-QUAKER STATE CO.     EQUITY 709323109   2678  124,750 SH       DEFINED   1                   124,750
PENTAIR INC.                  EQUITY 709631105   2794   62,131 SH       DEFINED   1                    62,131
PENTON MEDIA INC              EQUITY 709668107     55    7,242 SH       DEFINED   1                     7,242
PENWEST PHARMACEUTICALS CO    EQUITY 709754105     81    4,182 SH       DEFINED   1                     4,182
PEOPLES BANK                  EQUITY 710198102      6      244 SH       DEFINED   1                       244
PEOPLES ENERGY CORP.          EQUITY 711030106   6653  168,946 SH       DEFINED   1                   168,946
PEOPLES HOLDING COMPANY       EQUITY 711148106     67    1,765 SH       DEFINED   1                     1,765
PEOPLESOFT, INC.              EQUITY 712713106   9522  260,670 SH       DEFINED   1                   260,670
PEP BOYS-MANNY, MOE & JACK    EQUITY 713278109    235   14,143 SH       DEFINED   1                    14,143
PEPSI BOTTLING                EQUITY 713409100   3788  146,428 SH       DEFINED   1                   146,428
PEPSIAMERICAS INC             EQUITY 71343P200   2838  196,825 SH       DEFINED   1                   196,825
Pepsico                       EQUITY 713448108   1803   35,000 SH       DEFINED   4                    35,000
PEPSICO INC                   EQUITY 713448108   2435    6,800 SH       DEFINED   2                     6,800
PEPSICO, INC.                 EQUITY 713448108  50723  984,910 SH       DEFINED   1                   984,910
PEREGRINE PHARMACEUTICALS INC EQUITY 713661106     73   33,784 SH       DEFINED   1                    33,784
PEREGRINE SYSTEMS, INC.       EQUITY 71366Q101     24    2,516 SH       DEFINED   1                     2,516
PEREZ COMPANC SA- SPON ADR    EQUITY 71367B103    122   44,400 SH       DEFINED   1                    44,400
PERFORMANCE FOOD GROUP CO.    EQUITY 713755106    445   13,625 SH       DEFINED   1                    13,625
PERFORMANCE TECHNOLOGIES INC  EQUITY 71376K102     25    3,095 SH       DEFINED   1                     3,095
PERICOM SEMICONDUCTOR CORP    EQUITY 713831105     94    6,662 SH       DEFINED   1                     6,662





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                                                                                                           VOTING AUTHORITY
                                        TITLE    CUSIP   VALUE    SHRS OR  SH  PUT/ INVSTMT OTHR ----------------------------
NAME OF ISSUER                          CLASS           (X$1000)  PRN AMT  PR  CALL DSCRETN MGRS    SOLE    SHARED  NONE
-----------------------------------------------------------------------------------------------------------------------------
                                                                                    
PERINI CORP                             EQUITY 713839108  27079  4,709,377 SH       DEFINED   1           4,709,377
PERKINELMER INC.                        EQUITY 714046109   2026    109,496 SH       DEFINED   1             109,496
PEROT SYS CORP CL A                     EQUITY 714265105   2366    118,600 SH       Sole      3    116500            2100
PEROT SYSTEM CORP.                      EQUITY 714265105    387     19,386 SH       DEFINED   1              19,386
PERRIGO CO.                             EQUITY 714290103   1329    111,239 SH       DEFINED   1             111,239
PER-SE TECHNOLOGIES                     EQUITY 713569309    117      9,692 SH       DEFINED   1               9,692
PETROLEO BRASILEIRO S.A. - ADR          EQUITY 71654V101   1643     65,900 SH       DEFINED   1              65,900
PETROLEO BRASILEIRO S.A. ADR            EQUITY 71654V408   1620     61,200 SH       DEFINED   1              61,200
PETROQUEST ENERGY INC                   EQUITY 716748108     40      6,992 SH       DEFINED   1               6,992
PETSMART, INC                           EQUITY 716768106    418     30,801 SH       DEFINED   1              30,801
PF CHANGS CHINA BISTRO COM              EQUITY 69333Y108  11220    168,400 SH       Sole      3    168400
PFF BANCORP, INC.                       EQUITY 69331W104    111      3,568 SH       DEFINED   1               3,568
PFIZER, INC.                            EQUITY 717081103 176405  4,438,973 SH       DEFINED   1           4,438,973
PFIZER, INC.                            EQUITY 717081103   7598  1,152,258 SH       DEFINED   2           1,152,258
PHARMACEUTICAL PRODUCT DEVELOPMENT      EQUITY 717124101     20        572 SH       DEFINED   1                 572
PHARMACEUTICAL RES INC COM              EQUITY 717125108    123      5,802 SH       DEFINED   1               5,802
PHARMACIA CORP.                         EQUITY 71713U102    987     14,670 SH       DEFINED   2              14,670
PHARMACIA CORPORATION                   EQUITY 71713U102  50058  1,110,430 SH       DEFINED   1           1,110,430
PHARMACOPEIA INC                        EQUITY 71713B104     92      6,911 SH       DEFINED   1               6,911
PHARMACYCLICS INC.                      EQUITY 716933106     39      5,026 SH       DEFINED   1               5,026
PHARMOS CORP                            EQUITY 717139208     29     17,236 SH       DEFINED   1              17,236
Phelps Dodge                            CORPBO 717265AK8   2938  3,000,000 PR       DEFINED   4           3,000,000
PHELPS DODGE CORP.                      EQUITY 717265102   1584     37,630 SH       DEFINED   1              37,630
PHILADELPHIA CONS. HLDG. CO.            EQUITY 717528103    142      3,567 SH       DEFINED   1               3,567
PHILADELPHIA SUBURBAN CORP.             EQUITY 718009608    415     17,639 SH       DEFINED   1              17,639
PHILIP MORRIS COMPANIES, INC.           EQUITY 718154107  73710  1,399,470 SH       DEFINED   1           1,399,470
PHILIP MORRIS COS INC                   EQUITY 718154107    509    136,500 SH       DEFINED   2             136,500
PHILLIPINES LONG DISTANCE TELE ADR      EQUITY 718252604    580     55,800 SH       DEFINED   1              55,800
PHILLIPS PETROLEUM CO.                  EQUITY 718507106  10847    172,720 SH       DEFINED   1             172,720
PHILLIPS-VAN HEUSEN CORP.               EQUITY 718592108    100      7,078 SH       DEFINED   1               7,078
PHOENIX TECHNOLOGIES, LTD.              EQUITY 719153108     99      7,237 SH       DEFINED   1               7,237
PHOTON DYNAMICS                         EQUITY 719364101    221      4,341 SH       DEFINED   1               4,341
PHOTON DYNAMICS INC                     EQUITY 719364101    539     10,000 SH       DEFINED   2              10,000
PHOTRONICS INC.                         EQUITY 719405102    274      8,130 SH       DEFINED   1               8,130
PICO HOLDINGS INC                       EQUITY 693366205     49      3,322 SH       DEFINED   1               3,322
PIEDMONT NATURAL GAS CO., INC.          EQUITY 720186105    338      9,484 SH       DEFINED   1               9,484
PIER 1 IMPORTS, INC.                    EQUITY 720279108    597     28,985 SH       DEFINED   1              28,985
PILGRIMS PRIDE CORP.                    EQUITY 721467108     66      4,673 SH       DEFINED   1               4,673
PINNACLE HOLDINGS, INC.                 EQUITY 72346N101      1     13,158 SH       DEFINED   1              13,158
PINNACLE SYSTEMS, INC.                  EQUITY 723481107    140     17,604 SH       DEFINED   1              17,604
PINNACLE WEST CAPITAL CORP.             EQUITY 723484101   1750     38,583 SH       DEFINED   1              38,583
PIONEER NATURAL RESOURCES CORP          EQUITY 723787107   2938    131,824 SH       DEFINED   1             131,824
PIONEER-STANDARD ELECTRONICS            EQUITY 723877106    122      8,605 SH       DEFINED   1               8,605
PITNEY BOWES, INC.                      EQUITY 724479100   4983    116,433 SH       DEFINED   1             116,433
PITTSTON BRINK'S GROUP                  EQUITY 725701106   2136     85,095 SH       DEFINED   1              85,095
PIXAR INC                               EQUITY 725811103      9        246 SH       DEFINED   1                 246
PIXELWORKS INC                          EQUITY 72581M107     88      6,823 SH       DEFINED   1               6,823
PLACER DOME INC.                        EQUITY 725906101   1818    148,390 SH       DEFINED   1             148,390
PLAINS RESOURCES, INC.                  EQUITY 726540503    186      7,461 SH       DEFINED   1               7,461
PLANAR SYSTEMS, INC.                    EQUITY 726900103     87      3,301 SH       DEFINED   1               3,301
PLANTRONICS, INC.                       EQUITY 727493108   1438     68,722 SH       DEFINED   1              68,722




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE     SHARED     NONE
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PLATO LEARNING INC                     EQUITY    72764Y100        77      4,360  SH       DEFINED    1                4,360
PLAYBOY ENTERPRISES, INC.              EQUITY    728117300        69      4,050  SH       DEFINED    1                4,050
PLAYTEX PRODUCTS, INC.                 EQUITY    72813P100        90      8,306  SH       DEFINED    1                8,306
PLEXUS CORP.                           EQUITY    729132100      1548     65,612  SH       DEFINED    1               65,612
PLUG POWER INC                         EQUITY    72919P103         2        176  SH       DEFINED    1                  176
PLUM CREEK TIMBER CO INC               EQUITY    729251108      2506     84,365  SH       DEFINED    1               84,365
PLX TECHNOLOGY, INC.                   EQUITY    693417107        64      5,267  SH       DEFINED    1                5,267
PMA CAPITAL CORP.                      EQUITY    693419202       117      5,115  SH       DEFINED    1                5,115
PMC-SIERRA, INC.                       EQUITY    69344F106      1332     81,833  SH       DEFINED    1               81,833
PMI GROUP INC COM                      EQUITY    69344M101     51602    681,120  SH       Sole       3    666620              14500
PMI GROUP, INC.                        EQUITY    69344M101      5371     70,889  SH       DEFINED    1               70,889
PNC FINANCIAL SERVICES                 EQUITY    693475105      8978    146,010  SH       DEFINED    1              146,010
PNC Funding Corp                       CORPBOND  69347CAA8      4938  5,000,000  PRN      DEFINED    4            5,000,000
PNM RESOURCES INC                      EQUITY    69349H107      1882     61,377  SH       DEFINED    1               61,377
POGO PRODUCING CO                      EQUITY    730448107        20        622  SH       DEFINED    1                  622
POGO PRODUCING CO COM                  EQUITY    730448107     40432  1,275,456  SH       Sole       3   1244026              31430
POHANG IRON AND STEEL COMPANY ADR      EQUITY    730450103       523     20,000  SH       DEFINED    1               20,000
POLARIS INDUSTRIES, INC.               EQUITY    731068102       455      7,146  SH       DEFINED    1                7,146
POLO RALPH LAUREN CO                   EQUITY    731572103        15        516  SH       DEFINED    1                  516
POLYCOM INC COM                        EQUITY    73172K104     27029  1,098,732  SH       Sole       3    988300             102732
POLYCOM, INC.                          EQUITY    73172K104      3119    126,796  SH       DEFINED    1              126,796
POLYMEDICA CORP                        EQUITY    731738100        93      3,663  SH       DEFINED    1                3,663
POLYONE CORPORATION                    EQUITY    73179P106       294     24,059  SH       DEFINED    1               24,059
POMEROY COMPUTER RESOURCES             EQUITY    731822102        47      3,103  SH       DEFINED    1                3,103
POPE & TALBOT, INC.                    EQUITY    732827100        71      4,861  SH       DEFINED    1                4,861
POPULAR INC                            EQUITY    733174106        39      1,344  SH       DEFINED    1                1,344
PORT FINANCIAL CORPORATION             EQUITY    734119100        52      1,638  SH       DEFINED    1                1,638
PORTAL SOFTWARE                        EQUITY    736126103        58     30,601  SH       DEFINED    1               30,601
POSSIS MEDICAL INC                     EQUITY    737407106       104      5,282  SH       DEFINED    1                5,282
POST PROPERTIES, INC.                  EQUITY    737464107      7635    227,245  SH       DEFINED    1              227,245
POTLATCH CORP.                         EQUITY    737628107      1496     44,401  SH       DEFINED    1               44,401
Potomac Edison                         CORPBOND  737662BB1      8118  8,000,000  PRN      DEFINED    4            8,000,000
POTOMAC ELECTRIC POWER CO.             EQUITY    737679100      3178    136,088  SH       DEFINED    1              136,088
POWELL INDUSTRIES INC                  EQUITY    739128106        44      1,972  SH       DEFINED    1                1,972
POWER INTEGRATIONS, INC.               EQUITY    739276103       156      8,183  SH       DEFINED    1                8,183
POWER-ONE, INC.                        EQUITY    739308104       296     36,246  SH       DEFINED    1               36,246
POWERWAVE TECHNOLOGIES INC             EQUITY    739363109      1295    100,652  SH       DEFINED    1              100,652
POZEN INC.                             EQUITY    73941U102        35      6,071  SH       DEFINED    1                6,071
PPG INDUSTRIES, INC.                   EQUITY    693506107      5848    106,510  SH       DEFINED    1              106,510
PPL CORPORATION                        EQUITY    69351T106      2865     72,334  SH       DEFINED    1               72,334
PRAECIS PHARMACEUTICALS INC            EQUITY    739421105        83     15,891  SH       DEFINED    1               15,891
Praxair Inc                            CORPBOND  74005PAJ3      2972  3,000,000  PRN      DEFINED    4            3,000,000
PRAXAIR INC                            EQUITY    74005P104       431     24,900  SH       DEFINED    2               24,900
PRAXAIR, INC.                          EQUITY    74005P104      6900    115,377  SH       DEFINED    1              115,377
PRECISION CASTPARTS CORP.              EQUITY    740189105      2327     65,708  SH       DEFINED    1               65,708
PRENTISS PROPERTIES TRUST              EQUITY    740706106       287      9,719  SH       DEFINED    1                9,719
PREPAID LEGAL SERVICES, INC.           EQUITY    740065107       137      4,783  SH       DEFINED    1                4,783
PRESIDENTIAL LIFE CORP.                EQUITY    740884101       153      6,745  SH       DEFINED    1                6,745
PRESSTEK INC                           EQUITY    741113104        55      9,531  SH       DEFINED    1                9,531
PRG-SCHULTZ INTERNATIONAL              EQUITY    69357C107       147     10,456  SH       DEFINED    1               10,456
PRI AUTOMATION INC.                    EQUITY    69357H106       171      7,333  SH       DEFINED    1                7,333
PRICE COMMUNICATIONS CO.               EQUITY    741437305      1482     83,999  SH       DEFINED    1               83,999
PRICE LEGACY CORP PFD                  EQUITY    74144P205        91      5,900  SH       DEFINED    1                5,900




