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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: June 30, 2004


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:  Win J. Neuger

Title: Executive Vice President and Chief Investment Officer

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Win J. Neuger                  New York, New York         August 13, 2004
-------------------------------    ------------------------  -----------------
(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: 3,916



Form 13F Information Table Value Total: $16,889,034 (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                  AIG SUNAMERICA ASSET MANAGEMENT CORP.

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

4         28-5794                  HSB GROUP, INC.







                                       TITLE OF               VALUE   SHARES/   SH/ PUT/ INVESTMENT OTHER     (A)     (B)     (C)
             NAME OF ISSUER             CLASS   CUSIP NUMBER (X1000) PRINCIPAL   PN CALL DISCRETION  MGRS    SOLE    SHARED  NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                            
1-800 CONTACTS INC                     EQUITY    681977104        52      3,494  SH           Sole    1        3,494
1-800-FLOWERS.COM INC                  EQUITY    68243Q106        87     10,658  SH           Sole    1       10,658
1ST SOURCE CORP.                       EQUITY    336901103       141      5,664  SH           Sole    1        5,664
21ST CENTURY INSURANCE COMPANY         EQUITY    90130N103    691586 53,445,620  SH           Sole    1   53,445,620
21st CENTURY INSURANCE COMPANY         EQUITY    90130N103       138     10,645  SH           Sole    1       10,645
24/7 REAL MEDIA INC                    EQUITY    901314203        59     10,453  SH           Sole    1       10,453
3COM CORP.                             EQUITY    885535104      3762    601,984  SH           Sole    1      601,984
3M                                     EQUITY    88579Y101      2970     33,000  SH        DEFINED    4       33,000
3M CO                                  EQUITY    88579Y101     41916    465,679  SH           Sole    1      465,679
3M CO                                  EQUITY    88579Y101     14576    161,937  SH        DEFINED    2      161,937
4KIDS ENTERTAINMENT INC                EQUITY    350865101       159      6,649  SH           Sole    1        6,649
7-ELEVEN INC.                          EQUITY    817826209        10        543  SH           Sole    1          543
99 CENTS ONLY STORES                   EQUITY    65440K106      2069    135,647  SH           Sole    1      135,647
A C MOORE ARTS & CRAFT                 EQUITY    00086T103       182      6,607  SH           Sole    1        6,607
A.G. EDWARDS, INC.                     EQUITY    281760108      4286    125,951  SH           Sole    1      125,951
A.S.V. INC                             EQUITY    001963107       117      3,749  SH           Sole    1        3,749
AAON INC                               EQUITY    000360206        85      4,192  SH           Sole    1        4,192
AAR CORP.                              EQUITY    000361105       176     15,507  SH           Sole    1       15,507
AARON RENTS INC COM                    EQUITY    002535201        18     533495  SH           Sole    3       517085         16410
AARON RENTS, INC.                      EQUITY    002535201       403     12,157  SH           Sole    1       12,157
ABAXIS INC                             EQUITY    002567105       159      8,396  SH           Sole    1        8,396
ABBEY NATIONAL PLC                     CorpBond  002920809     25617    999,100  SH           Sole    1          999
Abbey National PLC 7.375%              EQUITY    002920809      2692    105,000  SH        DEFINED    4      105,000
ABBOTT LABORATORIES                    EQUITY    002824100     28344    695,384  SH           Sole    1      695,384
ABBOTT LABS                            EQUITY    002824100     10405    255,263  SH        DEFINED    2      255,263
Abbott Labs                            EQUITY    002824100      1019     25,000  SH        DEFINED    4       25,000
ABC BANCORP                            EQUITY    000400101        96      4,696  SH           Sole    1        4,696
ABERCROMBIE AND FITCH CO.              EQUITY    002896207      5891    152,026  SH           Sole    1      152,026
ABGENIX INC                            EQUITY    00339B107      1739    148,400  SH        DEFINED    2      148,400
ABGENIX, INC.                          EQUITY    00339B107       458     39,082  SH           Sole    1       39,082
ABIOMED, INC.                          EQUITY    003654100        92      7,327  SH           Sole    1        7,327
ABLE LABORATORIES INC                  EQUITY    00371N407       168      8,187  SH           Sole    1        8,187
ABLE LABORATORIES INC COM NEW          EQUITY    00371N407         2     115300  SH           Sole    3       115300
ABM INDUSTRIES, INC.                   EQUITY    000957100       352     18,059  SH           Sole    1       18,059
ACADIA REALTY TRUST                    EQUITY    004239109       216     15,689  SH           Sole    1       15,689
ACCELRYS INC                           EQUITY    00430U103       116     11,716  SH           Sole    1       11,716
ACCREDITED HOME LENDERS                EQUITY    00437P107       221      7,862  SH           Sole    1        7,862
ACCREDO HEALTH INC                     EQUITY    00437V104      5862    150,500  SH        DEFINED    2      150,500
ACCREDO HEALTH INC.                    EQUITY    00437V104        41      1,040  SH           Sole    1        1,040
ACE CASH EXPRESS INC                   EQUITY    004403101       111      4,333  SH           Sole    1        4,333
ACE LTD                                EQUITY    G0070K103      5095    120,499  SH           Sole    1      120,499
ACE LTD                                EQUITY    G0070K103        14        339  SH        DEFINED    2          339
ACETO CORP                             EQUITY    004446100       135      7,673  SH           Sole    1        7,673
ACTEL CORP.                            EQUITY    004934105       229     12,379  SH           Sole    1       12,379
ACTION PERFORMANCE CO., INC.           EQUITY    004933107       112      7,442  SH           Sole    1        7,442
ACTIVCARD CORP                         EQUITY    00506J107       147     20,297  SH           Sole    1       20,297
ACTIVISION, INC.                       EQUITY    004930202      3384    212,821  SH           Sole    1      212,821
ACTUANT CORP                           EQUITY    00508X203       445     11,401  SH           Sole    1       11,401
ACTUATE CORP.                          EQUITY    00508B102        98     24,869  SH           Sole    1       24,869
ACUITY BRANDS INC                      EQUITY    00508Y102       553     20,479  SH           Sole    1       20,479
ACXIOM CORP.                           EQUITY    005125109      3343    134,623  SH           Sole    1      134,623
ADAPTEC, INC.                          EQUITY    00651F108       444     52,462  SH           Sole    1       52,462
ADC TELECOMMUNICATIONS INC             EQUITY    000886101         3        969  SH        DEFINED    2          969
ADC TELECOMMUNICATIONS, INC            EQUITY    000886101      1025    360,817  SH           Sole    1      360,817
ADE CORP.                              EQUITY    00089C107        98      4,545  SH           Sole    1        4,545
ADMINISTAFF, INC.                      EQUITY    007094105       173     10,401  SH           Sole    1       10,401





                                                                                            
ADOBE SYS INC                          EQUITY    00724F101     12722    273,586  SH        DEFINED    2      273,586
ADOBE SYSTEMS INC.                     EQUITY    00724F101      8761    188,408  SH           Sole    1      188,408
ADOLOR CORPORATION                     EQUITY    00724X102       237     18,660  SH           Sole    1       18,660
ADTRAN, INC.                           EQUITY    00738A106      4150    124,364  SH           Sole    1      124,364
ADVANCE AUTO PARTS                     EQUITY    00751Y106        70      1,591  SH           Sole    1        1,591
Advance Auto Parts                     EQUITY    00751Y106      1325     30,000  SH        DEFINED    4       30,000
ADVANCED DIGITAL INFO CORP.            EQUITY    007525108       299     30,859  SH           Sole    1       30,859
ADVANCED ENERGY INDUSTRIES             EQUITY    007973100       160     10,187  SH           Sole    1       10,187
ADVANCED FIBRE COMMUNICATIONS          EQUITY    00754A105      7329    362,831  SH           Sole    1      362,831
ADVANCED MARKETING SERV. INC.          EQUITY    00753T105        88      6,845  SH           Sole    1        6,845
ADVANCED MEDICAL OPTIC COM             EQUITY    00763M108         6     138300  SH           Sole    3       136900          1400
ADVANCED MEDICAL OPTICS                EQUITY    00763M108       604     14,182  SH           Sole    1       14,182
ADVANCED MICRO DEVICES, INC.           EQUITY    007903107      2504    157,509  SH           Sole    1      157,509
ADVANCED NEUROMODULATION S             EQUITY    00757T101      3218     98,324  SH        DEFINED    2       98,324
ADVANCES NEUROMODULATIONS SYS          EQUITY    00757T101       317      9,658  SH           Sole    1        9,658
ADVANCIS PHARMACEUTICAL                EQUITY    00764L109        31      4,538  SH           Sole    1        4,538
ADVANTA CORP [B]                       EQUITY    007942204       216      9,444  SH           Sole    1        9,444
ADVENT SOFTWARE, INC.                  EQUITY    007974108      1127     62,350  SH           Sole    1       62,350
ADVISORY BRD CO                        EQUITY    00762W107       303      8,507  SH           Sole    1        8,507
ADVO, INC.                             EQUITY    007585102       480     14,589  SH           Sole    1       14,589
AEROFLEX, INC                          EQUITY    007768104       453     31,727  SH           Sole    1       31,727
AEROPOSTALE INC                        EQUITY    007865108       717     26,655  SH           Sole    1       26,655
AES CORP                               EQUITY    00130H105         8        763  SH        DEFINED    2          763
AES DRAX ENERGY LTD                    EQUITY    00130H105      2847    286,664  SH           Sole    1      286,664
AETNA INC                              EQUITY    00817Y108     16344    192,283  SH        DEFINED    2      192,283
AETNA INC-NEW                          EQUITY    00817Y108     19713    231,913  SH           Sole    1      231,913
AFFILIATED COMPUTER SERVICES CLASS A   EQUITY    008190100      3194     60,336  SH           Sole    1       60,336
AFFILIATED COMPUTER SVCS I             EQUITY    008190100         9        163  SH        DEFINED    2          163
AFFILIATED MANAGERS GROUP              EQUITY    008252108       590     11,712  SH           Sole    1       11,712
AFFORDABLE RESIDENTIAL COMMU           EQUITY    008273104       197     11,876  SH           Sole    1       11,876
AFFYMETRIX INC                         EQUITY    00826T108        42      1,297  SH           Sole    1        1,297
AFLAC INC                              EQUITY    001055102        25        609  SH        DEFINED    2          609
AFLAC, INC.                            EQUITY    001055102     46739  1,145,289  SH           Sole    1    1,145,289
AFTERMARKET TECHNOLOGY                 EQUITY    008318107        93      5,628  SH           Sole    1        5,628
AGCO CORP.                             EQUITY    001084102      2826    138,736  SH           Sole    1      138,736
AGERE SYSTEMS INC-CL B W/I             EQUITY    00845V209        79     36,787  SH           Sole    1       36,787
AGILE SOFTWARE CORP.                   EQUITY    00846X105       219     25,082  SH           Sole    1       25,082
AGILENT TECHNOLOGIES INC               EQUITY    00846U101        17        577  SH        DEFINED    2          577
AGILENT TECHNOLOGIES INC.              EQUITY    00846U101      6103    208,437  SH           Sole    1      208,437
AGILYSYS INC                           EQUITY    00847J105       190     13,807  SH           Sole    1       13,807
AGL RESOURCES, INC.                    EQUITY    001204106      3831    131,876  SH           Sole    1      131,876
AIR PRODS + CHEMS INC                  EQUITY    009158106        14        272  SH        DEFINED    2          272
AIR PRODUCTS AND CHEMICALS INC         EQUITY    009158106      5297    100,987  SH           Sole    1      100,987
AIRGAS, INC.                           EQUITY    009363102      3415    142,828  SH           Sole    1      142,828
AIRGATE PCS INC                        EQUITY    009367301       596     32,547  SH        DEFINED    2       32,547
AIRSPAN NETWORKS INC                   EQUITY    00950H102        83     14,798  SH           Sole    1       14,798
AIRTRAN HOLDINGS, INC.                 EQUITY    00949P108      2423    171,333  SH           Sole    1      171,333
AK STEEL CORP.                         EQUITY    001547108       275     52,276  SH           Sole    1       52,276
AKAMAI  TECHNOLOGIES  INC.             EQUITY    00971T101        41      2,290  SH           Sole    1        2,290
AKSYS LTD                              EQUITY    010196103        23      3,871  SH           Sole    1        3,871
ALABAMA NATIONAL BANCORP               EQUITY    010317105       319      5,745  SH           Sole    1        5,745
ALAMOSA HOLDINGS INC.                  EQUITY    011589108       225     30,582  SH           Sole    1       30,582
ALASKA AIR GROUP, INC.                 EQUITY    011659109      1298     54,390  SH           Sole    1       54,390
ALASKA COMM. SYS. HLDGS., INC.         EQUITY    01167P101        29      4,726  SH           Sole    1        4,726
ALBANY INTERNATIONAL CORP. CLASS A     EQUITY    012348108       423     12,610  SH           Sole    1       12,610
ALBANY MOLECULAR                       EQUITY    012423109       144     11,165  SH           Sole    1       11,165
ALBEMARLE CORP.                        EQUITY    012653101      2523     79,718  SH           Sole    1       79,718
ALBERTO CULVER CO                      EQUITY    013068101         5        108  SH        DEFINED    2          108
ALBERTO-CULVER CO. CLASS B             EQUITY    013068101      2011     40,101  SH           Sole    1       40,101





                                                                                            
ALBERTSONS INC                         EQUITY    013104104     13957    525,869  SH        DEFINED    2      525,869
ALBERTSON'S, INC.                      EQUITY    013104104      4333    163,256  SH           Sole    1      163,256
ALCAN INC                              EQUITY    013716105      2125     51,600  SH          Other    1            0  51,600
ALCOA INC                              EQUITY    013817101        34      1,042  SH        DEFINED    2        1,042
ALCOA, INC.                            EQUITY    013817101     13518    409,267  SH           Sole    1      409,267
ALDERWOODS GROUP INC                   EQUITY    014383103       235     19,234  SH           Sole    1       19,234
ALEXANDER & BALDWIN, INC.              EQUITY    014482103      2858     85,445  SH           Sole    1       85,445
ALEXANDER'S, INC.                      EQUITY    014752109       154        917  SH           Sole    1          917
ALEXANDRIA REAL ESTATE EQUITIE         EQUITY    015271109       685     12,069  SH           Sole    1       12,069
ALEXION PHARMACEUTICLAS, INC.          EQUITY    015351109       196     10,559  SH           Sole    1       10,559
ALFA CORP.                             EQUITY    015385107       222     15,872  SH           Sole    1       15,872
ALICO INC                              EQUITY    016230104        69      1,720  SH           Sole    1        1,720
ALIGN TECHNOLOGY INC                   EQUITY    016255101       476     25,028  SH           Sole    1       25,028
ALIGN TECHNOLOGY INC                   EQUITY    016255101      1303     68,600  SH        DEFINED    2       68,600
ALKERMES INC                           EQUITY    01642T108       586     43,108  SH           Sole    1       43,108
ALLEGHANY CORP                         EQUITY    017175100        24         85  SH           Sole    1           85
ALLEGHENY ENERGY INC                   EQUITY    017361106         2        152  SH        DEFINED    2          152
ALLEGHENY ENERGY, INC.                 EQUITY    017361106       871     56,515  SH           Sole    1       56,515
ALLEGHENY TECHNOLOGIES INC             EQUITY    01741R102         2         97  SH        DEFINED    2           97
ALLEGHENY TECHNOLOGIES, INC.           EQUITY    01741R102      1393     77,154  SH           Sole    1       77,154
ALLERGAN INC                           EQUITY    018490102     12986    145,057  SH        DEFINED    2      145,057
ALLERGAN, INC.                         EQUITY    018490102     35428    395,760  SH           Sole    1      395,760
ALLETE INC.                            EQUITY    018522102      4556    136,802  SH           Sole    1      136,802
ALLIANCE DATA SYS CORP COM             EQUITY    018581108        10     243070  SH           Sole    3       216500         26570
ALLIANCE DATA SYSTEMS                  EQUITY    018581108      5284    125,061  SH           Sole    1      125,061
ALLIANCE GAMING CORP                   EQUITY    01859P609       424     24,730  SH           Sole    1       24,730
ALLIANCE IMAGING INC                   EQUITY    018606202        28      6,045  SH           Sole    1        6,045
ALLIANCE SEMICONDUCTOR CORP.           EQUITY    01877H100        58      9,811  SH           Sole    1        9,811
ALLIANT ENERGY CORP.                   EQUITY    018802108      4541    174,121  SH           Sole    1      174,121
ALLIANT TECHSYSTEMS INC                EQUITY    018804104      3861     60,956  SH           Sole    1       60,956
ALLIANT TECHSYSTEMS INC                EQUITY    018804104     13339    210,600  SH        DEFINED    2      210,600
ALLIED CAPITAL CORP                    EQUITY    01903Q108        57      2,337  SH           Sole    1        2,337
ALLIED WASTE INDUSTRIES IN             EQUITY    019589308         5        380  SH        DEFINED    2          380
ALLIED WASTE INDUSTRIES, INC.          EQUITY    019589308      1853    140,627  SH           Sole    1      140,627
ALLMERICA FINANCIAL CORP               EQUITY    019754100      2821     83,465  SH           Sole    1       83,465
ALLOS THERAPEUTICS INC                 EQUITY    019777101        19      8,294  SH           Sole    1        8,294
ALLOY ONLINE, INC                      EQUITY    019855105        97     15,827  SH           Sole    1       15,827
ALLSCRIPTS HEALTHCARE SOLUTION         EQUITY    01988P108       103     13,161  SH           Sole    1       13,161
ALLSTATE CORP                          EQUITY    020002101        39        842  SH        DEFINED    2          842
ALLSTATE CORP.                         EQUITY    020002101     19657    422,285  SH           Sole    1      422,285
ALLTEL CORP                            EQUITY    020039103      2074     40,969  SH        DEFINED    2       40,969
ALLTEL CORP.                           EQUITY    020039103      7899    156,039  SH           Sole    1      156,039
ALPHARMA INC. CLASS A                  EQUITY    020813101       387     18,886  SH           Sole    1       18,886
ALTERA CORP                            EQUITY    021441100        10        449  SH        DEFINED    2          449
ALTERA CORP.                           EQUITY    021441100      4549    205,281  SH           Sole    1      205,281
ALTIRIS INC                            EQUITY    02148M100       276      9,995  SH           Sole    1        9,995
ALTRIA GROUP INC                       EQUITY    02209S103     92426  1,846,666  SH           Sole    1    1,846,666
ALTRIA GROUP INC                       EQUITY    02209S103     22751    454,562  SH        DEFINED    2      454,562
AMAZON COM INC                         EQUITY    023135106      4662     85,700  SH        DEFINED    2       85,700
AMAZON.COM, INC.                       EQUITY    023135106      1064     19,560  SH           Sole    1       19,560
AMB PROPERTY CORP                      EQUITY    00163T109      4855    140,209  SH           Sole    1      140,209
AMBAC FINANCIAL GROUP INC.             EQUITY    023139108      3544     48,263  SH           Sole    1       48,263
AMBAC FINL GROUP INC                   EQUITY    023139108        10        130  SH        DEFINED    2          130
AMBASSADORS GROUP INC                  EQUITY    023177108        90      3,846  SH           Sole    1        3,846
AMC ENTERTAINMENT, INC.                EQUITY    001669100       231     15,033  SH           Sole    1       15,033
AMCOL INTERNATIONAL CORP.              EQUITY    02341W103       196     10,354  SH           Sole    1       10,354
AMCORE FINANCIAL, INC.                 EQUITY    023912108       364     12,063  SH           Sole    1       12,063
AMDOCS LIMITED                         EQUITY    G02602103      5229    223,180  SH           Sole    1      223,180
AMEDISYS INC                           EQUITY    023436108       173      5,238  SH           Sole    1        5,238