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE     SHARED     NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
PRICELINE.COM INC.                     EQUITY    741503106       170     32,524  SH       DEFINED    1               32,524
PRICESMART, INC.                       EQUITY    741511109        43      1,166  SH       DEFINED    1                1,166
PRIDE INTERNATIONAL                    EQUITY    74153Q102      2682    168,684  SH       DEFINED    1              168,684
PRIDE INTERNATIONAL INC                EQUITY    74153Q102      1264     19,700  SH       DEFINED    2               19,700
PRIMA ENERGY CORP                      EQUITY    741901201        75      3,021  SH       DEFINED    1                3,021
PRIME GROUP REALTY TRUST               EQUITY    74158J103        14      1,808  SH       DEFINED    1                1,808
PRIME HOSPITALITY CORP.                EQUITY    741917108       183     13,935  SH       DEFINED    1               13,935
PRINCETON REVIEW INC                   EQUITY    742352107       654     61,900  SH       DEFINED    2               61,900
PRINCIPAL FINANCIAL GROUP              EQUITY    74251V102     20008    790,820  SH       DEFINED    1              790,820
PRIORITY HEALTHCARE                    EQUITY    74264T102         8        306  SH       DEFINED    1                  306
PRIVATE MEDIA GROUP INC                EQUITY    74266R104        25      4,460  SH       DEFINED    1                4,460
PROASSURANCE CORPORATION               EQUITY    74267C106       128      7,099  SH       DEFINED    1                7,099
PROBUSINESS SERVICES INC.              EQUITY    742674104       118      5,489  SH       DEFINED    1                5,489
PROCTER & GAMBLE CO.                   EQUITY    742718109     74399    825,825  SH       DEFINED    1              825,825
PROFESSIONAL DETAILING, INC.           EQUITY    69329V100        41      2,404  SH       DEFINED    1                2,404
PROGENICS PHARMACEUTICALS              EQUITY    743187106        37      2,481  SH       DEFINED    1                2,481
Progress Energy                        EQUITY    743263105      8757    175,000  SH       DEFINED    4              175,000
PROGRESS ENERGY INC.                   EQUITY    743263105      5069    101,297  SH       DEFINED    1              101,297
PROGRESS SOFTWARE CORP.                EQUITY    743312100       165      9,084  SH       DEFINED    1                9,084
PROGRESSIVE CORP.                      EQUITY    743315103      5621     33,737  SH       DEFINED    1               33,737
PROLOGIS TR SH BEN INT                 EQUITY    743410102     19183    821,540  SH       Sole       3    670024             151516
PROLOGIS TRUST                         EQUITY    743410102        29      1,235  SH       DEFINED    1                1,235
PROQUEST CO.                           EQUITY    74346P102       182      4,231  SH       DEFINED    1                4,231
PROSPERITY BANCSHARES INC              EQUITY    743606105        55      1,703  SH       DEFINED    1                1,703
PROTECTIVE LIFE CORP COM               EQUITY    743674103      2707     86,820  SH       DEFINED    1               86,820
PROTEIN DESIGN LABS, INC.              EQUITY    74369L103      1955    114,127  SH       DEFINED    1              114,127
PROTON ENERGY SYSTEMS                  EQUITY    74371K101        67     10,343  SH       DEFINED    1               10,343
PROVIDENT BANCORP INC                  EQUITY    743835100        26        969  SH       DEFINED    1                  969
PROVIDENT BANKSHARES CORP.             EQUITY    743859100       191      7,956  SH       DEFINED    1                7,956
PROVIDENT FINANCIAL GROUP              EQUITY    743866105      1791     62,193  SH       DEFINED    1               62,193
Providian Capital                      CORPBOND  743973AA7       886  4,000,000  PRN      DEFINED    4            4,000,000
PROVIDIAN FINANCIAL CORP.              EQUITY    74406A102       970    128,462  SH       DEFINED    1              128,462
PROVINCE HEALTHCARE CO.                EQUITY    743977100       313      9,851  SH       DEFINED    1                9,851
PROXIM, INC.                           EQUITY    744284100        41      9,611  SH       DEFINED    1                9,611
PRUDENTIAL FINANCIAL INC               EQUITY    744320102    113350  3,650,550  SH       DEFINED    1            3,650,550
PS BUSINESS PARKS, INC.                EQUITY    69360J107       116      3,326  SH       DEFINED    1                3,326
PS BUSINESS PKS INC CA COM             EQUITY    69360J107     11843    340,800  SH       Sole       3    277820              62980
PSEG ENERGY HOLDINGS                   EQUITY    744573106     20257    442,285  SH       DEFINED    1              442,285
PSS WORLD MEDICAL, INC                 EQUITY    69366A100       217     22,151  SH       DEFINED    1               22,151
PUBLIC STORAGE INC                     EQUITY    74460D109        33        893  SH       DEFINED    1                  893
Public Svc Enterprise Group            EQUITY    744573106      3893     85,000  SH       DEFINED    4               85,000
PUGET ENEGY INC.                       EQUITY    745310102     10877    523,205  SH       DEFINED    1              523,205
PULITZER INC.                          EQUITY    745769109       137      2,568  SH       DEFINED    1                2,568
PULTE HOMES INC.                       EQUITY    745867101      2115     44,197  SH       DEFINED    1               44,197
PUMA TECHNOLOGY INC                    EQUITY    745887109        16     11,737  SH       DEFINED    1               11,737
PURE RESOURCES INC                     EQUITY    74622E102        94      4,185  SH       DEFINED    1                4,185
PYR ENERGY CORP                        EQUITY    693677106         9      4,505  SH       DEFINED    1                4,505
QLOGIC CORP                            EQUITY    747277101      2906     13,200  SH       DEFINED    2               13,200
QLOGIC CORP COM                        EQUITY    747277101     10577    213,600  SH       Sole       3    186700              25100
QLOGIC CORP.                           EQUITY    747277101      2276     45,955  SH       DEFINED    1               45,955
QRS CORP.                              EQUITY    74726X105        49      4,190  SH       DEFINED    1                4,190
QUAKER CHEM CORP COM                   EQUITY    747316107        56      2,419  SH       DEFINED    1                2,419
QUAKER CIRY BANCORP INC                EQUITY    74731K106        37      1,176  SH       DEFINED    1                1,176




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE     SHARED     NONE
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QUAKER FABRIC CORP.                    EQUITY    747399103        40      3,613  SH       DEFINED    1                3,613
QUALCOMM INC                           EQUITY    747525103         5     77,200  SH       DEFINED    2               77,200
QUALCOMM, INC.                         EQUITY    747525103     26085    693,000  SH       DEFINED    1              693,000
QUANEX CORP.                           EQUITY    747620102       148      4,168  SH       DEFINED    1                4,168
QUANTA SERVICES, INC.                  EQUITY    74762E102      1798    103,969  SH       DEFINED    1              103,969
QUANTUM CORP DLT & STORAGE             EQUITY    747906204      1570    197,233  SH       DEFINED    1              197,233
Quest Diagnostics                      EQUITY    74834L100      2560     30,900  SH       DEFINED    4               30,900
QUEST DIAGNOSTICS, INC.                EQUITY    74834L100     10192    123,012  SH       DEFINED    1              123,012
QUEST SOFTWARE INC                     EQUITY    74834T103         7        495  SH       DEFINED    1                  495
QUESTAR CORP.                          EQUITY    748356102      3734    145,252  SH       DEFINED    1              145,252
QUICKSILVER RESOURCES INC              EQUITY    74837R104        58      2,534  SH       DEFINED    1                2,534
QUICKSILVER, INC.                      EQUITY    74838C106       148      6,782  SH       DEFINED    1                6,782
QUIKSILVER INC                         EQUITY    74838C106        45     51,300  SH       DEFINED    2               51,300
QUINTILES TRANSNATIONAL CORP.          EQUITY    748767100       984     55,459  SH       DEFINED    1               55,459
QUIXOTE CORP                           EQUITY    749056107        37      1,977  SH       DEFINED    1                1,977
QWEST COMMUNICATIONS INTL.             EQUITY    749121109      6462    786,179  SH       DEFINED    1              786,179
R&G FINANCIAL CO.                      EQUITY    749136107        64      3,189  SH       DEFINED    1                3,189
R. R. DONNELLEY AND SONS CO.           EQUITY    257867101      1726     55,485  SH       DEFINED    1               55,485
R.H. DONNELLEY CORP.                   EQUITY    74955W307       280      9,199  SH       DEFINED    1                9,199
R.O.C. TAIWAN FUND                     EQUITY    749651105      1630    320,800  SH       DEFINED    1              320,800
RADIAN GROUP INC COM                   EQUITY    750236101    109240  2,225,760  SH       Sole       3   2104650             115010
RADIAN GROUP, INC.                     EQUITY    750236101      5826    118,702  SH       DEFINED    1              118,702
RADIANT SYSTEMS, INC.                  EQUITY    75025N102        42      4,627  SH       DEFINED    1                4,627
RADIO ONE INC -CL D                    EQUITY    75040P405        14        683  SH       DEFINED    1                  683
RADIO ONE INC CL D NON VTG             EQUITY    75040P405     60832  2,953,010  SH       Sole       3   2882564              70446
RADIOSHACK CORP.                       EQUITY    750438103      2512     83,627  SH       DEFINED    1               83,627
RADISYS CORP.                          EQUITY    750459109        89      4,948  SH       DEFINED    1                4,948
RAILAMERICA INC                        EQUITY    750753105        71      6,738  SH       DEFINED    1                6,738
RAILWORKS CORP                         EQUITY    750789109       800    121,500  SH       DEFINED    2              121,500
RAINBOW TECHNOLOGIES INC               EQUITY    750862104        72      7,205  SH       DEFINED    1                7,205
RAIT INVESTMENT TRUST                  EQUITY    749227104      3023    150,000  SH       DEFINED    1              150,000
RALCORP HOLDINGS, INC.                 EQUITY    751028101       253      9,316  SH       DEFINED    1                9,316
RAMBUS INC.                            EQUITY    750917106       202     25,916  SH       DEFINED    1               25,916
RANGE RESOURCES CORP                   EQUITY    75281A109        79     15,171  SH       DEFINED    1               15,171
RARE HOSPITALITY INTERNATIONAL         EQUITY    753820109       170      6,679  SH       DEFINED    1                6,679
RATIONALE SOFTWARE CORP                EQUITY    75409P202      1506     95,164  SH       DEFINED    1               95,164
RAYMOND JAMES FINANCIAL, INC.          EQUITY    754730109       407     11,883  SH       DEFINED    1               11,883
RAYONIER, INC.                         EQUITY    754907103      3921     73,589  SH       DEFINED    1               73,589
RAYOVAC CORP.                          EQUITY    755081106        98      6,370  SH       DEFINED    1                6,370
RAYTHEON CO                            EQUITY    755111507       919     19,500  SH       DEFINED    2               19,500
RAYTHEON CO COM NEW                    EQUITY    755111507      3653     89,000  SH       Sole       3     89000
RAYTHEON CO.                           EQUITY    755111507      8840    215,353  SH       DEFINED    1              215,353
RCN CORP.                              EQUITY    749361101        14     10,092  SH       DEFINED    1               10,092
READER'S DIGEST ASSOC., INC. CLASS A   EQUITY    755267101      2829    126,220  SH       DEFINED    1              126,220
READ-RITE CORP.                        EQUITY    755246105       114     37,172  SH       DEFINED    1               37,172
REALNETWORKS, INC.                     EQUITY    75605L104         9      1,321  SH       DEFINED    1                1,321
REALTY INCOME CORP COM                 EQUITY    756109104      5292    159,400  SH       Sole       3    141500              17900
REALTY INCOME CORP.                    EQUITY    756109104       339     10,201  SH       DEFINED    1               10,201
RECKSON ASSOC REALTY CORP.             EQUITY    75621K106       278     11,292  SH       DEFINED    1               11,292
RECKSON ASSOCS RLTY CL B               EQUITY    75621K304      4822    187,200  SH       Sole       3    166200              21000
RECKSON ASSOCS RLTY COM                EQUITY    75621K106     22677    919,600  SH       Sole       3    754911             164689
RECOTON CORP.                          EQUITY    756268108        14      3,020  SH       DEFINED    1                3,020
RED HAT, INC.                          EQUITY    756577102        48      8,410  SH       DEFINED    1                8,410




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE     SHARED     NONE
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REDBACK NETWORKS INC                   EQUITY    757209101         7      1,942  SH       DEFINED    1                1,942
REDWOOD TRUST, INC.                    EQUITY    758075402        61      2,225  SH       DEFINED    1                2,225
REEBOK INTERNATIONAL, LTD.             EQUITY    758110100       725     26,814  SH       DEFINED    1               26,814
REGAL-BELOIT CORP.                     EQUITY    758750103       152      5,935  SH       DEFINED    1                5,935
REGENCY CENTERS CORPORATION            EQUITY    758849103       210      7,220  SH       DEFINED    1                7,220
REGENCY CTRS CORP COM                  EQUITY    758849103     11620    400,400  SH       Sole       3    325862              74538
REGENERATION TECHNOLOGIES              EQUITY    75886N100        28      3,925  SH       DEFINED    1                3,925
REGENERON PHARMACEUTICALS INC.         EQUITY    75886F107       204      8,152  SH       DEFINED    1                8,152
REGENT COMMUNICATIONS, INC             EQUITY    758865109        49      5,961  SH       DEFINED    1                5,961
REGIONS FINANCIAL CORP.                EQUITY    758940100      3610    105,088  SH       DEFINED    1              105,088
REGIS CORP.                            EQUITY    758932107       321     11,445  SH       DEFINED    1               11,445
REGISTER.COM                           EQUITY    75914G101        54      6,059  SH       DEFINED    1                6,059
REHAB CARE GROUP                       EQUITY    759148109       141      4,935  SH       DEFINED    1                4,935
REINSURANCE GROUP OF                   EQUITY    759351109         5        173  SH       DEFINED    1                  173
RELIANCE STEEL & ALUMINIUM CO.         EQUITY    759509102       204      7,410  SH       DEFINED    1                7,410
RELIANT ENERGY, INC.                   EQUITY    75952J108      3671    142,350  SH       DEFINED    1              142,350
RELIANT RESOURCES INC                  EQUITY    75952B105      1042     61,611  SH       DEFINED    1               61,611
REMEC, INC.                            EQUITY    759543101       130     14,010  SH       DEFINED    1               14,010
REMINGTON OIL & GAS CORP               EQUITY    759594302       103      5,097  SH       DEFINED    1                5,097
RENAISSANCE LEARNING, INC.             EQUITY    75968L105        79      2,424  SH       DEFINED    1                2,424
Renaissancere                          CORPBOND  759936AC1      4194  5,000,000  PRN      DEFINED    4            5,000,000
RENAL CARE GROUP, INC.                 EQUITY    759930100       502     15,312  SH       DEFINED    1               15,312
RENT-A-CENTER INC                      EQUITY    76009N100       113      2,206  SH       DEFINED    1                2,206
RENT-WAY, INC.                         EQUITY    76009U104        64      7,631  SH       DEFINED    1                7,631
REPUBLIC BANCORP, INC.                 EQUITY    760281204       235     17,360  SH       DEFINED    1               17,360
REPUBLIC BANCSHARES, INC.              EQUITY    759929102        25      1,471  SH       DEFINED    1                1,471
REPUBLIC SERVICES IN                   EQUITY    760759100      4003    214,267  SH       DEFINED    1              214,267
REPUBLIC SVCS INC                      EQUITY    760759100       782     49,200  SH       DEFINED    2               49,200
RESEARCH FRONTIERS                     EQUITY    760911107        54      3,044  SH       DEFINED    1                3,044
RESMED INC                             EQUITY    761152107        19        474  SH       DEFINED    1                  474
RESORTQUEST INTL INC                   EQUITY    761183102        37      5,025  SH       DEFINED    1                5,025
RESOURCE AMERICA, INC.                 EQUITY    761195205        53      4,782  SH       DEFINED    1                4,782
RESOURCES CONNECTION INC               EQUITY    76122Q105        60      2,081  SH       DEFINED    1                2,081
RESPIRONICS INC.                       EQUITY    761230101       308      9,491  SH       DEFINED    1                9,491
RETEK INC                              EQUITY    76128Q109       341      1,200  SH       DEFINED    2                1,200
RETEK INC COM                          EQUITY    76128Q109     34567  1,316,823  SH       Sole       3   1292323              24500
RETEK INC.                             EQUITY    76128Q109      1700     64,756  SH       DEFINED    1               64,756
REVLON, INC.-CL A                      EQUITY    761525500        16      2,465  SH       DEFINED    1                2,465
REYNOLDS AND REYNOLDS CO., CLASS A     EQUITY    761695105      2659     88,619  SH       DEFINED    1               88,619
RF MICRO DEVICES INC                   EQUITY    749941100      3891    217,376  SH       DEFINED    1              217,376
RF MONOLITHICS INC COM(OXFORD PTNRS L  EQUITY    74955F106        20      4,973  SH       DEFINED    1                4,973
RFS HOTEL INVESTORS, INC.              EQUITY    74955J108       116      7,861  SH       DEFINED    1                7,861
RGS ENERGY GROUP, INC.                 EQUITY    74956K104       424     10,795  SH       DEFINED    1               10,795
RIBOZYME PHARMACEUTICALS INC           EQUITY    762567105        12      4,107  SH       DEFINED    1                4,107
RICHARDSON ELEC LTD                    EQUITY    763165107        20      1,610  SH       DEFINED    1                1,610
RIGEL PHARMACEUTICALS INC              EQUITY    766559108        29      8,189  SH       DEFINED    1                8,189
RIGGS NATIONAL CORP.                   EQUITY    766570105        61      3,965  SH       DEFINED    1                3,965
RIGHT MANAGEMENT CONSULTANTS           EQUITY    766573109        75      2,962  SH       DEFINED    1                2,962
RITE AID CORP                          EQUITY    767754104        17      5,003  SH       DEFINED    1                5,003
Riverdeep Group PLC USD0.01 Spons ADR  EQUITY    76870Q109      1129     50,500  SH       DEFINED    1               50,500
RIVERSTONE NETWORKS INC                EQUITY    769320102        10      1,586  SH       DEFINED    1                1,586
RIVIANA FOODS                          EQUITY    769536103        39      1,805  SH       DEFINED    1                1,805
RIVIERA HOLDINGS CORP                  EQUITY    769627100      2600    500,000  SH       DEFINED    1              500,000