                                                                                            
AMERADA HESS CORP                      EQUITY    023551104      3447     43,533  SH           Sole    1       43,533
AMERADA HESS CORP                      EQUITY    023551104         9        108  SH        DEFINED    2          108
AMERCO, INC.                           EQUITY    023586100       106      4,473  SH           Sole    1        4,473
Ameren                                 EQUITY    023608102      4511    105,000  SH        DEFINED    4      105,000
AMEREN CORP                            EQUITY    023608102         9        219  SH        DEFINED    2          219
AMEREN CORP.                           EQUITY    023608102     24170    562,627  SH           Sole    1      562,627
AMERICA MOVIL (ADR)                    EQUITY    02364W105        10     281200  SH           Sole    3       263100         18100
AMERICA MOVIL SA ADR EACH R            EQUITY    02364W105     10778    304,170  SH           Sole    1      304,170
AMERICA SERVICE GROUP INC              EQUITY    02364L109       118      3,408  SH           Sole    1        3,408
AMERICAN AXLE & MFG HOLDINGS           EQUITY    024061103        28        767  SH           Sole    1          767
AMERICAN CAP. STRATEGIES, INC.         EQUITY    024937104        37      1,337  SH           Sole    1        1,337
AMERICAN EAGLE OUTFITTERS              EQUITY    02553E106      3233    111,834  SH           Sole    1      111,834
AMERICAN ELEC PWR INC                  EQUITY    025537101        15        474  SH        DEFINED    2          474
AMERICAN ELECTRIC POWER, INC.          EQUITY    025537101     44241  1,382,534  SH           Sole    1    1,382,534
AMERICAN EQUITY INVT LIFE HL           EQUITY    025676206        97      9,757  SH           Sole    1        9,757
AMERICAN EXPRESS CO                    EQUITY    025816109     17635    343,231  SH        DEFINED    2      343,231
AMERICAN EXPRESS CO.                   EQUITY    025816109     54141  1,053,731  SH           Sole    1    1,053,731
AMERICAN FINANCIAL GROUP, INC.         EQUITY    025932104      3490    114,174  SH           Sole    1      114,174
AMERICAN FINANCIAL REALTY TR           EQUITY    02607P305      2751    192,501  SH           Sole    1      192,501
AMERICAN FIRST MORTGAGE INVES          EQUITY    55272X102     12084  1,357,723  SH           Sole    1    1,357,723
AMERICAN GREETINGS CORP. CLASS A       EQUITY    026375105      3123    134,719  SH           Sole    1      134,719
AMERICAN HEALTHWAYS INC                EQUITY    02649V104       370     13,906  SH           Sole    1       13,906
AMERICAN HOME MORTGAGE INVESTMENT COR  EQUITY    02660R107       433     16,690  SH           Sole    1       16,690
AMERICAN INTL GROUP INC                EQUITY    026874107      2187     30,675  SH        DEFINED    2       30,675
AMERICAN INTL GRP INC COM              EQUITY    026874107    167466  2,349,414  SH           Sole    1    2,349,414
AMERICAN ITALIAN PASTA CO. CLASS A     EQUITY    027070101       235      7,715  SH           Sole    1        7,715
AMERICAN LAND LEASE INC                EQUITY    027118108        19      1,030  SH           Sole    1        1,030
AMERICAN MED SEC GROUP                 EQUITY    02744P101       155      5,704  SH           Sole    1        5,704
AMERICAN MEDICAL SYSTEMS HOLDI         EQUITY    02744M108       409     12,133  SH           Sole    1       12,133
AMERICAN NATIONAL IN                   EQUITY    028591105        13        145  SH           Sole    1          145
AMERICAN PHARMACEUTICA                 EQUITY    02886P109        12        410  SH           Sole    1          410
AMERICAN PHYSICIANS CAPITAL IN         EQUITY    028884104        95      4,089  SH           Sole    1        4,089
AMERICAN POWER CONVERSION              EQUITY    029066107      2030    103,333  SH           Sole    1      103,333
AMERICAN PWR CONVERSION CO             EQUITY    029066107         5        240  SH        DEFINED    2          240
AMERICAN SAFETY INS ORD                EQUITY    G02995101         3     173300  SH           Sole    3       173300
AMERICAN STANDARD COMPANIES            EQUITY    029712106      3844     95,369  SH           Sole    1       95,369
AMERICAN STATES WATER CO.              EQUITY    029899101       170      7,331  SH           Sole    1        7,331
AMERICAN STD COS INC DEL               EQUITY    029712106        10        258  SH        DEFINED    2          258
AMERICAN SUPERCONDUCTOR CORP           EQUITY    030111108       153     11,727  SH           Sole    1       11,727
AMERICAN TOWER CORP                    EQUITY    029912201     48833  3,212,690  SH           Sole    1    3,212,690
AMERICAN VANGUARD CORP                 EQUITY    030371108        81      2,405  SH           Sole    1        2,405
AMERICAN WEST HOLDINGS CORP. CLASS B   EQUITY    023657208       153     16,888  SH           Sole    1       16,888
AMERICAN WOODMARK CORP.                EQUITY    030506109       154      2,574  SH           Sole    1        2,574
AMERICANWEST BANCORPORATION            EQUITY    03058P109        94      4,909  SH           Sole    1        4,909
AMERICA'S CAR-MART INC                 EQUITY    03062T105        81      2,702  SH           Sole    1        2,702
AMERICREDIT CORP.                      EQUITY    03060R101      4825    247,060  SH           Sole    1      247,060
AMERIGROUP CORP                        EQUITY    03073T102       585     11,899  SH           Sole    1       11,899
AMERISOURCEBERGEN CO                   EQUITY    03073E105     20619    344,909  SH           Sole    1      344,909
AMERISOURCEBERGEN CORP                 EQUITY    03073E105         8        135  SH        DEFINED    2          135
AMERISTAR CASINOS                      EQUITY    03070Q101       184      5,486  SH           Sole    1        5,486
AMERITRADE HLDG CORP NEW               EQUITY    03074K100      4744    418,000  SH        DEFINED    2      418,000
AMERITRADE HOLDING CORP - CL A         EQUITY    03074K100        57      5,062  SH           Sole    1        5,062
AMERN EAGLE OUTFIT NEW COM             EQUITY    02553E106        19     671204  SH           Sole    3       637100         34104
AMERON, INC.                           EQUITY    030710107       135      3,948  SH           Sole    1        3,948
AMERUS GROUP CO.                       EQUITY    03072M108      3304     79,810  SH           Sole    1       79,810
AMETEK INC NEW                         EQUITY    031100100      4168    134,900  SH        DEFINED    2      134,900
AMETEK, INC.                           EQUITY    031100100      3250    105,181  SH           Sole    1      105,181
AMGEN INC                              EQUITY    031162100      8170    149,724  SH        DEFINED    2      149,724
AMGEN, INC.                            EQUITY    031162100     61462  1,126,300  SH           Sole    1    1,126,300





                                                                                            
AMIS HOLDINGS INC                      EQUITY    031538101       254     15,006  SH           Sole    1       15,006
AMKOR TECHNOLOGY, INC                  EQUITY    031652100        17      2,076  SH           Sole    1        2,076
AMLI RESIDENTIAL PROPERTIES            EQUITY    001735109       462     15,758  SH           Sole    1       15,758
AMN HEALTHCARE SERVICE                 EQUITY    001744101        84      5,518  SH           Sole    1        5,518
AMPHENOL CORP CL A                     EQUITY    032095101         5     156500  SH           Sole    3       146900          9600
AMPHENOL CORP. CLASS A                 EQUITY    032095101        49      1,456  SH           Sole    1        1,456
AMR CORP.                              EQUITY    001765106     16605  1,371,147  SH           Sole    1    1,371,147
Amsouth Bancorp                        EQUITY    032165102      1783     70,000  SH        DEFINED    4       70,000
AMSOUTH BANCORPORATION                 EQUITY    032165102      3984    156,425  SH           Sole    1      156,425
AMSOUTH BANCORPORATION                 EQUITY    032165102        11        422  SH        DEFINED    2          422
AMSURG CORP CL A                       EQUITY    03232P405       365     14,541  SH           Sole    1       14,541
AMYLIN PHARMACEUTICALS, INC.           EQUITY    032346108        46      2,015  SH           Sole    1        2,015
ANADARKO PETE CORP                     EQUITY    032511107        18        302  SH        DEFINED    2          302
ANADARKO PETROLEUM CORP.               EQUITY    032511107      6839    116,712  SH           Sole    1      116,712
ANALOG DEVICES INC                     EQUITY    032654105      8627    183,250  SH        DEFINED    2      183,250
ANALOG DEVICES, INC.                   EQUITY    032654105     17074    362,650  SH           Sole    1      362,650
ANALOGIC CORP.                         EQUITY    032657207       234      5,507  SH           Sole    1        5,507
ANAREN INC                             EQUITY    032744104       163      9,947  SH           Sole    1        9,947
ANAREN INC COM                         EQUITY    032744104         9     562524  SH           Sole    3       548500         14024
ANCHOR BANCORP WISCONSIN, INC.         EQUITY    032839102       250      9,463  SH           Sole    1        9,463
ANCHOR GLASS CONTAINER CORP            EQUITY    03304B300        64      4,728  SH           Sole    1        4,728
ANDREW CORP                            EQUITY    034425108      6013    300,492  SH        DEFINED    2      300,492
ANDREW CORP.                           EQUITY    034425108      7190    359,327  SH           Sole    1      359,327
ANDRX GROUP                            EQUITY    034553107        44      1,560  SH           Sole    1        1,560
ANGELICA CORP                          EQUITY    034663104       108      4,295  SH           Sole    1        4,295
ANHEUSER BUSCH COS INC                 EQUITY    035229103     17240    319,263  SH        DEFINED    2      319,263
ANHEUSER-BUSCH COMPANIES, INC.         EQUITY    035229103     18780    347,774  SH           Sole    1      347,774
ANIMAS CORP                            EQUITY    03525Y105        38      2,041  SH           Sole    1        2,041
ANIXTER INTERNATIONALL, INC.           EQUITY    035290105       485     14,256  SH           Sole    1       14,256
ANN TAYLOR STORES CORP.                EQUITY    036115103      3098    106,892  SH           Sole    1      106,892
ANNALY MTG MGMT INC                    EQUITY    035710409      7132    420,491  SH           Sole    1      420,491
ANNTAYLOR STORES CORP COM              EQUITY    036115103        23     803763  SH           Sole    3       761914         41849
ANSOFT CORP                            EQUITY    036384105        53      3,445  SH           Sole    1        3,445
ANSWERTHINK INC                        EQUITY    036916104       124     21,630  SH           Sole    1       21,630
ANSYS INC                              EQUITY    03662Q105       347      7,388  SH           Sole    1        7,388
ANTEON INTERNATIONAL CORP              EQUITY    03674E108       423     12,963  SH           Sole    1       12,963
ANTHEM INC                             EQUITY    03674B104      9465     17,679  SH           Sole    1       17,679
ANTHEM INC                             EQUITY    03674B104     13798    154,066  SH        DEFINED    2      154,066
ANTHRACITE CAPITAL INC.                EQUITY    037023108      2687    224,320  SH           Sole    1      224,320
ANTIGENICS INC.                        EQUITY    037032109       104     12,201  SH           Sole    1       12,201
ANWORTH MORTGAGE ASSET                 EQUITY    037347101      7134    600,499  SH           Sole    1      600,499
AON CORP                               EQUITY    037389103        11        378  SH        DEFINED    2          378
AON CORP.                              EQUITY    037389103      3984    139,927  SH           Sole    1      139,927
APACHE CORP                            EQUITY    037411105        17        390  SH        DEFINED    2          390
APACHE CORP.                           EQUITY    037411105      6029    138,440  SH           Sole    1      138,440
APARTMENT INVT & MGMT CO - A           EQUITY    03748R101      1715     55,081  SH           Sole    1       55,081
APARTMENT INVT. + MGMT CO              EQUITY    03748R101         4        113  SH        DEFINED    2          113
APOGEE ENTERPRISES, INC.               EQUITY    037598109       137     13,203  SH           Sole    1       13,203
APOGENT TECHNOLOGIES                   EQUITY    03760A101      9294    290,425  SH           Sole    1      290,425
APOLLO GROUP INC                       EQUITY    037604105        19        212  SH        DEFINED    2          212
APOLLO GROUP INC CL A                  EQUITY    037604105         1      11900  SH           Sole    3        11900
APOLLO GROUP, INC. CLASS A             EQUITY    037604105     12597    142,672  SH           Sole    1      142,672
APOLLO INVESTMENT CORP                 EQUITY    03761U106       411     29,817  SH           Sole    1       29,817
APPLE COMPUTER                         EQUITY    037833100        15        455  SH        DEFINED    2          455
APPLE COMPUTER, INC.                   EQUITY    037833100      7933    243,805  SH           Sole    1      243,805
APPLEBEES INTERNATIONAL, INC.          EQUITY    037899101      3019    131,167  SH           Sole    1      131,167
APPLEBEES INTL INC                     EQUITY    037899101      6587    286,150  SH        DEFINED    2      286,150
APPLERA CORP  APPLIED BIOSYSTEM        EQUITY    038020103      1950     89,655  SH           Sole    1       89,655
APPLERA CORP APPLIED BIOSY             EQUITY    038020103         5        242  SH        DEFINED    2          242





                                                                                            
APPLICA INC.                           EQUITY    03815A106        84      9,419  SH           Sole    1        9,419
APPLIED FILMS CORP                     EQUITY    038197109       206      7,092  SH           Sole    1        7,092
APPLIED INDUSTRIAL TECH., INC.         EQUITY    03820C105       248      8,231  SH           Sole    1        8,231
APPLIED MATERIALS INC                  EQUITY    038222105      8947    456,020  SH        DEFINED    2      456,020
APPLIED MATERIALS, INC.                EQUITY    038222105     19239    980,580  SH           Sole    1      980,580
APPLIED MICRO CIRCUITS COR             EQUITY    03822W109      2425    455,774  SH        DEFINED    2      455,774
APPLIED MICRO CIRCUITS CORP.           EQUITY    03822W109       816    153,476  SH           Sole    1      153,476
APPLIED SIGNAL TECHNOLOGY              EQUITY    038237103       166      4,725  SH           Sole    1        4,725
APRIA HEALTHCARE GROUP, INC.           EQUITY    037933108      2965    103,294  SH           Sole    1      103,294
APTARGROUP, INC.                       EQUITY    038336103       768     17,576  SH           Sole    1       17,576
AQUA AMERICA INC                       EQUITY    03836W103      2915    145,385  SH           Sole    1      145,385
AQUANTIVE INC                          EQUITY    03839G105       226     22,827  SH           Sole    1       22,827
AQUILA INC                             EQUITY    03840P102      1415    397,473  SH           Sole    1      397,473
ARAID PHARAMACEUTICLAS, INC.           EQUITY    04033A100       188     25,152  SH           Sole    1       25,152
ARAMARK CORP                           EQUITY    038521100        63      2,179  SH           Sole    1        2,179
ARBITRON, INC.                         EQUITY    03875Q108       543     14,871  SH           Sole    1       14,871
ARBOR REALTY TRUST INC                 EQUITY    038923108        67      3,371  SH           Sole    1        3,371
ARCH CHEMICALS, INC.                   EQUITY    03937R102       323     11,192  SH           Sole    1       11,192
ARCH COAL INC COM                      EQUITY    039380100        15     411842  SH           Sole    3       393814         18028
ARCH COAL, INC.                        EQUITY    039380100      3036     82,961  SH           Sole    1       82,961
ARCH WIRELESS INC-CL A                 EQUITY    039392709       243      8,526  SH           Sole    1        8,526
ARCHER DANIELS MIDLAND CO              EQUITY    039483102        13        779  SH        DEFINED    2          779
ARCHER DANIELS MIDLAND CO.             EQUITY    039483102      4821    287,319  SH           Sole    1      287,319
ARCHSTONE COMMUNITIES TRUST            EQUITY    039583109       913     31,145  SH           Sole    1       31,145
ARCTIC CAT, INC.                       EQUITY    039670104       182      6,621  SH           Sole    1        6,621
ARDEN GROUP INC                        EQUITY    039762109        60        673  SH           Sole    1          673
ARDEN REALTY INC.                      EQUITY    039793104     10033    341,144  SH           Sole    1      341,144
ARGONAUT GROUP, INC.                   EQUITY    040157109       207     11,248  SH           Sole    1       11,248
ARGOSY GAMING CO.                      EQUITY    040228108       471     12,535  SH           Sole    1       12,535
ARKANSAS BEST CORP.                    EQUITY    040790107       349     10,594  SH           Sole    1       10,594
ARMOR HOLDINGS, INC.                   EQUITY    042260109       467     13,729  SH           Sole    1       13,729
ARRAY BIOPHARMA INC                    EQUITY    04269X105        91     11,479  SH           Sole    1       11,479
ARRIS GROUP INC                        EQUITY    04269Q100       248     41,819  SH           Sole    1       41,819
ARROW ELECTRONICS INC                  EQUITY    042735100      4747    176,992  SH           Sole    1      176,992
ARROW FINANCIAL CORP                   EQUITY    042744102       123      4,046  SH           Sole    1        4,046
ARROW INTERNATIONAL, INC.              EQUITY    042764100       275      9,207  SH           Sole    1        9,207
ARTESYN TECHNOLOGIES, INC.             EQUITY    043127109       149     16,532  SH           Sole    1       16,532
ARTHROCARE CORP.                       EQUITY    043136100       297     10,225  SH           Sole    1       10,225
ARTISAN COMPONENTS INC.                EQUITY    042923102       285     11,065  SH           Sole    1       11,065
ARVINMERITOR, INC                      EQUITY    043353101      2763    141,164  SH           Sole    1      141,164
ASBURY AUTOMOTIVE GROUP                EQUITY    043436104        81      5,388  SH           Sole    1        5,388
ASCENTIAL SOFTWARE CORP                EQUITY    04362P207      1934    120,921  SH           Sole    1      120,921
ASHFORD HOSPITALITY TRUST              EQUITY    044103109        80      9,628  SH           Sole    1        9,628
ASHLAND INC                            EQUITY    044204105         4         84  SH        DEFINED    2           84
ASHLAND OIL, INC.                      EQUITY    044204105      1650     31,241  SH           Sole    1       31,241
ASIAINFO HOLDINGS INC.                 EQUITY    04518A104        90     16,973  SH           Sole    1       16,973
ASK JEEVES INC                         EQUITY    045174109        40      1,025  SH           Sole    1        1,025
ASPECT COMMUNICATIONS INC.             EQUITY    04523Q102       278     19,548  SH           Sole    1       19,548
ASPECT MED SYS INC COM                 EQUITY    045235108         5     257500  SH           Sole    3       257500
ASPECT MEDICAL SYSTEMS, INC.           EQUITY    045235108       109      5,907  SH           Sole    1        5,907
ASPEN TECHNOLOGY, INC.                 EQUITY    045327103       144     19,851  SH           Sole    1       19,851
ASSET ACCEPTANCE CAPITAL               EQUITY    04543P100        64      3,777  SH           Sole    1        3,777
ASSOCIATED BANC-CORP.                  EQUITY    045487105      5123    172,900  SH           Sole    1      172,900
ASSOCIATED ESTATES REALTY              EQUITY    045604105        22      2,770  SH           Sole    1        2,770
ASSURANT INC                           EQUITY    04621X108        38      1,450  SH           Sole    1        1,450
ASTA FUNDING INC                       EQUITY    046220109        78      4,465  SH           Sole    1        4,465
ASTEC INDS INC COM                     EQUITY    046224101       124      6,609  SH           Sole    1        6,609
ASTORIA FINANCIAL CORP.                EQUITY    046265104      4566    124,818  SH           Sole    1      124,818
ASYST TECHNOLOGIES, INC.               EQUITY    04648X107       234     22,584  SH           Sole    1       22,584