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE     SHARED     NONE
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RJ Reynolds                            EQUITY    76182K105      7123    110,000  SH       DEFINED    4              110,000
RJ REYNOLDS TOBACCO HOLDINGS           EQUITY    76182K105      7650    118,145  SH       DEFINED    1              118,145
RLI CORP.                              EQUITY    749607107       106      2,049  SH       DEFINED    1                2,049
ROADWAY CORP.                          EQUITY    769742107       136      3,682  SH       DEFINED    1                3,682
ROANOKE ELECTRIC STEEL CORP            EQUITY    769841107        46      3,399  SH       DEFINED    1                3,399
ROBBINS & MYERS, INC.                  EQUITY    770196103        67      2,462  SH       DEFINED    1                2,462
ROBERT HALF INTERNATIONAL INC.         EQUITY    770323103      2407     81,523  SH       DEFINED    1               81,523
ROCK-TENN CO., CLASS A                 EQUITY    772739207        78      3,635  SH       DEFINED    1                3,635
ROCKWELL AUTOMATION INC                EQUITY    773903109      3046    151,835  SH       DEFINED    1              151,835
Rockwell Collins                       EQUITY    774341101        25        990  SH       DEFINED    1                  990
ROCKWELL COLLINS INC                   EQUITY    774341101       378     31,000  SH       DEFINED    2               31,000
ROGERS CORP.                           EQUITY    775133101       162      4,888  SH       DEFINED    1                4,888
ROHM AND HAAS CO.                      EQUITY    775371107      4274    101,114  SH       DEFINED    1              101,114
ROHN INDUSTRIES, INC.                  EQUITY    775381106         8      5,341  SH       DEFINED    1                5,341
ROLLINS, INC.                          EQUITY    775711104       892     42,278  SH       DEFINED    1               42,278
ROPER INDS INC NEW COM                 EQUITY    776696106     43427    873,082  SH       Sole       3    858282              14800
ROPER INDUSTRIES, INC.                 EQUITY    776696106       453      9,111  SH       DEFINED    1                9,111
ROSLYN BANCORP, INC.                   EQUITY    778162107      2305    111,367  SH       DEFINED    1              111,367
ROSS STORES INC                        EQUITY    778296103       241     10,000  SH       DEFINED    2               10,000
ROSS STORES, INC.                      EQUITY    778296103      3813    100,784  SH       DEFINED    1              100,784
Rostelecom ADR                         EQUITY    778529107       502     65,000  SH       DEFINED    1               65,000
ROUSE CO                               EQUITY    779273101        18        572  SH       DEFINED    1                  572
ROUSE CO COM                           EQUITY    779273101     18684    603,100  SH       Sole       3    490779             112321
ROWAN COMPANIES, INC.                  EQUITY    779382100      1479     64,179  SH       DEFINED    1               64,179
ROXIO INC                              EQUITY    780008108       119      5,249  SH       DEFINED    1                5,249
Royal & Sun Alliance                   CORPBOND  78004VAB9      7908  7,564,000  PRN      DEFINED    4            7,564,000
ROYAL BANCSHARES OF PENN-A             EQUITY    780081105        24      1,176  SH       DEFINED    1                1,176
Royal Caribbean                        CORPBOND  780153AL6      3378  3,500,000  PRN      DEFINED    4            3,500,000
Royal Caribbean                        CORPBOND  780153AG7      1590  2,000,000  PRN      DEFINED    4            2,000,000
Royal Caribbean                        CORPBOND  780153AH5      1217  1,375,000  PRN      DEFINED    4            1,375,000
ROYAL CARRIBBEAN CRUISES LTD           EQUITY    V7780T103        16        625  SH       DEFINED    2                  625
ROYAL DUTCH PETROLEUM CO. NY REG SH P  EQUITY    780257804     52724    970,620  SH       DEFINED    1              970,620
RPC                                    EQUITY    749660106        50      3,367  SH       DEFINED    1                3,367
RPM, INC.                              EQUITY    749685103      2694    173,229  SH       DEFINED    1              173,229
RSA SECURITY INC.                      EQUITY    749719100       641     71,274  SH       DEFINED    1               71,274
RTI INTERNATIONAL METALS, INC.         EQUITY    74973W107        75      6,501  SH       DEFINED    1                6,501
RUBY TUESDAY, INC.                     EQUITY    781182100       460     19,796  SH       DEFINED    1               19,796
RUDDICK CORP.                          EQUITY    781258108      1127     67,755  SH       DEFINED    1               67,755
RUDOLPH TECHNOLOGIES INC.              EQUITY    781270103       129      2,980  SH       DEFINED    1                2,980
RURAL CELLULAR                         EQUITY    781904107      2706     64,529  SH       DEFINED    1                2,232
RUSS BERRIE AND CO., INC.              EQUITY    782233100        92      2,859  SH       DEFINED    1                2,859
RUSSELL CORP.                          EQUITY    782352108       108      7,239  SH       DEFINED    1                7,239
RYAN'S FAMILY STEAK HOUSES             EQUITY    783519101       228      9,490  SH       DEFINED    1                9,490
RYDER SYSTEM, INC.                     EQUITY    783549108      1295     43,847  SH       DEFINED    1               43,847
RYERSON TULL, INC.                     EQUITY    78375P107        76      6,949  SH       DEFINED    1                6,949
RYLAND GROUP                           EQUITY    783764103       372      4,129  SH       DEFINED    1                4,129
RYLAND GROUP INC COM                   EQUITY    783764103     12790    141,800  SH       Sole       3    141800
S & P 500 FUTURE                       EQUITY    84749R100        38      1,592  SH       DEFINED    1                1,592
S J W CORP COM                         EQUITY    784305104        50        619  SH       DEFINED    1                  619
S&T BANCORP, INC.                      EQUITY    783859101       185      7,283  SH       DEFINED    1                7,283
S.Y. BANCORP INC                       EQUITY    785060104        62      1,709  SH       DEFINED    1                1,709
S1 CORPORATION                         EQUITY    78463B101       293     18,999  SH       DEFINED    1               18,999
SABA SOFTWARE INC                      EQUITY    784932105        33      7,993  SH       DEFINED    1                7,993




-------------------------------------------------------------------------------------------------------------------------------
                                                                                                              VOTING AUTHORITY
                                        TITLE      CUSIP   VALUE    SHRS OR  SH/ PUT/ INVSTMT OTHR ----------------------------
NAME OF ISSUER                          CLASS             (X$1000)  PRN AMT  PRN CALL DSCRETN MGRS    SOLE    SHARED  NONE
-------------------------------------------------------------------------------------------------------------------------------
                                                                                     
SABRE HOLDINGS CORP.                    EQUITY   785905100   2939     62,923 SH       DEFINED   1              62,923
Safeco Capital I                        CORPBOND 786427AC8   6750  7,500,000 PRN      DEFINED   4           7,500,000
SAFECO CORP.                            EQUITY   786429100   1889     58,950 SH       DEFINED   1              58,950
SAFEGUARD SCIENTIFICS, INC.             EQUITY   786449108    110     36,630 SH       DEFINED   1              36,630
SAFEWAY INC                             EQUITY   786514208  13004    288,860 SH       DEFINED   1             288,860
SAGA COMMUNICATIONS, INC. CLASS A       EQUITY   786598102     76      3,031 SH       DEFINED   1               3,031
SAKS INC.                               EQUITY   79377W108   2363    179,691 SH       DEFINED   1             179,691
SALEM COMMUNICATION- CLASS A            EQUITY   794093104     65      2,743 SH       DEFINED   1               2,743
SALIX PHARMACEUTICALS LTD               EQUITY   795435106    382     10,000 SH       DEFINED   2              10,000
SALIX PHARMACEUTICALS ORD               EQUITY   795435106   7314    417,200 SH       Sole      3    417200
SALTON, INC.                            EQUITY   795757103     35      1,762 SH       DEFINED   1               1,762
SANCHEZ COMPUTER ASSOCIATES             EQUITY   799702105     28      4,159 SH       DEFINED   1               4,159
SANDERSON FARMS, INC.                   EQUITY   800013104     40      1,476 SH       DEFINED   1               1,476
SANDISK CORP.                           EQUITY   80004C101   1883     86,767 SH       DEFINED   1              86,767
SANDY SPRING BANCORP, INC.              EQUITY   800363103    146      4,502 SH       DEFINED   1               4,502
SANGAMO BIOSCIENCES INC                 EQUITY   800677106     31      3,353 SH       DEFINED   1               3,353
SANGSTAT MEDICAL CORP.                  EQUITY   801003104    155      5,773 SH       DEFINED   1               5,773
SANMINA - SCI CORP                      EQUITY   800907107   3271    278,362 SH       DEFINED   1             278,362
SANTANDER BANCORP                       EQUITY   802809103     48      2,433 SH       DEFINED   1               2,433
SAPIENT CORP.                           EQUITY   803062108    398     83,834 SH       DEFINED   1              83,834
SARA LEE CORP.                          EQUITY   803111103   9158    441,120 SH       DEFINED   1             441,120
SATCON TECHNOLOGY GROUP                 EQUITY   803893106     10      3,119 SH       DEFINED   1               3,119
SATYAM COMPUTER SERVICES-ADR            EQUITY   804098101   1069     85,500 SH       DEFINED   1              85,500
SAUER-DANFOSS INC.                      EQUITY   804137107     33      3,161 SH       DEFINED   1               3,161
SAUL CENTERS, INC.                      EQUITY   804395101     73      3,307 SH       DEFINED   1               3,307
SBA COMMUNICATIONS CORPORATION          EQUITY   78388J106     40     12,303 SH       DEFINED   1              12,303
SBA COMMUNICATIONS CRP COM              EQUITY   78388J106    914    277,800 SH       Sole      3    277800
SBC COMMUNICATIONS INC                  EQUITY   78387G103    843     13,200 SH       DEFINED   2              13,200
SBC COMMUNICATIONS, INC.                EQUITY   78387G103  77532  2,070,840 SH       DEFINED   1           2,070,840
SBS TECHNOLOGIES INC                    EQUITY   78387P103     58      4,517 SH       DEFINED   1               4,517
SCANA CORP                              EQUITY   80589M102   4062    132,733 SH       DEFINED   1             132,733
SCANSOURCE INC                          EQUITY   806037107    107      1,777 SH       DEFINED   1               1,777
SCHAWK, INC.                            EQUITY   806373106     27      2,799 SH       DEFINED   1               2,799
SCHERING PLOUGH CORP                    EQUITY   806605101   1200     12,950 SH       DEFINED   2              12,950
SCHERING-PLOUGH CORP.                   EQUITY   806605101  36834  1,176,820 SH       DEFINED   1           1,176,820
SCHLUMBERGER LTD.                       EQUITY   806857108    177      3,150 SH       DEFINED   2               3,150
SCHLUMBERGER, LTD.                      EQUITY   806857108  17394    295,710 SH       DEFINED   1             295,710
SCHOLASTIC CORP COM                     EQUITY   807066105  12609    232,688 SH       Sole      3    204500           26288
SCHOLASTIC CORP.                        EQUITY   807066105   2891     53,345 SH       DEFINED   1              53,345
SCHOOL SPECIALTY, INC.                  EQUITY   807863105    131      4,919 SH       DEFINED   1               4,919
SCHULMAN, A. INC.                       EQUITY   808194104    838     45,795 SH       DEFINED   1              45,795
SCHWAB CHARLES CORP                     EQUITY   808513105    113     93,710 SH       DEFINED   2              93,710
SCHWEITZER-MAUDUIT INC.                 EQUITY   808541106    115      4,615 SH       DEFINED   1               4,615
SCICLONE PHARMACEUTICALS, INC.          EQUITY   80862K104     44     10,100 SH       DEFINED   1              10,100
SCIENTIFIC ATLANTA                      EQUITY   808655104     11        500 SH       DEFINED   2                 500
SCIENTIFIC ATLANTA INC COM              EQUITY   808655104   7836    339,200 SH       Sole      3    291100           44200
SCIENTIFIC-ATLANTA, INC.                EQUITY   808655104   2161     93,540 SH       DEFINED   1              93,540
SCIOS NOVA INC.                         EQUITY   808905103    409     14,131 SH       DEFINED   1              14,131
SCM MICROSYSTEMS, INC.                  EQUITY   784018103     56      4,772 SH       DEFINED   1               4,772
SCOTTISH ANNUITY&LIFE ORD               EQUITY   G7885T104  11972    630,100 SH       Sole      3    630100





                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE     SHARED     NONE
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SCOTTS CO.                             EQUITY    810186106       223      4,879  SH       DEFINED    1                4,879
SCP POOL CORPORATION                   EQUITY    784028102       186      5,939  SH       DEFINED    1                5,939
SCPIE HOLDINGS, INC.                   EQUITY    78402P104        47      2,742  SH       DEFINED    1                2,742
SCRIPPS CO                             EQUITY    811054204        25        300  SH       DEFINED    1                  300
SEABOARD CORP.                         EQUITY    811543107        31        104  SH       DEFINED    1                  104
SEACHANGE INTERNATIONAL, INC.          EQUITY    811699107        83      5,444  SH       DEFINED    1                5,444
SEACHANGE INTL INC COM                 EQUITY    811699107      4565    300,550  SH       Sole       3    300550
SEACOAST FINANCIAL SERVICES CO         EQUITY    81170Q106       151      7,669  SH       DEFINED    1                7,669
SEACOR SMIT, INC.                      EQUITY    811904101       260      5,302  SH       DEFINED    1                5,302
SEACOST BANKING CORP FLA A             EQUITY    811707108        53      1,122  SH       DEFINED    1                1,122
SEALED AIR CORP                        EQUITY    81211K100      1841     39,094  SH       DEFINED    1               39,094
Sealed Air Corp                        EQUITY    81211K100       942     20,000  SH       DEFINED    4               20,000
SEARS ROEBUCK & CO                     EQUITY    812387108      9591    187,068  SH       DEFINED    1              187,068
SEARS ROEBUCK & CO COM                 EQUITY    812387108      4102     80,000  SH       Sole       3     80000
SEARS ROEBUCK + CO                     EQUITY    812387108      4360      1,500  SH       DEFINED    2                1,500
SEATTLE GENETICS INC WA                EQUITY    812578102        11      2,185  SH       DEFINED    1                2,185
SECOND BANCORP, INC.                   EQUITY    813114105        66      2,708  SH       DEFINED    1                2,708
SECURE COMPUTING CORP                  EQUITY    813705100       174      8,877  SH       DEFINED    1                8,877
SECURE COMPUTING CORP COM              EQUITY    813705100     12890    657,300  SH       Sole       3    657300
SECURITY CAP GRP INC COM CL A          EQUITY    81413P105       250        196  SH       DEFINED    1                  196
SECURITY CAPITAL GRO                   EQUITY    81413P204        19        729  SH       DEFINED    1                  729
SEEBEYOND TECHNOLOGY CORP.             EQUITY    815704101        67      8,741  SH       DEFINED    1                8,741
SEI INVESTMENTS CO.                    EQUITY    784117103      5858    136,831  SH       DEFINED    1              136,831
SEITEL, INC.                           EQUITY    816074306        55      6,028  SH       DEFINED    1                6,028
SELECT MEDICAL CORP                    EQUITY    816196109        46      2,903  SH       DEFINED    1                2,903
SELECT MEDICAL CORP COM                EQUITY    816196109     13625    851,000  SH       Sole       3    851000
SELECTICA INC                          EQUITY    816288104        20      5,092  SH       DEFINED    1                5,092
SELECTIVE INSURANCE GROUP, INC         EQUITY    816300107       212      7,931  SH       DEFINED    1                7,931
SEMCO ENERGY, INC.                     EQUITY    78412D109        54      5,654  SH       DEFINED    1                5,654
SEMITOOL, INC.                         EQUITY    816909105        62      4,799  SH       DEFINED    1                4,799
SEMPRA ENERGY                          EQUITY    816851109      3651    114,783  SH       DEFINED    1               94,573
SEMTECH CORP COM                       EQUITY    816850101     16729    458,324  SH       Sole       3    446800              11524
SEMTECH CORP.                          EQUITY    816850101      3268     89,533  SH       DEFINED    1               89,533
SENIOR HOUSING PROP TRUST              EQUITY    81721M109     18537  1,287,300  SH       Sole       3   1065204             222096
SENIOR HOUSING PROP TRUST              EQUITY    81721M109      4045    280,936  SH       DEFINED    1              280,936
SENSIENT TECHNOLOGIES CORP.            EQUITY    81725T100      1709     74,232  SH       DEFINED    1               74,232
SEPRACOR, INC.                         EQUITY    817315104      1963    101,184  SH       DEFINED    1              101,184
SEQUA CORP CLASS A                     EQUITY    817320104       741     14,192  SH       DEFINED    1               14,192
SEQUENOM, INC.                         EQUITY    817337108        62      8,951  SH       DEFINED    1                8,951
SERENA SOFTWARE, INC.                  EQUITY    817492101        95      4,876  SH       DEFINED    1                4,876
SEROLOGICALS CORP.                     EQUITY    817523103        89      5,709  SH       DEFINED    1                5,709
SERONO SA                              EQUITY    81752M101      1491     31,700  SH       DEFINED    2               31,700
SERVICE CORP INTERNATIONAL             EQUITY    817565104        15      2,876  SH       DEFINED    1                2,876
SERVICEMASTER COMPAN                   EQUITY    81760N109        41      2,960  SH       DEFINED    1                2,960
SFBC INTL INC COM                      EQUITY    784121105      4648    178,100  SH       Sole       3    178100
SHAW GROUP INC                         EQUITY    820280105        16        595  SH       DEFINED    1                  595
SHERWIN-WILLIAMS CO.                   EQUITY    824348106      2062     72,387  SH       DEFINED    1               72,387
SHOPKO STORES, INC.                    EQUITY    824911101       152      8,388  SH       DEFINED    1                8,388
SHUFFLE MASTER, INC.                   EQUITY    825549108       116      5,616  SH       DEFINED    1                5,616
SHURGARD STORAGE CENTERS, INC. CLASS   EQUITY    82567D104       343     10,119  SH       DEFINED    1               10,119
SICOR INC                              EQUITY    825846108        14        839  SH       DEFINED    1                  839
SIDERCA S.A.I.C  ADR                   EQUITY    825863103       387     20,900  SH       DEFINED    1               20,900
SIEBEL SYS INC                         EQUITY    826170102        75    133,700  SH       DEFINED    2              133,700






                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SIEBEL SYSTEMS, INC.                   EQUITY    826170102      7286     223,440  SH      DEFINED    1               223,440
SIERRA HEALTH SERVICES, INC.           EQUITY    826322109        98       7,520  SH      DEFINED    1                 7,520
SIERRA PAC RES NEW                     EQUITY    826428104      1548       5,000  SH      DEFINED    2                 5,000
SIERRA PACIFIC RESOURCES               EQUITY    826428104      2417     160,183  SH      DEFINED    1               160,183
SIGMA ALDRICH CORP.                    EQUITY    826552101      3040      64,743  SH      DEFINED    1                64,743
SIGNALSOFT CORP                        EQUITY    82668M102        10       5,876  SH      DEFINED    1                 5,876
SILGAN HOLDINGS, INC.                  EQUITY    827048109       102       3,050  SH      DEFINED    1                 3,050
SILICON GRAPHICS, INC.                 EQUITY    827056102       257      60,438  SH      DEFINED    1                60,438
SILICON IMAGE  INC                     EQUITY    82705T102       148      17,341  SH      DEFINED    1                17,341
SILICON LABORATORIES COM               EQUITY    826919102     17018     481,700  SH      Sole       3    473400               8300
SILICON LABORATORIES INC               EQUITY    826919102        96       2,704  SH      DEFINED    1                 2,704
SILICON STORAGE TECHNOLOGY             EQUITY    827057100       252      23,893  SH      DEFINED    1                23,893
SILICON VALLEY BANCSHARES              EQUITY    827064106      2150      71,070  SH      DEFINED    1                71,070
SILICONIX, INC.                        EQUITY    827079203        55       1,821  SH      DEFINED    1                 1,821
SIMMONS FIRST NATIONAL CORP.           EQUITY    828730200        72       2,205  SH      DEFINED    1                 2,205
SIMON PPTY GROUP                       EQUITY    828806109     43121   1,321,500  SH      Sole       3   1089019             232481
SIMON PROPERTY GROUP INC               EQUITY    828806109        41       1,258  SH      DEFINED    1                 1,258
SIMPLEX SOLUTIONS INC                  EQUITY    828854109        13       1,287  SH      DEFINED    1                 1,287
SIMPSON MANUFACTURING CO.              EQUITY    829073105       142       2,315  SH      DEFINED    1                 2,315
SINCLAIR BROADCAST GROUP, INC.         EQUITY    829226109       103       7,583  SH      DEFINED    1                 7,583
SIPEX CORP.                            EQUITY    829909100        86       7,704  SH      DEFINED    1                 7,704
SIRIUS SATELLITE RADIO INC.            EQUITY    82966U103        80      15,046  SH      DEFINED    1                15,046
SITEL CORP.                            EQUITY    82980K107        57      17,451  SH      DEFINED    1                17,451
SIX FLAGS, INC                         EQUITY    83001P109      2091     117,054  SH      DEFINED    1               117,054
SKECHERS USA INC. CL-A                 EQUITY    830566105        95       5,020  SH      DEFINED    1                 5,020
SKILLSOFT CORP COM                     EQUITY    83066P101     20804     902,562  SH      Sole       3    879084              23478
SKILLSOFT CORPORATION                  EQUITY    83066P101        36       1,582  SH      DEFINED    1                 1,582
SKY FINANCIAL GROUP                    EQUITY    83080P103        18         807  SH      DEFINED    1                   807
SKYLINE CORP.                          EQUITY    830830105        60       1,943  SH      DEFINED    1                 1,943
SKYWEST INC                            EQUITY    830879102        17         683  SH      DEFINED    1                   683
SKYWEST INC                            EQUITY    830879102      3401      62,100  SH      DEFINED    2                62,100
SL GREEN REALTY CORP.                  EQUITY    78440X101       273       8,121  SH      DEFINED    1                 8,121
SL GREEN RLTY CORP COM                 EQUITY    78440X101      9563     284,600  SH      Sole       3    232441              52159
SLI, INC                               EQUITY    78442T108        18       7,212  SH      DEFINED    1                 7,212
SMART & FINAL, INC.,                   EQUITY    831683107        38       3,665  SH      DEFINED    1                 3,665
SMITH INTERNATIONAL, INC.              EQUITY    832110100      4257      62,834  SH      DEFINED    1                62,834
SMITH INTL INC                         EQUITY    832110100      1270      50,200  SH      DEFINED    2                50,200
SMITH, A.O. CORP.                      EQUITY    831865209        79       3,103  SH      DEFINED    1                 3,103
SMITHFIELD FOODS INC                   EQUITY    832248108      3689     141,323  SH      DEFINED    1               141,323
SMUCKER, J.M. CO.                      EQUITY    832696306      1241      36,724  SH      DEFINED    1                36,724
SMURFIT-STONE CONTAINER CORP.          EQUITY    832727101     21300   1,242,698  SH      DEFINED    1             1,242,698
SNAP-ON, INC.                          EQUITY    833034101       908      26,661  SH      DEFINED    1                26,661
SOC QUIMICA Y MINERA CHIL-SPON ADR     EQUITY    833635105      1357      57,730  SH      DEFINED    1                57,730
SOLA INTERNATIONAL, INC.               EQUITY    834092108       105       7,114  SH      DEFINED    1                 7,114
SOLECTRON CORP.                        EQUITY    834182107      3216     412,350  SH      DEFINED    1               412,350
SOLECTRON CORP.                        EQUITY    834182107        13       1,667  SH      DEFINED    2                 1,667
SOLUTIA, INC.                          EQUITY    834376105      1155     132,763  SH      DEFINED    1               132,763
SOMERA COMMUNICATIONS INC              EQUITY    834458101        67       9,203  SH      DEFINED    1                 9,203
SONG NETWORKS HLDG  ADR                EQUITY    83544Q101        49     140,901  SH      DEFINED    1               140,901
SONIC AUTOMOTIVE INC                   EQUITY    83545G102       216       7,211  SH      DEFINED    1                 7,211
SONIC CORP COM                         EQUITY    835451105     16858     655,703  SH      Sole       3    644003              11700
SONIC CORP.                            EQUITY    835451105       252       9,788  SH      DEFINED    1                 9,788
SONICBLUE INC                          EQUITY    83546Q109        73      29,117  SH      DEFINED    1                29,117




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
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SONICWALL INC                          EQUITY    835470105       168      12,861  SH      DEFINED    1                12,861
SONICWALL INC                          EQUITY    835470105      2570      97,400  SH      DEFINED    2                97,400
SONOCO PRODUCTS CO.                    EQUITY    835495102      3466     121,142  SH      DEFINED    1               121,142
SONOSIGHT, INC.                        EQUITY    83568G104        63       3,230  SH      DEFINED    1                 3,230
SONUS NETWORKS INC                     EQUITY    835916107         6       2,276  SH      DEFINED    1                 2,276
SORRENTO NETWORKS                      EQUITY    83586Q100        10       3,913  SH      DEFINED    1                 3,913
SOTHEBY'S HOLDINGS, INC. CLASS A       EQUITY    835898107      1338      83,353  SH      DEFINED    1                83,353
SOUNDVIEW TECHNOLOGY GROUP             EQUITY    83611Q109        35      15,514  SH      DEFINED    1                15,514
SOURCECORP                             EQUITY    836167106       130       4,409  SH      DEFINED    1                 4,409
SOUTH FINANCIAL GROUP INC.             EQUITY    837841105       262      12,861  SH      DEFINED    1                12,861
SOUTH JERSEY INDUSTRIES, INC.          EQUITY    838518108       116       3,673  SH      DEFINED    1                 3,673
SOUTHERN CO                            EQUITY    842587107     21119     797,240  SH      DEFINED    1               797,240
SOUTHERN CO.                           EQUITY    842587107       185       7,005  SH      DEFINED    2                 7,005
SOUTHERN PERU COPPER CORP.             EQUITY    843611104       287      22,185  SH      DEFINED    1                22,185
SOUTHERN UNION CO.                     EQUITY    844030106       188      10,239  SH      DEFINED    1                10,239
SOUTHTRUST CORP.                       EQUITY    844730101      4242     160,688  SH      DEFINED    1               160,688
SOUTHWEST AIRLINES CO.                 EQUITY    844741108      8627     445,860  SH      DEFINED    1               445,860
SOUTHWEST AIRLS CO                     EQUITY    844741108      2321     132,800  SH      DEFINED    2               132,800
SOUTHWEST BANCORPORATION OF TX         EQUITY    84476R109       269       8,069  SH      DEFINED    1                 8,069
SOUTHWEST GAS CORP                     EQUITY    844895102       228       9,131  SH      DEFINED    1                 9,131
Southwestern Elec                      CORPBOND  845437AT9      4601   5,000,000  PRN     DEFINED    4             5,000,000
SOUTHWESTERN ENERGY CO.                EQUITY    845467109        99       7,847  SH      DEFINED    1                 7,847
SOVEREIGN BANCORP, INC.                EQUITY    845905108      4563     324,736  SH      DEFINED    1               324,736
SOVRAN SELF STORAGE, INC.              EQUITY    84610H108       120       3,829  SH      DEFINED    1                 3,829
SPANISH BROADCASTING SYS, INC. CLASS   EQUITY    846425882       156      11,515  SH      DEFINED    1                11,515
SPARTAN STORES INC                     EQUITY    846822104        46       6,149  SH      DEFINED    1                 6,149
SPARTECH CORP.                         EQUITY    847220209       103       4,187  SH      DEFINED    1                 4,187
SPECTRALINK CORP                       EQUITY    847580107        47       4,682  SH      DEFINED    1                 4,682
SPECTRASITE HOLDINGS, INC.             EQUITY    84760T100        23      21,306  SH      DEFINED    1                21,306
SPECTRIAN CORP.                        EQUITY    847608106        51       3,541  SH      DEFINED    1                 3,541
SPEECHWORKS INTERNATIONAL              EQUITY    84764M101        59       7,564  SH      DEFINED    1                 7,564
SPEECHWORKS INTL INC COM               EQUITY    84764M101      3410     435,000  SH      Sole       3    435000
SPEEDWAY MOTORSPORTS                   EQUITY    847788106       117       4,120  SH      DEFINED    1                 4,120
SPHERION CORPORATION                   EQUITY    848420105       180      16,300  SH      DEFINED    1                16,300
SPIEGEL, INC. CLASS A                  EQUITY    848457107         6       4,643  SH      DEFINED    1                 4,643
Spieker Properties                     CORPBOND  848503AL2      1319   1,315,000  PRN     DEFINED    4             1,315,000
SPINNAKER EXPL CO COM                  EQUITY    84855W109      3511      84,300  SH      Sole       3     84300
SPINNAKER EXPLORATION CO               EQUITY    84855W109       249       5,974  SH      DEFINED    1                 5,974
SPORTS RESORTS INTL INC                EQUITY    84918U108        51       7,567  SH      DEFINED    1                 7,567
SPRINT CORP. FON GROUP                 EQUITY    852061100      6872     449,420  SH      DEFINED    1               449,420
SPRINT CORP. PCS GROUP                 EQUITY    852061506      4982     484,178  SH      DEFINED    1               484,178
SPS TECHNOLOGIES, INC.                 EQUITY    784626103       128       3,017  SH      DEFINED    1                 3,017
SPSS, INC.                             EQUITY    78462K102        65       3,712  SH      DEFINED    1                 3,712
SPX CORP                               EQUITY    784635104      1435       1,700  SH      DEFINED    2                 1,700
SPX CORP.                              EQUITY    784635104     46277     326,862  SH      DEFINED    1               326,862
SRI/SURGICAL EXPRESS INC               EQUITY    78464W104         9         610  SH      DEFINED    1                   610
ST FRANCIS CAPITAL CORP.               EQUITY    789374105        54       2,280  SH      DEFINED    1                 2,280
ST JUDE MED INC                        EQUITY    790849103       573      18,600  SH      DEFINED    2                18,600
ST JUDE MEDICAL, INC.                  EQUITY    790849103      5504      71,342  SH      DEFINED    1                71,342
ST PAUL COS INC                        EQUITY    792860108       175      12,500  SH      DEFINED    2                12,500
ST. MARY LAND & EXPLORATION            EQUITY    792228108       188       8,637  SH      DEFINED    1                 8,637
ST. PAUL COMPANIES, INC.               EQUITY    792860108      4392      95,785  SH      DEFINED    1                95,785
STAGE STORES INC                       EQUITY    85254C305      1386      47,800  SH      DEFINED    2                47,800