                                                                                            
AT & T CORP                            EQUITY    001957505     19634  1,342,047  SH           Sole    1    1,342,047
AT + T WIRELESS SVCS INC               EQUITY    00209A106        47      3,268  SH        DEFINED    2        3,268
AT RD INC                              EQUITY    04648K105       126     16,420  SH           Sole    1       16,420
AT&T WIRELESS (USD)                    EQUITY    00209A106     40725  2,843,902  SH           Sole    1    2,843,902
AT+T CORP                              EQUITY    001957505      8634    590,125  SH        DEFINED    2      590,125
ATARI INC                              EQUITY    04651M105        11      4,430  SH           Sole    1        4,430
ATHEROGENICS INC                       EQUITY    047439104       339     17,798  SH           Sole    1       17,798
ATHEROS COMMUNICATIONS                 EQUITY    04743P108        47      4,465  SH           Sole    1        4,465
ATLAS AMERICA INC                      EQUITY    049167109        22      1,105  SH           Sole    1        1,105
ATMEL CORP.                            EQUITY    049513104      4392    741,903  SH           Sole    1      741,903
ATMI INC                               EQUITY    00207R101       530     19,400  SH        DEFINED    2       19,400
ATMI, INC.                             EQUITY    00207R101       410     15,008  SH           Sole    1       15,008
ATMOS ENERGY CORP.                     EQUITY    049560105       644     25,161  SH           Sole    1       25,161
ATRIX LABS INC                         EQUITY    04962L101       365     10,635  SH           Sole    1       10,635
ATWOOD OCEANICS, INC.                  EQUITY    050095108       218      5,218  SH           Sole    1        5,218
AUDIOVOX COPR.                         EQUITY    050757103       140      8,275  SH           Sole    1        8,275
AUGUST TECHNOLOGY CORP.                EQUITY    05106U105       107      8,539  SH           Sole    1        8,539
AUTHENTIDATE HOLDING CORP              EQUITY    052666104       152     13,906  SH           Sole    1       13,906
AUTOBYTEL.COM INC                      EQUITY    05275N106       181     19,970  SH           Sole    1       19,970
AUTODESK INCORPORATED                  EQUITY    052769106         6        136  SH        DEFINED    2          136
AUTODESK, INC.                         EQUITY    052769106      2167     50,627  SH           Sole    1       50,627
AUTOLIV, INC.                          EQUITY    052800109        73      1,721  SH           Sole    1        1,721
AUTOMATIC DATA PROCESSING              EQUITY    053015103     12640    301,821  SH        DEFINED    2      301,821
AUTOMATIC DATA PROCESSING INC.         EQUITY    053015103     10501    250,738  SH           Sole    1      250,738
AUTONATION INC                         EQUITY    05329W102      2001    117,043  SH           Sole    1      117,043
AUTONATION INC DEL                     EQUITY    05329W102         5        320  SH        DEFINED    2          320
AUTOZONE INC                           EQUITY    053332102         8        100  SH        DEFINED    2          100
AUTOZONE, INC.                         EQUITY    053332102      2934     36,628  SH           Sole    1       36,628
AVALONBAY COMMUNITIE                   EQUITY    053484101       644     11,389  SH           Sole    1       11,389
AVANEX CORP                            EQUITY    05348W109       149     38,307  SH           Sole    1       38,307
AVANT IMMUNOTHERAPEUTICS INC           EQUITY    053491106        95     35,727  SH           Sole    1       35,727
AVATAR HOLDINGS, INC.                  EQUITY    053494100        92      2,214  SH           Sole    1        2,214
AVAYA INC                              EQUITY    053499109     18293  1,158,532  SH        DEFINED    2    1,158,532
AVAYA INC.                             EQUITY    053499109     24498  1,551,508  SH           Sole    1    1,551,508
AVERY DENNISON CORP                    EQUITY    053611109     13603    212,512  SH        DEFINED    2      212,512
AVERY DENNISON CORP.                   EQUITY    053611109      3157     49,322  SH           Sole    1       49,322
AVIALL, INC.                           EQUITY    05366B102       216     11,352  SH           Sole    1       11,352
AVID TECHNOLOGY, INC.                  EQUITY    05367P100        37        678  SH           Sole    1          678
AVISTA CORP                            EQUITY    05379B107       429     23,265  SH           Sole    1       23,265
AVNET, INC.                            EQUITY    053807103      4290    188,986  SH           Sole    1      188,986
AVOCENT CORP                           EQUITY    053893103      3468     94,400  SH        DEFINED    2       94,400
AVOCENT CORPORATION                    EQUITY    053893103      2764     75,230  SH           Sole    1       75,230
AVON PRODS INC                         EQUITY    054303102        26        565  SH        DEFINED    2          565
AVON PRODUCTS, INC.                    EQUITY    054303102      9243    200,326  SH           Sole    1      200,326
AVX CORP                               EQUITY    002444107        15      1,006  SH           Sole    1        1,006
AXCELIS TECHNOLOGIES INC               EQUITY    054540109       595     47,806  SH           Sole    1       47,806
AXONYX INC                             EQUITY    05461R101       129     24,638  SH           Sole    1       24,638
AZTAR CORP.                            EQUITY    054802103       465     16,609  SH           Sole    1       16,609
BAKER HUGHES INC                       EQUITY    057224107        15        399  SH        DEFINED    2          399
BAKER HUGHES, INC.                     EQUITY    057224107      5608    148,956  SH           Sole    1      148,956
BALDOR ELECTRIC CO.                    EQUITY    057741100       370     15,835  SH           Sole    1       15,835
BALDWIN & LYONS, INC., CLASS B         EQUITY    057755209       103      3,854  SH           Sole    1        3,854
BALL CORP                              EQUITY    058498106         5         68  SH        DEFINED    2           68
BALL CORP.                             EQUITY    058498106      1811     25,134  SH           Sole    1       25,134
BANCFIRST CORP.                        EQUITY    05945F103        92      1,541  SH           Sole    1        1,541
BANCORP BANK/THE                       EQUITY    05969F104        59      3,305  SH           Sole    1        3,305
BANCORPSOUTH, INC.                     EQUITY    059692103       837     37,132  SH           Sole    1       37,132
BANCTRUST FINANCIAL GROUP IN           EQUITY    05978R107        72      4,109  SH           Sole    1        4,109
BANDAG, INC.                           EQUITY    059815100      1576     35,395  SH           Sole    1       35,395





                                                                                            
BANK AMER CORP                         EQUITY    060505104     32001    378,168  SH        DEFINED    2      378,168
Bank America Corp                      EQUITY    060505104      2116     25,000  SH        DEFINED    4       25,000
BANK ATLANTIC BANCORP CLASS A          EQUITY    065908501       377     20,460  SH           Sole    1       20,460
BANK MUTUAL CORP                       EQUITY    063750103       413     37,887  SH           Sole    1       37,887
BANK NEW YORK INC                      EQUITY    064057102        27        932  SH        DEFINED    2          932
BANK OF AMERICA CORP                   EQUITY    060505104    100159  1,208,455  SH           Sole    1    1,173,490
BANK OF GRANITE CORP.                  EQUITY    062401104       136      6,512  SH           Sole    1        6,512
BANK OF HAWAII CORP                    EQUITY    062540109      3887     85,967  SH           Sole    1       85,967
BANK OF MONTREAL                       EQUITY    063671101      5077    127,500  SH          Other    1            0 127,500
BANK OF NEW YORK CO., INC.             EQUITY    064057102      9758    330,992  SH           Sole    1      330,992
BANK OF NOVA SCOTIA                    EQUITY    064149107      8327    311,600  SH          Other    1            0 311,600
BANK OF THE OZARKS INC                 EQUITY    063904106       119      5,121  SH           Sole    1        5,121
BANK ONE CORP                          EQUITY    06423A103        69      1,344  SH        DEFINED    2        1,344
BANK UNITED CORP-CPR WI                EQUITY    065416117        35    506,802  SH           Sole    1      506,802
BANKNORTH GROUP INC.                   EQUITY    06646R107      8787    270,527  SH           Sole    1      270,527
BANKONE CORP.                          EQUITY    06423A103     27177    532,874  SH           Sole    1      532,874
BANKUNITED FINANCIAL CORP CLASS A      EQUITY    06652B103       330     12,789  SH           Sole    1       12,789
BANNER CORPORATION                     EQUITY    06652V109       142      4,863  SH           Sole    1        4,863
BANTA CORP.                            EQUITY    066821109      2295     51,670  SH           Sole    1       51,670
BARD C R INC                           EQUITY    067383109         7        125  SH        DEFINED    2          125
BARNES & NOBLE, INC.                   EQUITY    067774109      3632    106,881  SH           Sole    1      106,881
BARNES GROUP, INC.                     EQUITY    067806109       208      7,178  SH           Sole    1        7,178
BARR PHARMACEUTICALS INC               EQUITY    068306109      5355    158,892  SH           Sole    1      158,892
BARRIER THERAPEUTICS INC               EQUITY    06850R108        44      3,145  SH           Sole    1        3,145
BASSETT FURNITURE INDUSTRIES           EQUITY    070203104       108      4,956  SH           Sole    1        4,956
BAUSCH & LOMB INC COM                  EQUITY    071707103         5      79700  SH           Sole    3        74700          5000
BAUSCH & LOMB, INC.                    EQUITY    071707103      1539     23,645  SH           Sole    1       23,645
BAUSCH + LOMB INC                      EQUITY    071707103         4         63  SH        DEFINED    2           63
BAXTER INTERNATIONAL, INC.             EQUITY    071813109      8980    260,214  SH           Sole    1      260,214
BAXTER INTL INC                        EQUITY    071813109        25        734  SH        DEFINED    2          734
BB+T CORP                              EQUITY    054937107        25        672  SH        DEFINED    2          672
BBT CORP.                              EQUITY    054937107      8831    238,882  SH           Sole    1      238,882
BCE INC COM                            EQUITY    05534B109      6811    341,905  SH          Other    1            0 341,905
BE AEROSPACE, INC.                     EQUITY    073302101       135     17,797  SH           Sole    1       17,797
BEA SYSTEMS, INC.                      EQUITY    073325102       290     35,292  SH           Sole    1       35,292
BEAR STEARNS COS                       EQUITY    073902108      3932     46,641  SH           Sole    1       46,641
BEAR STEARNS COS INC                   EQUITY    073902108        11        126  SH        DEFINED    2          126
BEARINGPOINT INC                       EQUITY    074002106        26      2,962  SH           Sole    1        2,962
BEASLEY BROADCAST GROUP, INC.          EQUITY    074014101        39      2,591  SH           Sole    1        2,591
BEAZER HOMES USA, INC.                 EQUITY    07556Q105       661      6,585  SH           Sole    1        6,585
BEBE STORES, INC.                      EQUITY    075571109        58      2,890  SH           Sole    1        2,890
BECKMAN COULTER, INC.                  EQUITY    075811109      5931     97,222  SH           Sole    1       97,222
BECTON DICKINSON + CO                  EQUITY    075887109     28640    552,904  SH        DEFINED    2      552,904
BECTON, DICKINSON AND CO.              EQUITY    075887109      5668    109,423  SH           Sole    1      109,423
BED BATH & BEYOND, INC.                EQUITY    075896100      8187    212,937  SH           Sole    1      212,937
BED BATH + BEYOND INC                  EQUITY    075896100        14        360  SH        DEFINED    2          360
BEDFORD PRPTY INVESTORS, INC.          EQUITY    076446301       272      9,314  SH           Sole    1        9,314
BEI TECHNOLOGIES INC                   EQUITY    05538P104       151      5,335  SH           Sole    1        5,335
BEL FUSE INC. CLASS B                  EQUITY    077347300       226      5,426  SH           Sole    1        5,426
BELDEN, INC.                           EQUITY    077459105       266     12,416  SH           Sole    1       12,416
BELLSOUTH CORP                         EQUITY    079860102        58      2,198  SH        DEFINED    2        2,198
Bellsouth Corp                         EQUITY    079860102      1049     40,000  SH        DEFINED    4       40,000
BELLSOUTH CORP.                        EQUITY    079860102     20523    782,718  SH           Sole    1      782,718
BELO CORP.                             EQUITY    080555105      4883    181,878  SH           Sole    1      181,878
BEMIS CO., INC.                        EQUITY    081437105      1342     47,519  SH           Sole    1       47,519
BEMIS INC                              EQUITY    081437105     13564    480,135  SH        DEFINED    2      480,135
BENCHMARK ELECTRONICS, INC.            EQUITY    08160H101       574     19,739  SH           Sole    1       19,739
BENTLEY PHARMACEUTICAL                 EQUITY    082657107       101      7,381  SH           Sole    1        7,381
BERKSHIRE HATHAWAY INC DEL             EQUITY    084670207     29136      9,860  SH        DEFINED    2        9,860