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
STAMPS.COM INC                         EQUITY    852857101        49      10,959  SH      DEFINED    1                10,959
STANCORP FINANCIAL GROUP, INC.         EQUITY    852891100      2580      46,910  SH      DEFINED    1                46,910
STANDARD & POOR'S DEPOSITARY SPDR      EQUITY    78462F103      5210      45,490  SH      DEFINED    1                45,490
STANDARD COML CORP. COM                EQUITY    853258101        61       3,186  SH      DEFINED    1                 3,186
STANDARD MICROSYSTEMS CORP.            EQUITY    853626109       105       4,545  SH      DEFINED    1                 4,545
STANDARD MOTOR PRODUCTS, INC.          EQUITY    853666105        33       2,251  SH      DEFINED    1                 2,251
STANDARD PACIFIC CORP.                 EQUITY    85375C101       222       7,912  SH      DEFINED    1                 7,912
STANDARD REGISTER CO.                  EQUITY    853887107       115       4,107  SH      DEFINED    1                 4,107
STANDEX INTERNATIONAL CORP.            EQUITY    854231107        83       3,388  SH      DEFINED    1                 3,388
STANFORD MICRODEVICES INC              EQUITY    82966T106        17       3,200  SH      DEFINED    1                 3,200
STANLEY FURNITURE CO INC               EQUITY    854305208        53       1,641  SH      DEFINED    1                 1,641
STANLEY WORKS                          EQUITY    854616109      1811      39,154  SH      DEFINED    1                39,154
STAPLES, INC.                          EQUITY    855030102      4463     223,469  SH      DEFINED    1               223,469
STAR SCIENTIFIC INC                    EQUITY    85517P101        13       6,320  SH      DEFINED    1                 6,320
STARBASE CORP                          EQUITY    854910205         6      21,853  SH      DEFINED    1                21,853
STARBUCKS CORP.                        EQUITY    855244109      4911     212,315  SH      DEFINED    1               212,315
STARTEK INC                            EQUITY    85569C107        58       2,484  SH      DEFINED    1                 2,484
STARWOOD HOTELS & RESORTS  WW          EQUITY    85590A203      3436      91,351  SH      DEFINED    1                91,351
STARWOOD HOTELS + RESORTS              EQUITY    85590A203       960      27,900  SH      DEFINED    2                27,900
STATE AUTO FINANCIAL CORP.             EQUITY    855707105        56       3,866  SH      DEFINED    1                 3,866
STATE STREET CORP.                     EQUITY    857477103      8225     148,521  SH      DEFINED    1               148,521
STATEN ISLAND BANCORP, INC.            EQUITY    857550107       348      17,661  SH      DEFINED    1                17,661
STATION CASINOS, INC.                  EQUITY    857689103       174      10,452  SH      DEFINED    1                10,452
STEEL DYNAMICS, INC.                   EQUITY    858119100       128       7,820  SH      DEFINED    1                 7,820
STEELCASE INC-CL A                     EQUITY    858155203        12         724  SH      DEFINED    1                   724
STEIN MART, INC.                       EQUITY    858375108        77       7,738  SH      DEFINED    1                 7,738
STEINWAY MUSICAL INSTRUMENTS           EQUITY    858495104     34709   1,803,041  SH      DEFINED    1             1,803,041
STELLENT INC                           EQUITY    85856W105        56       5,819  SH      DEFINED    1                 5,819
STEPAN CO.                             EQUITY    858586100        52       1,946  SH      DEFINED    1                 1,946
STERICYCLE INC                         EQUITY    858912108       330      37,100  SH      DEFINED    2                37,100
STERICYCLE INC COM                     EQUITY    858912108     44046     704,056  SH      Sole       3    691356              12700
STERICYCLE, INC.                       EQUITY    858912108       313       4,999  SH      DEFINED    1                 4,999
STERIS CORP COM                        EQUITY    859152100      2247     107,723  SH      DEFINED    1               107,723
STERLING BANCORP                       EQUITY    859158107        88       2,763  SH      DEFINED    1                 2,763
STERLING BANCSHARES, INC.              EQUITY    858907108       147      10,986  SH      DEFINED    1                10,986
STERLING FINANCIAL CORP                EQUITY    859317109        83       3,490  SH      DEFINED    1                 3,490
STEVEN MADDEN, LTD.                    EQUITY    556269108        48       2,766  SH      DEFINED    1                 2,766
STEWART & STEVENSON SERVICES           EQUITY    860342104       844      43,639  SH      DEFINED    1                43,639
STEWART ENTERPRISES, INC.              EQUITY    860370105       179      29,948  SH      DEFINED    1                29,948
STEWART INFORMATION SERVICES COM       EQUITY    860372101        77       3,844  SH      DEFINED    1                 3,844
STILLWATER MINING CO.                  EQUITY    86074Q102       227      12,062  SH      DEFINED    1                12,062
STILLWELL FINANCIAL INC                EQUITY    860831106      2635     107,603  SH      DEFINED    1               107,603
STMICROELECTRONICS NV-NY               EQUITY    861012102      2778      81,900  SH      DEFINED    1                81,900
STONE ENERGY CORP.                     EQUITY    861642106       259       6,685  SH      DEFINED    1                 6,685
STONERIDGE, INC.                       EQUITY    86183P102        38       3,896  SH      DEFINED    1                 3,896
STORAGE TECHNOLOGY CORP.               EQUITY    862111200      2861     133,449  SH      DEFINED    1               133,449
STORAGE USA, INC.                      EQUITY    861907103      9496     222,954  SH      DEFINED    1               222,954
STORAGENETWORKS INC                    EQUITY    86211E103         3         876  SH      DEFINED    1                   876
STRATOS LIGHTWAVE INC.                 EQUITY    863100103        88      19,949  SH      DEFINED    1                19,949
STRAYER EDUCATION, INC                 EQUITY    863236105        47         967  SH      DEFINED    1                   967
STRIDE RITE CORP.                      EQUITY    863314100       108      13,031  SH      DEFINED    1                13,031
Stryker                                EQUITY    863667101      2413      40,000  SH      DEFINED    4                40,000
STRYKER CORP.                          EQUITY    863667101      5608      92,960  SH      DEFINED    1                92,960




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
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STUDENT LOAN CORP.                     EQUITY    863902102       114       1,244  SH      DEFINED    1                 1,244
STURM, RUGER & CO., INC.               EQUITY    864159108        79       6,111  SH      DEFINED    1                 6,111
SUFFOLK BANCORP                        EQUITY    864739107       105       3,664  SH      DEFINED    1                 3,664
SUMMIT PPTYS INC COM                   EQUITY    866239106      1690      69,000  SH      Sole       3     61200               7800
SUMMIT PROPERTIES, INC.                EQUITY    866239106       194       7,902  SH      DEFINED    1                 7,902
SUN COMMUNITIES, INC.                  EQUITY    866674104       183       4,648  SH      DEFINED    1                 4,648
Sun Microsystems                       EQUITY    866810104       750      85,000  SH      DEFINED    4                85,000
SUN MICROSYSTEMS, INC.                 EQUITY    866810104     14762   1,673,740  SH      DEFINED    1             1,673,740
SUNCOR ENERGY INC COM                  EQUITY    867229106      3117      86,200  SH      Sole       3     74200              11000
SUNGARD DATA SYS INC                   EQUITY    867363103    155743   4,723,794  SH      Sole       3   4494516             217178
SUNGARD DATA SYS INC                   EQUITY    867363103       858      10,000  SH      DEFINED    2                10,000
SUNGARD DATA SYSTEMS, INC.             EQUITY    867363103     11719     355,452  SH      DEFINED    1               355,452
SUNOCO, INC.                           EQUITY    86764P109      1389      34,726  SH      DEFINED    1                34,726
SUNRISE ASSISTED LIVING, INC.          EQUITY    86768K106       149       5,451  SH      DEFINED    1                 5,451
SUNRISE TELECOM INC                    EQUITY    86769Y105        18       5,717  SH      DEFINED    1                 5,717
SUNTRUST BANKS, INC.                   EQUITY    867914103     11668     174,861  SH      DEFINED    1               174,861
SUPERGEN, INC.                         EQUITY    868059106        29       5,202  SH      DEFINED    1                 5,202
SUPERIOR ENERGY SERVICES, INC.         EQUITY    868157108       138      13,697  SH      DEFINED    1                13,697
SUPERIOR INDS INTL INC COM             EQUITY    868168105     19888     407,700  SH      Sole       3    400600               7100
SUPERIOR INDUSTRIES INTL, INC.         EQUITY    868168105      1876      38,450  SH      DEFINED    1                38,450
SUPERIOR TRUST I                       CorpBond  86836P202         2         689  PRN     DEFINED    1                     1
SUPERTEX INC                           EQUITY    868532102        52       2,460  SH      DEFINED    1                 2,460
Supervalu Inc.                         CORPBOND  868536AJ2      2018   2,000,000  PRN     DEFINED    4             2,000,000
SUPERVALU, INC.                        EQUITY    868536103      1584      61,393  SH      DEFINED    1                61,393
SUPPORTSOFT INC                        EQUITY    868587106        20       6,765  SH      DEFINED    1                 6,765
SUREBEAM CORP CL A                     EQUITY    86866R102        12       2,170  SH      DEFINED    1                 2,170
SURMODICS INC                          EQUITY    868873100       178       4,082  SH      DEFINED    1                 4,082
SUSQUEHANNA BANCSHARES, INC.           EQUITY    869099101       300      12,240  SH      DEFINED    1                12,240
SWIFT ENERGY CO.                       EQUITY    870738101       142       7,190  SH      DEFINED    1                 7,190
SWIFT TRANSN CO COM                    EQUITY    870756103     29403   1,341,400  SH      Sole       3   1316900              24500
SWIFT TRANSPORTATION CO., INC.         EQUITY    870756103      2744     125,190  SH      DEFINED    1               125,190
SWS GROUP INC                          EQUITY    78503N107        86       4,230  SH      DEFINED    1                 4,230
SYBASE, INC.                           EQUITY    871130100      2823     161,563  SH      DEFINED    1               161,563
SYBRON DENTAL SPECIALTIES INC.         EQUITY    871142105       237      11,801  SH      DEFINED    1                11,801
SYCAMORE NETWORKS, INC                 EQUITY    871206108         7       1,676  SH      DEFINED    1                 1,676
SYKES ENTERPRISES, INC.                EQUITY    871237103       559      57,685  SH      DEFINED    1                57,685
SYLVAN LEARNING SYS COM                EQUITY    871399101     27278     965,600  SH      Sole       3    948100              17500
SYLVAN LEARNING SYSTEMS, INC.          EQUITY    871399101      1644      58,179  SH      DEFINED    1                58,179
SYMANTEC CORP.                         EQUITY    871503108     12362     299,980  SH      DEFINED    1               299,980
SYMBOL TECHNOLOGIES INC                EQUITY    871508107        89      76,300  SH      DEFINED    2                76,300
SYMBOL TECHNOLOGIES, INC.              EQUITY    871508107      1244     110,643  SH      DEFINED    1               110,643
SYMMETRICOM, INC.                      EQUITY    871543104        43       6,983  SH      DEFINED    1                 6,983
SYMX TECHNOLOGIES INC.                 EQUITY    87155S108       165       7,990  SH      DEFINED    1                 7,990
SYNCOR INTERNATIONAL                   EQUITY    87157J106       167       6,144  SH      DEFINED    1                 6,144
SYNOPSYS INC.                          EQUITY    871607107      4328      78,470  SH      DEFINED    1                78,470
SYNOVUS FINANCIAL CORP.                EQUITY    87161C105      4115     135,005  SH      DEFINED    1               135,005
SYNPLICITY INC                         EQUITY    87160Y108        26       3,284  SH      DEFINED    1                 3,284
SYNTEL, INC.                           EQUITY    87162H103        22       1,561  SH      DEFINED    1                 1,561
SYNTROLEUM CORPORATION                 EQUITY    871630109        40       6,715  SH      DEFINED    1                 6,715
SYSCO CORP                             EQUITY    871829107      4150       3,000  SH      DEFINED    2                 3,000
SYSCO CORP.                            EQUITY    871829107     11474     384,785  SH      DEFINED    1               384,785
SYSTEMS & COMPUTER TECHNOLOGY          EQUITY    871873105       127       9,666  SH      DEFINED    1                 9,666
T ROWE PRICE GROUP INC.                EQUITY    74144T108      2189      56,219  SH      DEFINED    1                56,219





                                        TITLE     CUSIP     VALUE     SHRS OR  SH/ PUT/  INVSTMT  OTHR           VOTING AUTHORITY
NAME OF ISSUER                          CLASS              (X$1000)   PRN AMT  PRN CALL  DSCRETN  MGRS  SOLE     SHARED      NONE
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TAIWAN FUND                             EQUITY   874036106    932    69,750    SH        DEFINED  1              69,750
TAIWAN SEMICNDCTR MFG CO LTD            EQUITY   874039100   8366   200,000    SH        DEFINED  2             200,000
TAIWAN SEMICONDUCTOR-SP ADR             EQUITY   874039100    581    28,000    SH        DEFINED  1              28,000
TAKE-TWO INTERACTIVE SOFTWARE           EQUITY   874054109    229    11,398    SH        DEFINED  1              11,398
TALBOTS INC                             EQUITY   874161102     13       363    SH        DEFINED  1                 363
TALX CORP                               EQUITY   874918105   6870   429,350    SH        Sole     3    429350
TALX CORP                               EQUITY   874918105     58     3,651    SH        DEFINED  1               3,651
TANGER FACTORY OUTLET CTRS              EQUITY   875465106     43     1,616    SH        DEFINED  1               1,616
TANOX INC                               EQUITY   87588Q109    104     7,332    SH        DEFINED  1               7,332
TARGET CORP                             EQUITY   87612E106   1056    41,300    SH        DEFINED  2              41,300
TARGET CORPORATION                      EQUITY   87612E106  20181   468,030    SH        DEFINED  1             468,030
TARGETED GENETICS CORP                  EQUITY   87612M108     24    11,695    SH        DEFINED  1              11,695
TAUBMAN CENTERS, INC.                   EQUITY   876664103   7047   467,928    SH        DEFINED  1             467,928
TBC CORP.                               EQUITY   872180104     78     5,381    SH        DEFINED  1               5,381
TCF FINANCIAL CORP.                     EQUITY   872275102   5106    97,058    SH        DEFINED  1              97,058
TECH DATA CORP.                         EQUITY   878237106   3206    69,856    SH        DEFINED  1              69,856
TECHE CORP.                             EQUITY   878377100    356    12,923    SH        DEFINED  1              12,923
TECHNITROL, INC.                        EQUITY   878555101    225     9,432    SH        DEFINED  1               9,432
TECO ENERGY, INC.                       EQUITY   872375100   1859    64,920    SH        DEFINED  1              64,920
TECUMSEH PRODUCTS CO. CLASS A           EQUITY   878895200   1489    27,931    SH        DEFINED  1              27,931
TEJON RANCH CO.                         EQUITY   879080109     69     2,218    SH        DEFINED  1               2,218
TEKELEC                                 EQUITY   879101103      8       689    SH        DEFINED  1                 689
TEKTRONIX, INC.                         EQUITY   879131100    992    41,919    SH        DEFINED  1              41,919
TELE CENTRO OESTE CELULAR  S.A. ADR     EQUITY   87923P105    879   145,800    SH        DEFINED  1             145,800
TELE NORTE LESTE PARTICIPACOES S.A. A   EQUITY   879246106    151    12,000    SH        DEFINED  1              12,000
Telebras - Spons ADR Pfd Block          EQUITY   879287308    349     5,500    SH        DEFINED  1               5,500
TELEDYNE TECHOLOGIES INC                EQUITY   879360105    164     9,909    SH        DEFINED  1               9,909
TELEFLEX INC.                           EQUITY   879369106   2692    49,235    SH        DEFINED  1              49,235
TELEFONICA S.A. SPON ADR                EQUITY   879382208      4       102    SH        DEFINED  1                 102
TELEFONOS DE MEXICO CL L-TELMEX         EQUITY   879403780  10191   238,990    SH        DEFINED  1             238,990
TELEKOMUNIKASI INDONESIA - SP ADR       EQUITY   715684106    262    31,400    SH        DEFINED  1              31,400
TELEPHONE AND DATA SYSTEMS              EQUITY   879433100   6552    74,244    SH        DEFINED  1              74,244
TELETECH HOLDINGS                       EQUITY   879939106    151    11,224    SH        DEFINED  1              11,224
TELIK INC                               EQUITY   87959M109     80     6,588    SH        DEFINED  1               6,588
TELLABS, INC.                           EQUITY   879664100   2192   209,390    SH        DEFINED  1             209,390
TEMPLE-INLAND INC.                      EQUITY   879868107   1291    22,762    SH        DEFINED  1              22,762
Tenet Healthcare Corp                   EQUITY   88033G100   2011    30,000    SH        DEFINED  4              30,000
TENET HEALTHCARE CORP.                  EQUITY   88033G100  12019   179,340    SH        DEFINED  1             179,340
TENNANT CO.                             EQUITY   880345103    118     2,811    SH        DEFINED  1               2,811
TERADYNE, INC.                          EQUITY   880770102   3394    86,082    SH        DEFINED  1              86,082
TERAYON COMMUNICATION                   EQUITY   880775101    162    19,083    SH        DEFINED  1              19,083
TEREX CORP.                             EQUITY   880779103    255    11,304    SH        DEFINED  1              11,304
TERRA INDUSTRIES, INC.                  EQUITY   880915103     31    12,014    SH        DEFINED  1              12,014
TERREMARK WORLDWIDE INC                 EQUITY   881448104     21    47,010    SH        DEFINED  1              47,010
TESORO PETROLEUM CORP.                  EQUITY   881609101    155    11,032    SH        DEFINED  1              11,032
TETRA TECH, INC.                        EQUITY   88162G103    217    15,198    SH        DEFINED  1              15,198
TETRA TECHNOLOGIES, INC.                EQUITY   88162F105    109     3,737    SH        DEFINED  1               3,737
TEVA PHARMACEUTICAL ADR                 EQUITY   881624209    465     8,500    SH        DEFINED  1               8,500
TEVA PHARMACEUTICAL INDS LTD            EQUITY   881624209   1935   387,340    SH        DEFINED  2             387,340
TEXAS BIOTECH CORP                      EQUITY   88221T104     83    13,563    SH        DEFINED  1              13,563
TEXAS INDUSTRIES, INC.                  EQUITY   882491103    268     6,514    SH        DEFINED  1               6,514
TEXAS INSTRS INC                        EQUITY   882508104     42    55,500    SH        DEFINED  2              55,500




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
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TEXAS INSTRUMENTS, INC.                EQUITY    882508104     44843   1,354,760  SH      DEFINED    1             1,354,760
TEXAS REGIONAL BANCSHARES, INC CLASS   EQUITY    882673106       188       4,307  SH      DEFINED    1                 4,307
TEXTRON FINANACIAL CORP                EQUITY    883203101      3471      67,919  SH      DEFINED    1                67,919
TEXTRON INC                            EQUITY    883203101        12         255  SH      DEFINED    2                   255
THE 3DO CO.                            EQUITY    88553W105        12      11,596  SH      DEFINED    1                11,596
THE ADVISORY BOARD COMPANY             EQUITY    00762W107      1138      35,000  SH      Sole       3     35000
THE GENLYTE GROUP, INC.                EQUITY    372302109       140       3,718  SH      DEFINED    1                 3,718
THE ST JOE COMPANY                     EQUITY    790148100         8         270  SH      DEFINED    1                   270
THE STEAK N SHAKE COMPANY              EQUITY    857873103        95       6,729  SH      DEFINED    1                 6,729
THE TITAN CORPORATION                  EQUITY    888266103      2353     113,967  SH      DEFINED    1               113,967
THE YANKEE CANDLE CO.                  EQUITY    984757104       107       4,641  SH      DEFINED    1                 4,641
THERAGENICS CORP.                      EQUITY    883375107        91       9,237  SH      DEFINED    1                 9,237
THERMA-WAVE INC.                       EQUITY    88343A108        73       5,038  SH      DEFINED    1                 5,038
THERMO ELECTRON CORP.                  EQUITY    883556102      1681      81,094  SH      DEFINED    1                81,094
THIRD WAVE TECHNOLOGIES                EQUITY    88428W108         8       2,339  SH      DEFINED    1                 2,339
THOMAS & BETTS CORP.                   EQUITY    884315102       931      43,991  SH      DEFINED    1                43,991
THOMAS INDUSTRIES, INC.                EQUITY    884425109       138       4,731  SH      DEFINED    1                 4,731
THOR INDUSTRIES, INC.                  EQUITY    885160101        94       1,984  SH      DEFINED    1                 1,984
THORATEC LABORATORIES CORP.            EQUITY    885175307       123      11,205  SH      DEFINED    1                11,205
THORNBURG MORTGAGE INC.                EQUITY    885218107       202      10,087  SH      DEFINED    1                10,087
THQ INC                                EQUITY    872443403       377       7,679  SH      DEFINED    1                 7,679
THREE-FIVE SYS INC COM                 EQUITY    88554L108        99       6,660  SH      DEFINED    1                 6,660
TIBCO SOFTWARE INC                     EQUITY    88632Q103        10         883  SH      DEFINED    1                   883
TICKETMASTER ONLINE-CITY B             EQUITY    88633P203         9         300  SH      DEFINED    1                   300
TIDEWATER INC                          EQUITY    886423102      1392       1,000  SH      DEFINED    2                 1,000
TIDEWATER, INC.                        EQUITY    886423102      8715     205,793  SH      DEFINED    1               205,793
TIER TECHNOLOGIES INC CL B             EQUITY    88650Q100      8594     486,900  SH      Sole       3    486900
TIFFANY & CO.                          EQUITY    886547108      2380      66,950  SH      DEFINED    1                66,950
TIMBERLAND COMPANY                     EQUITY    887100105      2074      49,100  SH      DEFINED    1                49,100
TIME WARNER TELECOM                    EQUITY    887319101         5         856  SH      DEFINED    1                   856
TIMKEN CO.                             EQUITY    887389104       355      15,384  SH      DEFINED    1                15,384
TITAN PHARMACEUTICALS INC              EQUITY    888314101        54       7,685  SH      DEFINED    1                 7,685
TITANIUM METALS CORP.                  EQUITY    888339108        33       6,097  SH      DEFINED    1                 6,097
TIVO INC                               EQUITY    888706108        29       5,477  SH      DEFINED    1                 5,477
TJX COMPANIES, INC.                    EQUITY    872540109      5382     134,515  SH      DEFINED    1               134,515
TMP WORLDWIDE INC.                     EQUITY    872941109      1866      54,125  SH      DEFINED    1                54,125
TOLL BROTHERS INC COM                  EQUITY    889478103     17612     353,297  SH      Sole       3    342197              11100
TOLL BROTHERS, INC.                    EQUITY    889478103       355       7,129  SH      DEFINED    1                 7,129
TOLLGRADE COMMUNICATIONS INC           EQUITY    889542106        97       3,951  SH      DEFINED    1                 3,951
TOMPKINS TRUSTCO INC                   EQUITY    890110109        86       2,030  SH      DEFINED    1                 2,030
TOO INC                                EQUITY    890333107       288       9,753  SH      DEFINED    1                 9,753
TOO INC                                EQUITY    890333107      1672      47,200  SH      DEFINED    2                47,200
TOO INC COM                            EQUITY    890333107     24886     843,868  SH      Sole       3    807030              36838
TOOTSIE ROLL INDUSTRIES, INC.          EQUITY    890516107      3023      65,729  SH      DEFINED    1                65,729
TOPPS CO. INC.                         EQUITY    890786106       109      11,377  SH      DEFINED    1                11,377
TORCHMARK CORP.                        EQUITY    891027104      3523      87,438  SH      DEFINED    1                87,438
TORO CO.                               EQUITY    891092108       231       3,883  SH      DEFINED    1                 3,883
TOTAL SYSTEM SERVICE                   EQUITY    891906109       195       7,756  SH      DEFINED    1                 7,756
TOUCH AMERICA HOLDINGS INC             EQUITY    891539108       123      32,305  SH      DEFINED    1                32,305
TOWER AUTOMOTIVE, INC.                 EQUITY    891707101       179      12,802  SH      DEFINED    1                12,802
TOWN & COUNTRY TRUST                   EQUITY    892081100        98       4,412  SH      DEFINED    1                 4,412
TOYS R US INC.                         EQUITY    892335100      1733      96,491  SH      DEFINED    1                96,491
TRADESTATION GROUP INC                 EQUITY    89267P105         7       6,322  SH      DEFINED    1                 6,322




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
TRAMMELL CROW CO.                      EQUITY    89288R106       103       7,106  SH      DEFINED    1                 7,106
TRANS WORLD ENTERTAINMENT CORP         EQUITY    89336Q100        69       8,232  SH      DEFINED    1                 8,232
TRANSACTION SYSTEMS ARCHITECTS CLASS   EQUITY    893416107       631      55,375  SH      DEFINED    1                55,375
TRANSATLANTIC HOLDINGS INC             EQUITY    893521104   2568234  31,274,130  SH      DEFINED    1            31,274,130
TRANSATLANTIC HOLDINGS INC             EQUITY    893521104        15         206  SH      DEFINED    1                   206
TRANSGENOMIC INC                       EQUITY    89365K206        36       3,947  SH      DEFINED    1                 3,947
TRANSKARYOTIC THERAPIES INC            EQUITY    893735100       353      38,850  SH      DEFINED    2                38,850
TRANSKARYOTIC THERAPIES, INC.          EQUITY    893735100       403       9,353  SH      DEFINED    1                 9,353
TRANSMETA CORP                         EQUITY    89376R109       185      47,656  SH      DEFINED    1                47,656
TRANSMONTAIGNE INC                     EQUITY    893934109       520     100,000  SH      Sole       3    100000
TRANSMONTAIGNE, INC.                   EQUITY    893934109        25       4,860  SH      DEFINED    1                 4,860
TRANSOCEAN SEDCO FOREX INC             EQUITY    G90078109      4787     144,058  SH      DEFINED    1               144,058
TRANSOCEAN SEDCO FOREX INC             EQUITY    G90078109        15         410  SH      DEFINED    2                   410
TRANSWITCH CORP.                       EQUITY    894065101       467     143,286  SH      DEFINED    1               143,286
TRAVELOCITY.COM INC                    EQUITY    893953109        14         486  SH      DEFINED    1                   486
TRC COS INC                            EQUITY    872625108        61       2,478  SH      DEFINED    1                 2,478
TREDEGAR CORP.                         EQUITY    894650100        92       4,927  SH      DEFINED    1                 4,927
TREMONT CORP.                          EQUITY    894745207        11         393  SH      DEFINED    1                   393
TRENDWEST RESORTS, INC.                EQUITY    894917103        54       2,235  SH      DEFINED    1                 2,235
TREX COMPANY, INC.                     EQUITY    89531P105        46       1,928  SH      DEFINED    1                 1,928
TRIAD GTY INC COM                      EQUITY    895925105     12906     296,900  SH      Sole       3    296900
TRIAD GUARANTY, INC.                   EQUITY    895925105        94       2,156  SH      DEFINED    1                 2,156
TRIAD HOSPITALS INC COM                EQUITY    89579K109     61466   1,787,828  SH      Sole       3   1716388              68440
TRIAD HOSPITALS, INC.                  EQUITY    89579K109      3142      91,402  SH      DEFINED    1                91,402
TRIANGLE PHARMACEUTICALS, INC.         EQUITY    89589H104        74      14,463  SH      DEFINED    1                14,463
TRIARC COMPANIES INC. CLASS A          EQUITY    895927101       102       3,677  SH      DEFINED    1                 3,677
TRIBUNE CO.                            EQUITY    896047107      6196     136,300  SH      DEFINED    1               136,300
TRICO MARINE SERVICES, INC.            EQUITY    896106101        67       7,685  SH      DEFINED    1                 7,685
Tricon Global Restaurants              EQUITY    895953107      2057      35,000  SH      DEFINED    4                35,000
TRICON GLOBAL RESTAURANTS INC          EQUITY    895953107       851       6,000  SH      DEFINED    2                 6,000
TRICON GLOBAL RESTURANTS INC           EQUITY    895953107      3913      66,566  SH      DEFINED    1                66,566
TRIGON HEALTHCARE INC                  EQUITY    89618L100      2288      57,300  SH      DEFINED    2                57,300
TRIGON HEALTHCARE, INC.                EQUITY    89618L100      3349      45,362  SH      DEFINED    1                45,362
TRIKON TECHNOLOGIES INC                EQUITY    896187408        50       3,383  SH      DEFINED    1                 3,383
TRIMBLE NAVIGATION LTD.                EQUITY    896239100       129       7,766  SH      DEFINED    1                 7,766
TRIMERIS INC                           EQUITY    896263100       234       5,420  SH      DEFINED    1                 5,420
TRINITY INDUSTRIES, INC.               EQUITY    896522109      1625      66,826  SH      DEFINED    1                66,826
TRIPATH IMAGIN INC                     EQUITY    896942109        45       7,774  SH      DEFINED    1                 7,774
TRIPATH TECHNOLOGY                     EQUITY    89672P104         8       4,875  SH      DEFINED    1                 4,875
TRIQUINT SEMICONDUCTOR INC             EQUITY    89674K103      1453      66,900  SH      DEFINED    2                66,900
TRIQUINT SEMICONDUCTOR, INC.           EQUITY    89674K103      2454     204,345  SH      DEFINED    1               204,345
TRITON PCS HOLDINGS                    EQUITY    89677M106         5         522  SH      DEFINED    1                   522
TRIUMPH GROUP, INC.                    EQUITY    896818101       193       4,918  SH      DEFINED    1                 4,918
TRIZETTO GROUP INC                     EQUITY    896882107        84       6,924  SH      DEFINED    1                 6,924
TROPICAL SPORTSWEAR INT'L              EQUITY    89708P102        34       1,413  SH      DEFINED    1                 1,413
TROY FINANCIAL CORP                    EQUITY    897329108        35       1,334  SH      DEFINED    1                 1,334
TRUST CO. OF NEW JERSEY                EQUITY    898304100       137       5,785  SH      DEFINED    1                 5,785
TRUSTCO BANK CORP. NY                  EQUITY    898349105       286      22,146  SH      DEFINED    1                22,146
TRUSTMARK CORP.                        EQUITY    898402102       530      20,985  SH      DEFINED    1                20,985
TRW INC.                               EQUITY    872649108      3003      58,343  SH      DEFINED    1                58,343
TTM TECHONOLOGIES                      EQUITY    87305R109        35       3,550  SH      DEFINED    1                 3,550
TUBOS DE ACERO DE MEX-SP ADR           EQUITY    898592506       647      60,500  SH      DEFINED    1                60,500
TUESDAY MORNING CORPORATION            EQUITY    899035505        55       2,689  SH      DEFINED    1                 2,689




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
TULARIK INC                            EQUITY    899165104        99       6,043  SH      DEFINED    1                 6,043
TUPPERWARE CORP.                       EQUITY    899896104      1045      45,941  SH      DEFINED    1                45,941
TURNSTONE SYSTEMS INC                  EQUITY    900423104        44       9,162  SH      DEFINED    1                 9,162
TV AZTECA S.A.-SPONS ADR               EQUITY    901145102      1224     139,100  SH      DEFINED    1               139,100
TWEETER HOME ENTERTAINMENT             EQUITY    901167106       117       6,007  SH      DEFINED    1                 6,007
TXU Corporation                        EQUITY    873168108      2998      55,000  SH      DEFINED    4                55,000
TXU Corporation Com Stk NPV            EQUITY    873168108      6564     120,410  SH      DEFINED    1               120,410
TYCO INTERNATIONAL, LTD.               EQUITY    902124106     79855   2,470,774  SH      DEFINED    1             2,470,774
TYSON FOODS, INC. CLASS A              EQUITY    902494103      5581     447,195  SH      DEFINED    1               447,195
U.S. BANCORP, INC.                     EQUITY    902973304     49860   2,209,121  SH      DEFINED    1             2,209,121
U.S. RESTAURANT PROPERTIES INC         EQUITY    902971100        80       5,824  SH      DEFINED    1                 5,824
U.S.B. HOLDING CO., INC.               EQUITY    902910108        64       3,758  SH      DEFINED    1                 3,758
UAL CORP                               EQUITY    902549500       240      14,687  SH      DEFINED    1                14,687
UAXS GLOBAL HOLDINGS INC               EQUITY    91336M105        20      13,509  SH      DEFINED    1                13,509
UBIQUITEL INC                          EQUITY    903474302        42      17,224  SH      DEFINED    1                17,224
UCAR INTERNATIONAL, INC.               EQUITY    90262K109      1244      87,626  SH      DEFINED    1                87,626
UCBH HOLDINGS INC                      EQUITY    90262T308       217       6,024  SH      DEFINED    1                 6,024
UGI CORP.                              EQUITY    902681105      6892     219,909  SH      DEFINED    1               219,909
UICI                                   EQUITY    902737105       226      11,918  SH      DEFINED    1                11,918
UIL HOLDINGS CORP.                     EQUITY    902748102       224       3,861  SH      DEFINED    1                 3,861
ULTICOM INC                            EQUITY    903844108        22       2,894  SH      DEFINED    1                 2,894
ULTIMATE ELECTRONIS, INC.              EQUITY    903849107        76       2,709  SH      DEFINED    1                 2,709
ULTRATECH STEPPER, INC.                EQUITY    904034105       130       6,255  SH      DEFINED    1                 6,255
UMB FINANCIAL CORP.                    EQUITY    902788108       229       5,345  SH      DEFINED    1                 5,345
UMPQUA HOLDINGS CORP                   EQUITY    904214103        67       4,509  SH      DEFINED    1                 4,509
UNIFI, INC.                            EQUITY    904677101       784      83,435  SH      DEFINED    1                83,435
UNIFIRST CORP.                         EQUITY    904708104        63       2,489  SH      DEFINED    1                 2,489
UNILAB CORP NEW COM NEW                EQUITY    904763208      6858     278,890  SH      Sole       3    271590               7300
UNILEVER NV NY SHARES                  EQUITY    904784709     14874     261,870  SH      DEFINED    1               261,870
Union Electric                         CORPBOND  906548BT8      4467   5,000,000  PRN     DEFINED    4             5,000,000
UNION PACIFIC CORP.                    EQUITY    907818108      9289     149,483  SH      DEFINED    1               149,483
UNION PLANTERS CORP                    EQUITY    908068109      4503      95,026  SH      DEFINED    1                95,026
UNIONBANCAL CORP                       EQUITY    908906100        23         518  SH      DEFINED    1                   518
UNIROYAL TECHNOLOGY CORP.              EQUITY    909163107         2       4,494  SH      DEFINED    1                 4,494
UNISOURCE ENERGY CORP.                 EQUITY    909205106       199       9,746  SH      DEFINED    1                 9,746
UNISYS CORP.                           EQUITY    909214108      1886     149,322  SH      DEFINED    1               149,322
UNIT CORP.                             EQUITY    909218109       205      11,205  SH      DEFINED    1                11,205
UNITED AUTO GROUP, INC.                EQUITY    909440109        37       1,660  SH      DEFINED    1                 1,660
UNITED BANKSHARES INC. WV              EQUITY    909907107       396      13,419  SH      DEFINED    1                13,419
UNITED COMMUNITY FINANCIAL CO          EQUITY    909839102        73       9,812  SH      DEFINED    1                 9,812
UNITED DOMINION REALTY TRUST           EQUITY    910197102       509      32,111  SH      DEFINED    1                32,111
UNITED DOMINION RLTYTR COM             EQUITY    910197102     20291   1,281,000  SH      Sole       3   1066168             214832
UNITED FIRE & CASUALTY CO.             EQUITY    910331107        65       1,966  SH      DEFINED    1                 1,966
UNITED HEALTH GROUP INC                EQUITY    91324P102       330       3,680  SH      DEFINED    2                 3,680
United Healthcare                      CORPBOND  91324PAD4      5837   6,000,000  PRN     DEFINED    4             6,000,000
UNITED HEALTHCARE CORP                 EQUITY    91324P102     10769     140,921  SH      DEFINED    1               140,921
UNITED INDUSTRIAL CORP                 EQUITY    910671106        89       4,002  SH      DEFINED    1                 4,002
UNITED MICROELECTRONICS-ADR            EQUITY    910873207       320      30,000  SH      DEFINED    1                30,000
UNITED NATIONAL BANCORP                EQUITY    910909100       108       4,648  SH      DEFINED    1                 4,648
UNITED NATURAL FOODS, INC.             EQUITY    911163103        71       2,838  SH      DEFINED    1                 2,838
UNITED PARCEL SERVICE CLASS -B         EQUITY    911312106      9844     161,910  SH      DEFINED    1               161,910
UNITED PARCEL SVC INC                  EQUITY    911312106      1173      15,250  SH      DEFINED    2                15,250
UNITED RENTALS, INC.                   EQUITY    911363109      2545      92,616  SH      DEFINED    1                92,616