                                                                                            
BERKSHIRE HILLS BANCOR                 EQUITY    084680107        95      2,563  SH           Sole    1        2,563
BERRY PETROLEUM CO. CLASS A            EQUITY    085789105       256      8,700  SH           Sole    1        8,700
BEST BUY CO INC                        EQUITY    086516101     15095    297,489  SH        DEFINED    2      297,489
BEST BUY CO., INC.                     EQUITY    086516101     60242  1,187,262  SH           Sole    1    1,187,262
BEVERLY ENTERPRISES, INC.              EQUITY    087851309       444     51,574  SH           Sole    1       51,574
BFC FINANCIAL CORPORATION-A            EQUITY    055384200        39      3,324  SH           Sole    1        3,324
BHA GROUP HOLDINGS INC                 EQUITY    055446108        78      2,062  SH           Sole    1        2,062
BIG 5 SPORTING GOODS CORP              EQUITY    08915P101       256      9,767  SH           Sole    1        9,767
BIG LOTS INC                           EQUITY    089302103         2        138  SH        DEFINED    2          138
BIG LOTS INC.                          EQUITY    089302103       743     51,349  SH           Sole    1       51,349
BIOCRYST PHARMACEUTICALS INC           EQUITY    09058V103        54      7,860  SH           Sole    1        7,860
BIOENVISION INC                        EQUITY    09059N100        82      9,329  SH           Sole    1        9,329
BIOGEN IDEC INC                        EQUITY    09062X103     10893    172,217  SH           Sole    1      172,217
BIOGEN IDEC INC                        EQUITY    09062X103      8754    138,407  SH        DEFINED    2      138,407
BIOLASE TECHNOLOGY INC                 EQUITY    090911108       139     10,338  SH           Sole    1       10,338
BIOMARIN PHARMACEUTICAL IN             EQUITY    09061G101       600    100,000  SH        DEFINED    2      100,000
BIOMARIN PHARMACEUTICAL INC.           EQUITY    09061G101       186     30,954  SH           Sole    1       30,954
BIOMET INC                             EQUITY    090613100        14        305  SH        DEFINED    2          305
BIOMET, INC.                           EQUITY    090613100      6150    138,384  SH           Sole    1      138,384
BIO-RAD LABORATORIES, INC., CLASS A    EQUITY    090572207       492      8,364  SH           Sole    1        8,364
BIO-REFERENCE LABS INC                 EQUITY    09057G602        49      3,703  SH           Sole    1        3,703
BIOSITE INC.                           EQUITY    090945106       281      6,228  SH           Sole    1        6,228
BIOVERIS CORP                          EQUITY    090676107        82      9,871  SH           Sole    1        9,871
BISYS GROUP, INC.                      EQUITY    055472104      3444    244,982  SH           Sole    1      244,982
BJ SERVICES CO.                        EQUITY    055482103      3295     71,875  SH           Sole    1       71,875
BJ SVCS CO                             EQUITY    055482103      2979     64,993  SH        DEFINED    2       64,993
BJ'S WHOLESALE CLUB INC.               EQUITY    05548J106      2744    109,768  SH           Sole    1      109,768
BKF CAPITAL GROUP INC                  EQUITY    05548G102        85      2,942  SH           Sole    1        2,942
BLACK & DECKER CORP.                   EQUITY    091797100      4929     79,340  SH           Sole    1       79,340
BLACK + DECKER CORPORATION             EQUITY    091797100         6         95  SH        DEFINED    2           95
BLACK BOX CORP.                        EQUITY    091826107       367      7,765  SH           Sole    1        7,765
BLACK HILLS CORP.                      EQUITY    092113109      2066     65,589  SH           Sole    1       65,589
BLACKROCK INC                          EQUITY    09247X101        25        394  SH           Sole    1          394
BLAIR CORP                             EQUITY    092828102       113      3,910  SH           Sole    1        3,910
BLOCK FINANCIAL CORP                   EQUITY    093671105      3723     78,084  SH           Sole    1       78,084
BLOCK H + R INC                        EQUITY    093671105        10        210  SH        DEFINED    2          210
BLOCKBUSTER INC -CLA                   EQUITY    093679108        11        700  SH           Sole    1          700
BLOUNT INTERNATIONAL INC               EQUITY    095180105        26      2,050  SH           Sole    1        2,050
BLUE COAT SYSTEMS INC                  EQUITY    09534T508       144      4,310  SH           Sole    1        4,310
BLUE NILE INC                          EQUITY    09578R103        68      1,802  SH           Sole    1        1,802
BLUEGREEN CORP                         EQUITY    096231105       108      7,820  SH           Sole    1        7,820
BLYTH INC.                             EQUITY    09643P108      2970     86,123  SH           Sole    1       86,123
BMC SOFTWARE INC                       EQUITY    055921100         5        267  SH        DEFINED    2          267
BMC SOFTWARE, INC.                     EQUITY    055921100      1834     99,160  SH           Sole    1       99,160
BOB EVANS FARMS, INC.                  EQUITY    096761101      1939     70,833  SH           Sole    1       70,833
BOCA RESORTS INC -CL A                 EQUITY    09688T106       207     10,450  SH           Sole    1       10,450
BOEING CO                              EQUITY    097023105      5580    109,210  SH        DEFINED    2      109,210
Boeing Co                              EQUITY    097023105      2555     50,000  SH        DEFINED    4       50,000
BOEING CO.                             EQUITY    097023105     18357    359,300  SH           Sole    1      359,300
BOISE CASCADE CORP                     EQUITY    097383103         4        105  SH        DEFINED    2          105
BOISE CASCADE CORP.                    EQUITY    097383103      1466     38,936  SH           Sole    1       38,936
BOK FINANCIAL CORP.                    EQUITY    05561Q201        13        322  SH           Sole    1          322
BOMBAY CO INC                          EQUITY    097924104       105     17,088  SH           Sole    1       17,088
BONE CARE INTERNATIONAL, INC.          EQUITY    098072101       176      7,520  SH           Sole    1        7,520
BON-TON STORES INC/THE                 EQUITY    09776J101        36      2,486  SH           Sole    1        2,486
BORDERS GROUP, INC.                    EQUITY    099709107      2883    123,008  SH           Sole    1      123,008
BORG WARNER INC                        EQUITY    099724106      3780     86,355  SH           Sole    1       86,355
BORLAND SOFTWARE CORP.                 EQUITY    099849101       330     38,831  SH           Sole    1       38,831
BOSTON BEER, INC. CLASS A              EQUITY    100557107        76      3,783  SH           Sole    1        3,783