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
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UNITED STATES STEEL CORP               EQUITY    912909108       738      40,669  SH      DEFINED    1                40,669
UNITED STATIONERS INC COM              EQUITY    913004107     14323     375,942  SH      Sole       3    324700              47642
UNITED STATIONERS, INC.                EQUITY    913004107       378       9,932  SH      DEFINED    1                 9,932
UNITED SURGICAL PRTNRS COM             EQUITY    913016309     19634     846,300  SH      Sole       3    846300
UNITED TECHNOLOGIES CORP               EQUITY    913017109       131      14,800  SH      DEFINED    2                14,800
UNITED TECHNOLOGIES CORP.              EQUITY    913017109     15875     213,950  SH      DEFINED    1               213,950
UNITED THERAPEUTICS CORP.              EQUITY    91307C102        63       4,677  SH      DEFINED    1                 4,677
UNITEDGLOBALCOM INC. CLASS A           EQUITY    913247508       129      23,776  SH      DEFINED    1                23,776
UNITRIN, INC.                          EQUITY    913275103      3431      85,358  SH      DEFINED    1                85,358
UNIVERSAL AMER FINANCIAL CORP          EQUITY    913377107        97      14,028  SH      DEFINED    1                14,028
UNIVERSAL COMPRESSION HLDGS            EQUITY    913431102        88       3,352  SH      DEFINED    1                 3,352
UNIVERSAL CORP.                        EQUITY    913456109      1634      41,521  SH      DEFINED    1                41,521
UNIVERSAL DISPLAY CORP.                EQUITY    91347P105        47       4,945  SH      DEFINED    1                 4,945
UNIVERSAL ELECTRONICS INC.             EQUITY    913483103        63       4,278  SH      DEFINED    1                 4,278
UNIVERSAL FOREST PRODUCTS, INC         EQUITY    913543104        88       3,664  SH      DEFINED    1                 3,664
UNIVERSAL HEALTH REALTY INCOME         EQUITY    91359E105        87       3,622  SH      DEFINED    1                 3,622
UNIVERSAL HEALTH SERVICES - B          EQUITY    913903100      3130      75,882  SH      DEFINED    1                75,882
UNIVERSITY OF PHOENI                   EQUITY    037604204         6         134  SH      DEFINED    1                   134
UNIVISION COMMUNICATIONS, INC.         EQUITY    914906102      4135      98,448  SH      DEFINED    1                98,448
UNIVISION COMMUNICATNS CL A            EQUITY    914906102     15230     362,614  SH      Sole       3    313200              45914
UNIZAN FINANCIAL CORP                  EQUITY    91528W101       122       6,436  SH      DEFINED    1                 6,436
UNOCAL CORP.                           EQUITY    915289102      4390     112,705  SH      DEFINED    1               112,705
UNOVA, INC.                            EQUITY    91529B106       111      13,974  SH      DEFINED    1                13,974
UNUMPROVIDENT CORP.                    EQUITY    91529Y106      3116     111,559  SH      DEFINED    1               111,559
URBAN OUTFITTERS, INC.                 EQUITY    917047102        49       2,079  SH      DEFINED    1                 2,079
UROLOGIX INC                           EQUITY    917273104        64       3,519  SH      DEFINED    1                 3,519
URS CORP.                              EQUITY    903236107       130       4,088  SH      DEFINED    1                 4,088
US AIRWAYS GROUP, INC.                 EQUITY    911905107       395      61,280  SH      DEFINED    1                61,280
US CELLULAR                            EQUITY    911684108         7         172  SH      DEFINED    1                   172
US CONCRETE INC                        EQUITY    90333L102        39       5,936  SH      DEFINED    1                 5,936
US ONCOLOGY, INC.                      EQUITY    90338W103       260      29,507  SH      DEFINED    1                29,507
US PHYSICAL THERAPY INC                EQUITY    90337L108        25       1,408  SH      DEFINED    1                 1,408
US Treasury                            CORPBOND  912810FE3      4661   5,000,000  PRN     DEFINED    4             5,000,000
US UNSIRED INC                         EQUITY    90338R104        52       9,471  SH      DEFINED    1                 9,471
USA ED INC                             EQUITY    90390U102       216      31,400  SH      DEFINED    2                31,400
USA EDUCATION INC                      EQUITY    90390U102     20674     211,389  SH      DEFINED    1               211,389
USA NETWORKS INC WTS                   EQUITY    902984111         1          53  SH      DEFINED    1                     0
USA NETWORKS, INC.                     EQUITY    902984103       371      11,663  SH      DEFINED    1                11,663
USEC, INC                              EQUITY    90333E108       161      25,211  SH      DEFINED    1                25,211
USFREIGHTWAYS CORP.                    EQUITY    916906100       291       8,212  SH      DEFINED    1                 8,212
USG CORP.                              EQUITY    903293405        80      11,499  SH      DEFINED    1                11,499
USINOR SA                              EQUITY    912080108        88      23,125  SH      DEFINED    1                23,125
USLIFE INCOME FUND                     EQUITY    917324105        61       8,400  SH      DEFINED    1                 8,400
UST INC.                               EQUITY    902911106     15649     401,977  SH      DEFINED    1               401,977
UTSTARCOM INC                          EQUITY    918076100        10         387  SH      DEFINED    1                   387
V. F. CORP.                            EQUITY    918204108      2192      50,672  SH      DEFINED    1                50,672
VA LINUX SYSTEMS INC                   EQUITY    91819B105        16       9,668  SH      DEFINED    1                 9,668
VAIL RESORTS, INC.                     EQUITY    91879Q109        53       2,486  SH      DEFINED    1                 2,486
VALANCE TECHNOLOGY, INC                EQUITY    918914102        31      10,080  SH      DEFINED    1                10,080
VALASSIS COMMUNICATIONS, INC.          EQUITY    918866104      2620      67,828  SH      DEFINED    1                67,828
VALENTIS, INC.                         EQUITY    91913E104        32      11,245  SH      DEFINED    1                11,245
VALERO ENERGY CORP.                    EQUITY    91913Y100      6668     134,648  SH      DEFINED    1               134,648
VALHI INC                              EQUITY    918905100         1          66  SH      DEFINED    1                    66





                                        TITLE     CUSIP     VALUE     SHRS OR  SH/ PUT/  INVSTMT  OTHR           VOTING AUTHORITY
NAME OF ISSUER                          CLASS              (X$1000)   PRN AMT  PRN CALL  DSCRETN  MGRS  SOLE     SHARED      NONE
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VALLEY NATIONAL BANC                    EQUITY   919794107     27         757  SH        DEFINED    1                757
VALMONT INDUSTRIES, INC.                EQUITY   920253101     77       4,275  SH        DEFINED    1              4,275
VALSPAR CORP.                           EQUITY   920355104   2960      62,889  SH        DEFINED    1             62,889
VALUE CITY DEPT. STORES, INC.           EQUITY   920387107     21       4,931  SH        DEFINED    1              4,931
VALUE LINE, INC.                        EQUITY   920437100     23         470  SH        DEFINED    1                470
VALUEVISION INTERNATIONAL CLASS A       EQUITY   92047K107    147       7,099  SH        DEFINED    1              7,099
VANS, INC.                              EQUITY   921930103     58       4,969  SH        DEFINED    1              4,969
VARCO INTERNATIONAL                     EQUITY   922122106   2446     121,710  SH        DEFINED    1            121,710
VARIAN MEDICAL SYSTEMS INC              EQUITY   92220P105     41       1,000  SH        DEFINED    1              1,000
VARIAN SEMICONDUCTOR EQUIPMENT          EQUITY   922207105    459      10,198  SH        DEFINED    1             10,198
VARIAN, INC.                            EQUITY   922206107    369       9,726  SH        DEFINED    1              9,726
VASOMEDICAL, INC.                       EQUITY   922321104     51      17,815  SH        DEFINED    1             17,815
VASTERA INC                             EQUITY   92239N109     85       5,737  SH        DEFINED    1              5,737
VAXGEN, INC.                            EQUITY   922390208     29       2,567  SH        DEFINED    1              2,567
VCA ANTECH INC                          EQUITY   918194101   4590     340,000  SH        Sole       3   340000
VECTOR GROUP LTD.                       EQUITY   92240M108  10864     379,861  SH        DEFINED    1            379,861
VECTREN CORP                            EQUITY   92240G101   2203      85,767  SH        DEFINED    1             85,767
VEECO INSTRUMENTS, INC.                 EQUITY   922417100    313       8,946  SH        DEFINED    1              8,946
VENTANA MEDICAL SYSTEMS, INC.           EQUITY   92276H106     76       3,774  SH        DEFINED    1              3,774
VENTAS, INC.                            EQUITY   92276F100    238      18,852  SH        DEFINED    1             18,852
VENTIV HEALTH                           EQUITY   922793104     10       4,962  SH        DEFINED    1              4,962
VERISIGN, INC.                          EQUITY   92343E102    805      29,813  SH        DEFINED    1             29,813
VERITAS DGC INC                         EQUITY   92343P107   1351       4,732  SH        DEFINED    2              4,732
VERITAS DGC, INC.                       EQUITY   92343P107    170      10,054  SH        DEFINED    1             10,054
VERITAS SOFTWARE CORP                   EQUITY   923436109   1233       3,000  SH        DEFINED    2              3,000
VERITAS SOFTWARE CORP.                  EQUITY   923436109   8422     192,160  SH        DEFINED    1            192,160
VERITY INC COM                          EQUITY   92343C106    158       8,914  SH        DEFINED    1              8,914
VERIZON COMMUNICATIONS                  EQUITY   92343V104  87948   1,907,766  SH        DEFINED    1          1,907,766
VERIZON COMMUNICATIONS                  EQUITY   92343V104   1600      39,632  SH        DEFINED    2             39,632
Verizon Wireless                        CORPBOND 92344SAC4   4800   5,000,000  PRN       DEFINED    4          5,000,000
VERSICOR INC                            EQUITY   925314106     78       4,324  SH        DEFINED    1              4,324
VERTEX PHARMACEUTICALS, INC.            EQUITY   92532F100   2655      95,300  SH        DEFINED    1             95,300
VERTICALNET, INC.                       EQUITY   92532L107     15      21,328  SH        DEFINED    1             21,328
VESTA INSURANCE GROUP, INC.             EQUITY   925391104     65      10,817  SH        DEFINED    1             10,817
VI TECHNOLOGIES INC                     EQUITY   917920100      8       1,628  SH        DEFINED    1              1,628
VIACOM INC                              EQUITY   925524308  11537     30,032   SH        DEFINED    2             30,032
VIACOM, INC. CLASS B                    EQUITY   925524308  41768     863,505  SH        DEFINED    1            863,505
VIAD CORP.                              EQUITY   92552R109   3155     112,686  SH        DEFINED    1            112,686
VIASAT, INC.                            EQUITY   92552V100     61       4,353  SH        DEFINED    1              4,353
VIASYS HEALTHCARE INC                   EQUITY   92553Q209      8         340  SH        DEFINED    1                340
VIASYSTEMS GROUP, INC.                  EQUITY   92553H100      5      16,962  SH        DEFINED    1             16,962
VICAL INC.                              EQUITY   925602104     58       6,241  SH        DEFINED    1              6,241
VICOR CORP.                             EQUITY   925815102    119       7,057  SH        DEFINED    1              7,057
VIDAMED INC                             EQUITY   926530106     88      11,230  SH        DEFINED    1             11,230
VIEWPOINT CORP.                         EQUITY   92672P108     74      12,216  SH        DEFINED    1             12,216
VIGNETTE CORPORATION                    EQUITY   926734104     10       2,974  SH        DEFINED    1              2,974
VINTAGE PETROLEUM, INC.                 EQUITY   927460105    223      15,183  SH        DEFINED    1             15,183
VION PHARMACEUTICALS INC                EQUITY   927624106     37       8,980  SH        DEFINED    1              8,980
VIRAGE LOGIC CORPORATION                EQUITY   92763R104     41       2,693  SH        DEFINED    1              2,693
VIROPHARMA INC.                         EQUITY   928241108     28       5,518  SH        DEFINED    1              5,518
VISHAY INTERTECHNOLOGY, INC.            EQUITY   928298108   4560     224,182  SH        DEFINED    1            224,182
VISTEON CORP.                           EQUITY   92839U107   1151      69,559  SH        DEFINED    1             69,559




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
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VISTEON CORP.                          EQUITY    92839U107         3         192  SH      DEFINED    2                   192
VISUAL NETWORKING, INC.                EQUITY    928444108        26       8,829  SH      DEFINED    1                 8,829
VISX, INC.                             EQUITY    92844S105      1491      84,403  SH      DEFINED    1                84,403
VITAL SIGNS, INC.                      EQUITY    928469105        59       1,612  SH      DEFINED    1                 1,612
VITESSE SEMICONDUCTOR CORP.            EQUITY    928497106       973      99,284  SH      DEFINED    1                99,284
VITRIA TECHNOLOGY, INC.                EQUITY    92849Q104        87      22,046  SH      DEFINED    1                22,046
VODAFONE GROUP PLC -SP ADR             EQUITY    92857W100      9746     528,790  SH      DEFINED    1               528,790
VOLT INFORMATION SCIENCES INC.         EQUITY    928703107        47       2,520  SH      DEFINED    1                 2,520
VORNADO                                EQUITY    929042109        32         721  SH      DEFINED    1                   721
VORNADO RLTY TR SH BEN INT             EQUITY    929042109     27940     632,700  SH      Sole       3    514952             117748
VOTORANTIM CELULOSE - SPON ADR         EQUITY    92906P106      2462     131,400  SH      DEFINED    1               131,400
VULCAN MATERIALS CO.                   EQUITY    929160109      2197      46,221  SH      DEFINED    1                46,221
W HOLDING COMPANY INC.                 EQUITY    929251106       150       8,479  SH      DEFINED    1                 8,479
W. R. BERKLEY CORP.                    EQUITY    084423102       379       6,589  SH      DEFINED    1                 6,589
W. W. GRAINGER, INC.                   EQUITY    384802104      2415      42,944  SH      DEFINED    1                42,944
WABASH NATIONAL CORP.                  EQUITY    929566107        71       7,160  SH      DEFINED    1                 7,160
WABTEC                                 EQUITY    929740108       114       7,609  SH      DEFINED    1                 7,609
WACHOVIA CORP                          EQUITY    929903102     23158     624,540  SH      DEFINED    1               624,540
WACKENHUT CORP. CL A                   EQUITY    929794105        89       2,679  SH      DEFINED    1                 2,679
WACKENHUT CORRECTIONS CORP.            EQUITY    929798106        39       2,570  SH      DEFINED    1                 2,570
WADDELL & REED FINANCIAL, INC.         EQUITY    930059100      3099     101,665  SH      DEFINED    1               101,665
WAL MART STORES INC                    EQUITY    931142103       186     186,420  SH      DEFINED    2               186,420
Walgreen Co                            EQUITY    931422109      3527      90,000  SH      DEFINED    4                90,000
WALGREEN CO.                           EQUITY    931422109     20191     515,220  SH      DEFINED    1               515,220
WALLACE COMPUTER SERVICES INC.         EQUITY    932270101      1280      63,359  SH      DEFINED    1                63,359
WAL-MART STORES, INC.                  EQUITY    931142103    142083   2,317,835  SH      DEFINED    1             2,317,835
WALT DISNEY                            EQUITY    254687106     23629   1,023,770  SH      DEFINED    1             1,023,770
WALTER INDUSTRIES, INC.                EQUITY    93317Q105       136      10,302  SH      DEFINED    1                10,302
WASHINGTON FED INC COM                 EQUITY    938824109     19446     812,273  SH      Sole       3    812273
WASHINGTON FEDERAL I                   EQUITY    938824109        15         624  SH      DEFINED    1                   624
Washington Mutual                      CORPBOND  939318AA9      1501   1,500,000  PRN     DEFINED    4             1,500,000
WASHINGTON MUTUAL                      EQUITY    939322103       197       5,970  SH      DEFINED    2                 5,970
WASHINGTON MUTUAL INC                  EQUITY    939322103     19569     590,676  SH      DEFINED    1               590,676
Washington Mutual Savings              EQUITY    939322103       663      20,000  SH      DEFINED    4                20,000
WASHINGTON POST CO. CLASS B            EQUITY    939640108      7241      11,928  SH      DEFINED    1                11,928
WASHINGTON REAL ESTATE INV.            EQUITY    939653101       346      12,049  SH      DEFINED    1                12,049
WASHINGTON TRUST BANCORP, INC.         EQUITY    940610108        73       3,758  SH      DEFINED    1                 3,758
WASTE CONNECTIONS INC                  EQUITY    941053100      1780      97,375  SH      DEFINED    2                97,375
WASTE CONNECTIONS, INC.                EQUITY    941053100       286       8,536  SH      DEFINED    1                 8,536
WASTE MANAGEMENT, INC.                 EQUITY    94106L109      7744     284,180  SH      DEFINED    1               284,180
WASTE MGMT INC DEL                     EQUITY    94106L109      3154      54,460  SH      DEFINED    2                54,460
WATCHGUARD TECH. INC.                  EQUITY    941105108        42       6,688  SH      DEFINED    1                 6,688
WATERS CORP.                           EQUITY    941848103      1687      60,320  SH      DEFINED    1                60,320
WATSCO, INC.                           EQUITY    942622200        94       5,266  SH      DEFINED    1                 5,266
WATSON PHARMACEUTICALS, INC            EQUITY    942683103      5638     208,109  SH      DEFINED    1               208,109
WATSON WYATT & CO HOLDINGS             EQUITY    942712100        79       2,884  SH      DEFINED    1                 2,884
WATTS INDUSTRIES, INC., CLASS A        EQUITY    942749102        80       4,780  SH      DEFINED    1                 4,780
WAUSAU-MOSINEE PAPER CORP.             EQUITY    943315101      1011      79,218  SH      DEFINED    1                79,218
WAVE SYSTEMS CORP.                     EQUITY    943526103        38      15,651  SH      DEFINED    1                15,651
WAYPOINT FINANCIAL CORP.               EQUITY    946756103       181      10,924  SH      DEFINED    1                10,924
WD-40 CO.                              EQUITY    929236107       148       4,899  SH      DEFINED    1                 4,899
WEATHERFORD INTERNATIONAL INC.         EQUITY    947074100     15641     328,375  SH      DEFINED    1               328,375
WEATHERFORD INTL INC COM               EQUITY    947074100      4287      90,000  SH      Sole       3     79200               9700




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
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WEATHERFORD INTL INC NEW               EQUITY    947074100       472      36,200  SH      DEFINED    2                36,200
WEBEX COMMUNICATIONS INC (USD)         EQUITY    94767L109        92       5,586  SH      DEFINED    1                 5,586
WEBMD CORPORATION                      EQUITY    94769M105        21       2,743  SH      DEFINED    1                 2,743
WEBMETHODS INC                         EQUITY    94768C108       127       7,386  SH      DEFINED    1                 7,386
WEBSENSE INC                           EQUITY    947684106     25594   1,017,261  SH      Sole       3   1004761              12500
WEBSENSE INC                           EQUITY    947684106       131       5,206  SH      DEFINED    1                 5,206
WEBSTER FINANCIAL CORP.                EQUITY    947890109      2335      62,386  SH      DEFINED    1                62,386
WEINGARTEN REALTY INVESTORS            EQUITY    948741103       453       8,808  SH      DEFINED    1                 8,808
WEIS MARKETS INC                       EQUITY    948849104         3         110  SH      DEFINED    1                   110
WELLMAN, INC.                          EQUITY    949702104       137       8,350  SH      DEFINED    1                 8,350
WELLPOINT HEALTH NETWORKS INC.         EQUITY    94973H108      4302      67,572  SH      DEFINED    1                67,572
WELLS FARGO + CO NEW                   EQUITY    949746101      1386      13,000  SH      DEFINED    2                13,000
WELLS FARGO CO.                        EQUITY    949746101     40730     824,500  SH      DEFINED    1               824,500
WENDY'S INTERNATIONAL, INC.            EQUITY    950590109      2921      83,516  SH      DEFINED    1                83,516
WERNER ENTERPRISES INC                 EQUITY    950755108      1795      40,067  SH      DEFINED    2                40,067
WERNER ENTERPRISES, INC.               EQUITY    950755108       245      11,701  SH      DEFINED    1                11,701
WESBANCO, INC.                         EQUITY    950810101       133       5,584  SH      DEFINED    1                 5,584
WESCO FINANCIAL CORP                   EQUITY    950817106         2           6  SH      DEFINED    1                     6
WESCO INTERNATIONAL, INC.              EQUITY    95082P105        43       6,132  SH      DEFINED    1                 6,132
WEST COAST BANCORP                     EQUITY    952145100        76       5,017  SH      DEFINED    1                 5,017
WEST CORPORATION                       EQUITY    952355105         9         274  SH      DEFINED    1                   274
WEST PHARMACEUTICAL SERVICES           EQUITY    955306105        95       3,120  SH      DEFINED    1                 3,120
WESTAMERICA BANKCORPORATION            EQUITY    957090103      3021      70,662  SH      DEFINED    1                70,662
WESTCORP                               EQUITY    957907108        73       3,355  SH      DEFINED    1                 3,355
WESTERN DIGITIAL CORP.                 EQUITY    958102105       363      58,206  SH      DEFINED    1                58,206
WESTERN GAS RESOURCES, INC.            EQUITY    958259103      1764      47,393  SH      DEFINED    1                47,393
WESTERN RESOURCES INC                  EQUITY    959425109      1523      88,791  SH      DEFINED    1                88,791
WESTERN WIRELESS CORP. CLASS A         EQUITY    95988E204         8         898  SH      DEFINED    1                   898
WESTPOINT STEVENS INC. CLASS A         EQUITY    961238102        16       7,255  SH      DEFINED    1                 7,255
WESTPORT RESOURSES                     EQUITY    961418100       184       9,362  SH      DEFINED    1                 9,362
WESTWOOD ONE INC                       EQUITY    961815107       723      43,700  SH      DEFINED    2                43,700
WESTWOOD ONE, INC.                     EQUITY    961815107      5199     135,577  SH      DEFINED    1               135,577
WET SEAL INC CL A                      EQUITY    961840105     19210     550,600  SH      Sole       3    541300               9300
WET SEAL, INC.                         EQUITY    961840105       152       4,355  SH      DEFINED    1                 4,355
WEYERHAEUSER CO.                       EQUITY    962166104      6278      99,870  SH      DEFINED    1                99,870
Weyerhauser Co                         CORPBOND  939318AA9      4966   5,000,000  PRN     DEFINED    4             5,000,000
WFS FINANCIAL, INC.                    EQUITY    92923B106        82       3,305  SH      DEFINED    1                 3,305
WGL HOLDINGS INC.                      EQUITY    92924F106      2046      76,185  SH      DEFINED    1                76,185
W-H ENERGY SERVICES INC                EQUITY    92925E108       141       6,510  SH      DEFINED    1                 6,510
WHIRLPOOL CORP.                        EQUITY    963320106      2304      30,498  SH      DEFINED    1                30,498
WHITNEY HOLDING CORP.                  EQUITY    966612103       410       8,220  SH      DEFINED    1                 8,220
WHOLE FOODS MARKET I                   EQUITY    966837106        34         746  SH      DEFINED    1                   746
WILD OATS MARKETS, INC.                EQUITY    96808B107        43       5,040  SH      DEFINED    1                 5,040
WILLIAMS COMMUNICATIONS GRP            EQUITY    969455104         1       4,548  SH      DEFINED    1                 4,548
WILLIAMS COMPANIES, INC.               EQUITY    969457100      5625     238,740  SH      DEFINED    1               238,740
WILLIAMS SONOMA INC                    EQUITY    969904101      1299      14,000  SH      DEFINED    2                14,000
WILLIAMS SONOMA INC COM                EQUITY    969904101     71320   1,550,779  SH      Sole       3   1459688              86691
WILLIAMS-SONOMA, INC.                  EQUITY    969904101      3328      72,361  SH      DEFINED    1                72,361
WILMINGTON TRUST CORP                  EQUITY    971807102      2786      41,385  SH      DEFINED    1                41,385
Wilson Greatbatch Tech                 EQUITY    972232102       627      24,400  SH      DEFINED    4                24,400
WILSON GREATBATCH TECH INC             EQUITY    972232102      3214     125,000  SH      Sole       3    125000
WILSON GREATBATCH TECHNOLOGIES         EQUITY    972232102       150       5,842  SH      DEFINED    1                 5,842
WILSONS THE LEATHER EXPERTS            EQUITY    972463103        40       3,346  SH      DEFINED    1                 3,346




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
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WIMM-BILL-DANN FOODS ADR               EQUITY    97263M109      1076      45,000  SH      DEFINED    1                45,000
WIND RIVER SYSTEMS INC.                EQUITY    973149107      1346      99,038  SH      DEFINED    1                99,038
WINN-DIXIE STORES, INC.                EQUITY    974280109      1025      63,897  SH      DEFINED    1                63,897
WINNEBAGO INDUSTRIES, INC.             EQUITY    974637100       166       3,943  SH      DEFINED    1                 3,943
WINSTON HOTELS INC                     EQUITY    97563A102        41       4,376  SH      DEFINED    1                 4,376
WINTRUST FINANCIAL CORP                EQUITY    97650W108        81       3,546  SH      DEFINED    1                 3,546
WIRELESS FACILITIES INC.               EQUITY    97653A103        44       7,304  SH      DEFINED    1                 7,304
WISCONSIN ENERGY CORP.                 EQUITY    976657106      3672     147,589  SH      DEFINED    1               147,589
WITNESS SYS INC COM                    EQUITY    977424100     19148   1,360,900  SH      Sole       3   1360900
WITNESS SYSTEMS INC                    EQUITY    977424100        51       3,646  SH      DEFINED    1                 3,646
WJ COMMUNICATIONS INC                  EQUITY    929284107        15       4,555  SH      DEFINED    1                 4,555
WM. WRIGLEY JR. CO.                    EQUITY    982526105      5529     103,707  SH      DEFINED    1               103,707
WMS INDUSTRIES INC.                    EQUITY    929297109       117       6,177  SH      DEFINED    1                 6,177
WOLVERINE TUBE, INC.                   EQUITY    978093102        21       2,433  SH      DEFINED    1                 2,433
WOLVERINE WORLD WIDE, INC.             EQUITY    978097103       232      12,931  SH      DEFINED    1                12,931
WOODHEAD INDS INC COM                  EQUITY    979438108        59       3,310  SH      DEFINED    1                 3,310
WOODWARD GOVERNOR CO.                  EQUITY    980745103       189       2,749  SH      DEFINED    1                 2,749
WORDLCOM INC-WORLDCOM GROUP            EQUITY    98157D106     49094   7,982,706  SH      DEFINED    1             7,982,706
WORLD ACCEPTANCE CORP.                 EQUITY    981419104        26       3,725  SH      DEFINED    1                 3,725
WORLD WRESTLING FED ENTMNT             EQUITY    98156Q108        52       3,581  SH      DEFINED    1                 3,581
Worldcom Inc                           CORPBOND  98157DAJ5      1678   2,000,000  PRN     DEFINED    4             2,000,000
WORTHINGTON INDUSTRIES, INC.           EQUITY    981811102       918      59,778  SH      DEFINED    1                59,778
WPS RESOURCES CORP.                    EQUITY    92931B106      1904      48,284  SH      DEFINED    1                48,284
WSFS FINANCIAL CORP                    EQUITY    929328102        44       2,434  SH      DEFINED    1                 2,434
WYETH                                  EQUITY    983024100     54530     830,620  SH      DEFINED    1               830,620
WYETH                                  EQUITY    983024100       997      43,500  SH      DEFINED    2                43,500
WYNDHAM INTERNATIONAL, INC.            EQUITY    983101106       222     246,981  SH      DEFINED    1               246,981
XANSER CORP.                           EQUITY    98389J103        25       9,156  SH      DEFINED    1                 9,156
XCEL STATES POWER-MINES                EQUITY    98389B100      4736     186,827  SH      DEFINED    1               186,827
Xerox  Capital I                       CORPBOND  984119AC1      4176   7,295,000  PRN     DEFINED    4             7,295,000
XEROX CORP.                            EQUITY    984121103      3575     332,558  SH      DEFINED    1               332,558
XICOR INC                              EQUITY    984903104        73       6,847  SH      DEFINED    1                 6,847
XILINX INC                             EQUITY    983919101      1155      20,300  SH      DEFINED    2                20,300
XILINX, INC.                           EQUITY    983919101      6519     163,540  SH      DEFINED    1               163,540
XL CAPITAL LTD                         EQUITY    G98255105      5597      59,954  SH      DEFINED    1                59,954
XM SATELLITE RADIO HLDGS INC           EQUITY    983759101       375      25,000  SH      DEFINED    2                25,000
XM SATTELLITE RADIO HOLDINGS           EQUITY    983759101        67       4,881  SH      DEFINED    1                 4,881
X-RITE, INC.                           EQUITY    983857103        42       5,259  SH      DEFINED    1                 5,259
XTO ENERGY INC                         EQUITY    98385X106        35       1,743  SH      DEFINED    1                 1,743
XYBERNAUT CORP.                        EQUITY    984149104        23      14,459  SH      DEFINED    1                14,459
YAHOO INC                              EQUITY    984332106      1028      56,905  SH      DEFINED    2                56,905
YAHOO!, INC.                           EQUITY    984332106      5133     277,889  SH      DEFINED    1               277,889
YANKEE CANDLE INC                      EQUITY    984757104      1661      41,500  SH      DEFINED    2                41,500
YELLOW CORP.                           EQUITY    985509108       204       7,718  SH      DEFINED    1                 7,718
YORK INTERNATIONAL CORP.               EQUITY    986670107      2190      61,003  SH      DEFINED    1                61,003
YOUNG BROADCASTING, INC. CLASS A       EQUITY    987434107       117       4,666  SH      DEFINED    1                 4,666
YPF S.A.-Sponsored ADR                 EQUITY    9842451000      265       9,000  SH      DEFINED    1                 9,000
ZALE CORP.                             EQUITY    988858106       419      10,327  SH      DEFINED    1                10,327
ZEBRA TECHNOLOGIES CORP. CLASS A       EQUITY    989207105       446       8,250  SH      DEFINED    1                 8,250
ZENITH NATIONAL INSURANCE CORP         EQUITY    989390109        74       2,544  SH      DEFINED    1                 2,544
ZIMMER HOLDINGS                        EQUITY    98956P102         2          50  SH      DEFINED    2                    50
ZIMMER HOLDINGS INC                    EQUITY    98956P102      3455     101,465  SH      DEFINED    1               101,465
ZIONS BANCORPORATION                   EQUITY    989701107      2481      41,857  SH      DEFINED    1                41,857




                                        TITLE      CUSIP     VALUE     SHRS OR   SH/ PUT/ INVSTMT  OTHR            VOTING AUTHORITY
NAME OF ISSUER                          CLASS               (X$1000)   PRN AMT   PRN CALL DSCRETN  MGRS   SOLE      SHARED    NONE
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Zions Inst                             CORPBOND  989718AC5      6482   7,000,000  PRN     DEFINED    4             7,000,000
ZIXIT CORP.                            EQUITY    98974P100        26       3,959  SH      DEFINED    1                 3,959
ZOLL MEDICAL CORP.                     EQUITY    989922109       106       2,760  SH      DEFINED    1                 2,760
ZOMAX INCORPORATED                     EQUITY    989929104        66       9,077  SH      DEFINED    1                 9,077
ZORAN CORP.                            EQUITY    98975F101       242       5,545  SH      DEFINED    1                 5,545
Zurich Capital                         CORPBOND  989819AA5      1936   2,000,000  PRN     DEFINED    4             2,000,000
ZYGO CORP.                             EQUITY    989855101        72       4,441  SH      DEFINED    1                 4,441