                                                                                            
BOSTON COMMUNICATIONS GROUP            EQUITY    100582105        90      8,809  SH           Sole    1        8,809
BOSTON PRIVATE FINANCIAL HOLDI         EQUITY    101119105       304     13,134  SH           Sole    1       13,134
BOSTON PROPERTIES INC                  EQUITY    101121101       824     16,448  SH           Sole    1       16,448
BOSTON SCIENTIFIC CORP                 EQUITY    101137107        43      1,001  SH        DEFINED    2        1,001
BOSTON SCIENTIFIC CORP.                EQUITY    101137107     17073    398,891  SH           Sole    1      398,891
BOWATER, INC.                          EQUITY    102183100      3623     87,109  SH           Sole    1       87,109
BOWNE & CO., INC.                      EQUITY    103043105       267     16,820  SH           Sole    1       16,820
BOYD GAMING CORP.                      EQUITY    103304101      3148    118,494  SH           Sole    1      118,494
BOYKIN LODGING CO.                     EQUITY    103430104        19      2,470  SH           Sole    1        2,470
BRADLEY PHARMACEUTICAL                 EQUITY    104576103       181      6,504  SH           Sole    1        6,504
BRADLEY PHARMACEUTICAL COM             EQUITY    104576103         6     228800  SH           Sole    3       228800
BRADY CORP.                            EQUITY    104674106       403      8,743  SH           Sole    1        8,743
BRANDYWINE REALTY TRUST                EQUITY    105368203       711     26,157  SH           Sole    1       26,157
BRE PROPERTIES, INC., CLASS A          EQUITY    05564E106       279      8,019  SH           Sole    1        8,019
BRIGGS & STRATTON CORP.                EQUITY    109043109        41        464  SH           Sole    1          464
BRIGHAM EXPLORATION CO                 EQUITY    109178103        98     10,671  SH           Sole    1       10,671
BRIGHT HORIZON FAMILY COM              EQUITY    109195107        17     323650  SH           Sole    3       321850          1800
BRIGHT HORIZONS FAM. SOLUTIONS         EQUITY    109195107       340      6,346  SH           Sole    1        6,346
BRIGHTPOINT INC                        EQUITY    109473405       127      9,281  SH           Sole    1        9,281
BRINKER INTERNATIONAL, INC.            EQUITY    109641100      5150    150,939  SH           Sole    1      150,939
BRINK'S CO/THE                         EQUITY    109696104      2932     85,608  SH           Sole    1       85,608
BRISTOL MYERS SQUIBB CO                EQUITY    110122108     10230    417,564  SH        DEFINED    2      417,564
BRISTOL MYERS SQUIBB CO.               EQUITY    110122108     60607  2,473,753  SH           Sole    1    2,473,753
BRISTOL WEST HOLDINGS INC              EQUITY    11037M105       132      7,275  SH           Sole    1        7,275
BROADCOM CORP                          EQUITY    111320107        18        376  SH        DEFINED    2          376
BROADCOM CORP.                         EQUITY    111320107      6998    150,166  SH           Sole    1      150,166
BROCADE COMMUNICATION                  EQUITY    111621108       746    124,746  SH           Sole    1      124,746
BROOKFIELD HOMES CORP                  EQUITY    112723101       188      7,173  SH           Sole    1        7,173
BROOKLINE BANCORP INC                  EQUITY    11373M107       416     28,378  SH           Sole    1       28,378
BROOKS AUTOMATION INC                  EQUITY    114340102       432     21,433  SH           Sole    1       21,433
BROOKSTONE INC                         EQUITY    114537103       193      9,637  SH           Sole    1        9,637
BROWN & BROWN INC                      EQUITY    115236101      4649    107,863  SH           Sole    1      107,863
BROWN FORMAN CORP                      EQUITY    115637209     12209    252,941  SH        DEFINED    2      252,941
BROWN SHOE COMANY, INC.                EQUITY    115736100       356      8,697  SH           Sole    1        8,697
BROWN-FORMAN CORP CLASS B              EQUITY    115637209      2549     52,804  SH           Sole    1       52,804
BRUKER BIOSCIENCES CORP                EQUITY    116794108        50     10,282  SH           Sole    1       10,282
BRUNSWICK CORP                         EQUITY    117043109         5        113  SH        DEFINED    2          113
Brunswick Corp                         EQUITY    117043109       649     15,900  SH        DEFINED    4       15,900
BRUNSWICK CORP.                        EQUITY    117043109      1726     42,304  SH           Sole    1       42,304
BRUSH ENGINEERED  MATERIALS            EQUITY    117421107       152      8,062  SH           Sole    1        8,062
BRYN MAWR BK CORP                      EQUITY    117665109        77      3,390  SH           Sole    1        3,390
BSB BANCORP, INC.                      EQUITY    055652101       154      4,325  SH           Sole    1        4,325
BUCKEYE TECHNOLOGIES INC               EQUITY    118255108       162     14,123  SH           Sole    1       14,123
BUCKLE, INC.                           EQUITY    118440106       103      3,649  SH           Sole    1        3,649
BUFFALO WILD WINGS INC                 EQUITY    119848109        76      2,733  SH           Sole    1        2,733
BUILDING MATERIAL HOLDING CORP         EQUITY    120113105       122      6,445  SH           Sole    1        6,445
BURLINGTON COAT FACTORY WHSE           EQUITY    121579106       170      8,800  SH           Sole    1        8,800
BURLINGTON NORTHERN SANTA FE           EQUITY    12189T104      5776    164,685  SH           Sole    1      164,685
BURLINGTON NORTHN SANTA FE             EQUITY    12189T104        16        444  SH        DEFINED    2          444
BURLINGTON RES INC                     EQUITY    122014103     19960    551,675  SH        DEFINED    2      551,675
BURLINGTON RESOURCES, INC.             EQUITY    122014103      6111    168,915  SH           Sole    1      168,915
C & D TECHNOLOGIES, INC.               EQUITY    124661109       218     12,216  SH           Sole    1       12,216
C D W CORP COM                         EQUITY    12512N105        12     194900  SH           Sole    3       183000         11900
C H ROBINSON WORLDWIDE                 EQUITY    12541W100      7000    152,700  SH        DEFINED    2      152,700
C. H. ROBINSON WORLDWIDE, INC.         EQUITY    12541W100      6384    139,273  SH           Sole    1      139,273
C. R. BARD, INC.                       EQUITY    067383109      2638     46,564  SH           Sole    1       46,564
CABLE DESIGN TECHNOLOGIES CORP         EQUITY    126924109       214     20,222  SH           Sole    1       20,222
CABLEVISION SYSTEMS-NY GRP-A           EQUITY    12686C109        71      3,617  SH           Sole    1        3,617
CABOT CORP.                            EQUITY    127055101      3953     97,130  SH           Sole    1       97,130





                                                                                            
CABOT MICROELECTRONICS CORP            EQUITY    12709P103      1544     50,435  SH           Sole    1       50,435
CABOT OIL & GAS CORP., CLASS A         EQUITY    127097103       669     15,818  SH           Sole    1       15,818
CACHE INC                              EQUITY    127150308        62      4,593  SH           Sole    1        4,593
CACI INTERNATIONAL                     EQUITY    127190304       567     14,012  SH           Sole    1       14,012
CACI INTL INC                          EQUITY    127190304      4610    114,000  SH        DEFINED    2      114,000
CADENCE DESIGN SYSTEMS, INC.           EQUITY    127387108      6064    414,468  SH           Sole    1      414,468
CAESARS ENTERTAINMENT INC              EQUITY    127687101      7152    476,780  SH           Sole    1      476,780
CAESARS ENTMT INC COM                  EQUITY    127687101        14     934900  SH           Sole    3       876900         58000
CAKTRONICS INC                         EQUITY    234264109       173      6,927  SH           Sole    1        6,927
CAL DIVE INTERNATIONAL, INC.           EQUITY    127914109       557     18,377  SH           Sole    1       18,377
CALGON CARBON CORP.                    EQUITY    129603106       109     16,294  SH           Sole    1       16,294
CALIFORNIA MICRO DEVICES CP            EQUITY    130439102       117     10,142  SH           Sole    1       10,142
CALIFORNIA PIZZA KITCHEN INC           EQUITY    13054D109       176      9,195  SH           Sole    1        9,195
CALIFORNIA WATER SERVICE GROUP         EQUITY    130788102       210      7,629  SH           Sole    1        7,629
CALLAWAY GOLF CO.                      EQUITY    131193104      1699    149,839  SH           Sole    1      149,839
CALLON PETROLEUM CO.                   EQUITY    13123X102        71      4,944  SH           Sole    1        4,944
CAL-MAINE FOODS INC                    EQUITY    128030202       101      7,207  SH           Sole    1        7,207
CALPINE CORP                           EQUITY    131347106         2        499  SH        DEFINED    2          499
CALPINE CORP.                          EQUITY    131347106      1629    377,138  SH           Sole    1      377,138
CAMBREX CORP.                          EQUITY    132011107       317     12,556  SH           Sole    1       12,556
CAMDEN NATL CORP                       EQUITY    133034108       123      3,718  SH           Sole    1        3,718
CAMDEN POPERTY TRUST                   EQUITY    133131102       292      6,382  SH           Sole    1        6,382
CAMECO CORP                            EQUITY    13321L108      3663     62,900  SH          Other    1            0  62,900
CAMPBELL SOUP CO                       EQUITY    134429109       914     33,992  SH        DEFINED    2       33,992
CAMPBELL SOUP CO.                      EQUITY    134429109      5209    193,788  SH           Sole    1      193,788
CANADIAN IMPERIAL BANK OF COMMERCE     EQUITY    136069101      3483     71,600  SH          Other    1            0  71,600
CANADIAN NATURAL RESORUCES             EQUITY    136385101      4667    156,200  SH          Other    1            0 156,200
CANCERVAX CORP                         EQUITY    13738Y107        60      7,946  SH           Sole    1        7,946
CANDELA CORP                           EQUITY    136907102        91      9,244  SH           Sole    1        9,244
CAPITAL AUTOMOTIVE REIT                EQUITY    139733109       590     20,107  SH           Sole    1       20,107
CAPITAL CITY BANK GROUP, INC.          EQUITY    139674105       169      4,265  SH           Sole    1        4,265
CAPITAL CORP OF THE WEST               EQUITY    140065103        94      2,422  SH           Sole    1        2,422
CAPITAL CROSSING BANK                  EQUITY    140071101        56      1,017  SH           Sole    1        1,017
CAPITAL LEASE FUNDING INC              EQUITY    140288101       946     90,969  SH           Sole    1       90,969
CAPITAL ONE FINANCIAL CORP.            EQUITY    14040H105      9925    145,147  SH           Sole    1      145,147
CAPITAL ONE FINL CORP                  EQUITY    14040H105     20821    304,487  SH        DEFINED    2      304,487
CAPITAL SOURCE INC.                    EQUITY    14055X102        11     459160  SH           Sole    3       409900         49260
CAPITAL SOUTHWEST CORP                 EQUITY    140501107       104      1,315  SH           Sole    1        1,315
CAPITAL TRUST-CL A                     EQUITY    14052H506        79      2,954  SH           Sole    1        2,954
CAPITALSOURCE INC                      EQUITY    14055X102        34      1,380  SH           Sole    1        1,380
CAPITOL BANCORP LTD                    EQUITY    14056D105       127      4,890  SH           Sole    1        4,890
CAPITOL FEDERAL FINANCIAL              EQUITY    14057C106        12        387  SH           Sole    1          387
CAPSTEAD MORTGAGE CORP.                EQUITY    14067E506        96      7,144  SH           Sole    1        7,144
CAPSTONE TURBINE COR                   EQUITY    14067D102        86     40,031  SH           Sole    1       40,031
CAPTARIS INC                           EQUITY    14071N104       100     15,447  SH           Sole    1       15,447
CARACO PHARM LABS INC                  EQUITY    14075T107        42      4,361  SH           Sole    1        4,361
CARAUSTAR INDUSTRIES, INC.             EQUITY    140909102       193     13,678  SH           Sole    1       13,678
CARBO CERAMICS INC                     EQUITY    140781105       417      6,103  SH           Sole    1        6,103
CARDIAC SCIENCE INC.                   EQUITY    141410209        82     33,025  SH           Sole    1       33,025
CARDINAL HEALTH INC                    EQUITY    14149Y108     15208    217,101  SH           Sole    1      217,101
CARDINAL HEALTH INC                    EQUITY    14149Y108        36        516  SH        DEFINED    2          516
CARDIODYNAMICS INTERNATIONAL           EQUITY    141597104        87     17,308  SH           Sole    1       17,308
CAREER EDUCATION CORP                  EQUITY    141665109      7534    165,363  SH           Sole    1      165,363
CAREMARK RX INC                        EQUITY    141705103     10210    309,958  SH           Sole    1      309,958
CAREMARK RX INC                        EQUITY    141705103     25066    552,858  SH        DEFINED    2      552,858
CAREMARK RX INC COM                    EQUITY    141705103         7     217500  SH           Sole    3       204100         13400
CARLISLE COS INC.                      EQUITY    142339100      3023     48,564  SH           Sole    1       48,564
CARMAX INC                             EQUITY    143130102      3576    163,528  SH           Sole    1      163,528
CARMIKE CINEMAS INC                    EQUITY    143436400       145      3,687  SH           Sole    1        3,687





                                                                                            
CARNIVAL CORP                          EQUITY    143658300     12656    269,268  SH           Sole    1      269,268
CARPENTER TECHNOLOGY CORP.             EQUITY    144285103       373     10,969  SH           Sole    1       10,969
CARRAMERICA REALTY C                   EQUITY    144418100      1022     33,816  SH           Sole    1       33,816
CARREKER CORP                          EQUITY    144433109        97      9,728  SH           Sole    1        9,728
CARRIER ACCESS CORP COM                EQUITY    144460102         3     283200  SH           Sole    3       283200
CARRIER ACCESS CORP.                   EQUITY    144460102       115      9,618  SH           Sole    1        9,618
CARTER INC                             EQUITY    146229109        92      3,164  SH           Sole    1        3,164
CASCADE BANCORP                        EQUITY    147154108       148      7,998  SH           Sole    1        7,998
CASCADE CORP                           EQUITY    147195101       160      5,116  SH           Sole    1        5,116
CASCADE NAT GAS CORP COM               EQUITY    147339105       119      5,395  SH           Sole    1        5,395
CASELLA WASTE SYSTEMS, INC.            EQUITY    147448104       124      9,444  SH           Sole    1        9,444
CASEYS GENERAL STORES, INC.            EQUITY    147528103       440     24,042  SH           Sole    1       24,042
CASH AMERICA INTERNATIONAL             EQUITY    14754D100       314     13,632  SH           Sole    1       13,632
CASUAL MALE RETAIL GROUP INC           EQUITY    148711104        99     13,520  SH           Sole    1       13,520
CATALINA MARKETING CORP.               EQUITY    148867104      1978    108,171  SH           Sole    1      108,171
CATAPULT COMM CORP                     EQUITY    149016107        62      2,691  SH           Sole    1        2,691
CATELLUS DEVELOPMENT                   EQUITY    149113102       414     16,810  SH           Sole    1       16,810
CATERPILLAR, INC.                      EQUITY    149123101     11532    145,160  SH           Sole    1      145,160
CATHAY GENERAL BANCORP INC.            EQUITY    149150104       695     10,421  SH           Sole    1       10,421
CATO CORP. CLASS A                     EQUITY    149205106       210      9,373  SH           Sole    1        9,373
CAVALIER HOMES INC COM                 EQUITY    149507105         3     599000  SH           Sole    3       599000
CB BANCSHARES INC HAWA                 EQUITY    124785106       196      2,120  SH           Sole    1        2,120
CBL & ASSOCIATES PROPERTIES            EQUITY    124830100       260      4,719  SH           Sole    1        4,719
CBRL GROUP, INC.                       EQUITY    12489V106      3108    100,752  SH           Sole    1      100,752
CCC INFORMATION SERVICES               EQUITY    12487Q109       102      6,096  SH           Sole    1        6,096
C-COR ELECTRONICS, INC.                EQUITY    125010108       213     20,684  SH           Sole    1       20,684
CDI CORP.                              EQUITY    125071100       205      5,921  SH           Sole    1        5,921
CDW CORP                               EQUITY    12512N105      8742    137,102  SH           Sole    1      137,102
CEC ENTERTAINMENT, INC.                EQUITY    125137109       530     17,963  SH           Sole    1       17,963
CEDAR SHOPPING CENTERS INC             EQUITY    150602209       118     10,254  SH           Sole    1       10,254
CELERA GENOMICS GROU                   EQUITY    038020202       404     35,084  SH           Sole    1       35,084
CELGENE CORP                           EQUITY    151020104       101      1,756  SH           Sole    1        1,756
CELGENE CORP                           EQUITY    151020104      2863     50,000  SH        DEFINED    2       50,000
CELL GENESYS, INC.                     EQUITY    150921104       223     21,479  SH           Sole    1       21,479
CELL THERAPEUTICS, INC.                EQUITY    150934107       178     24,214  SH           Sole    1       24,214
CEMEX SA -SPONS ADR PART CER           EQUITY    151290889        35      1,297  SH           Sole    1        1,297
CEMIG CIA ENERG MG SPON ADR            EQUITY    204409601      2096    136,905  SH           Sole    1      136,905
CENDANT CORP                           EQUITY    151313103        30      1,222  SH        DEFINED    2        1,222
CENDANT CORP.                          EQUITY    151313103     10653    435,182  SH           Sole    1      435,182
CENTENE CORP DEL                       EQUITY    15135B101       376      9,743  SH           Sole    1        9,743
CENTENE CORP DEL                       EQUITY    15135B101      9676    251,000  SH        DEFINED    2      251,000
CENTENNIAL CELLULAR CORP.              EQUITY    15133V208        41      5,703  SH           Sole    1        5,703
CENTER FINANCIAL CORP                  EQUITY    15146E102        70      4,629  SH           Sole    1        4,629
CENTERPOINT ENERGY INC                 EQUITY    15189T107      1562    135,783  SH           Sole    1      135,783
CENTERPOINT ENERGY INC                 EQUITY    15189T107         4        368  SH        DEFINED    2          368
CENTERPOINT PROPERTIES CORP.           EQUITY    151895109       284      3,703  SH           Sole    1        3,703
CENTEX CORP                            EQUITY    152312104         7        148  SH        DEFINED    2          148
CENTEX CORP.                           EQUITY    152312104      2515     54,983  SH           Sole    1       54,983
CENTRAL COAST BANCORP                  EQUITY    153145107        79      4,309  SH           Sole    1        4,309
CENTRAL EURO DISTRIBUTION CP           EQUITY    153435102       153      5,890  SH           Sole    1        5,890
CENTRAL FREIGHT LINES INC              EQUITY    153491105        33      4,121  SH           Sole    1        4,121
CENTRAL GARDEN & PET C                 EQUITY    153527106       290      8,106  SH           Sole    1        8,106
CENTRAL GARDEN&PET CO COM              EQUITY    153527106         9     249400  SH           Sole    3       247600          1800
CENTRAL PACIFIC FINANCIAL CO           EQUITY    154760102       213      7,741  SH           Sole    1        7,741
CENTRAL PARKING CORP.                  EQUITY    154785109       166      8,892  SH           Sole    1        8,892
CENTRAL VT PUB SVC CORP COM            EQUITY    155771108       119      5,821  SH           Sole    1        5,821
CENTURY ALUMINUM CO.                   EQUITY    156431108       212      8,546  SH           Sole    1        8,546
CENTURY BANCORP INC                    EQUITY    156432106        55      1,680  SH           Sole    1        1,680
CENTURY BUSINESS SERVICES              EQUITY    156490104       132     30,384  SH           Sole    1       30,384





                                                                                            
CENTURYTEL INC                         EQUITY    156700106         5        166  SH        DEFINED    2          166
CENTURYTEL, INC.                       EQUITY    156700106      1854     61,706  SH           Sole    1       61,706
CEPHALON INC                           EQUITY    156708109      4938     91,444  SH           Sole    1       91,444
CEPHALON INC                           EQUITY    156708109     11410    211,300  SH        DEFINED    2      211,300
CEPHEID                                EQUITY    15670R107       231     20,059  SH           Sole    1       20,059
CERADYNE INC                           EQUITY    156710105       274      7,670  SH           Sole    1        7,670
CERES GROUP INC                        EQUITY    156772105        89     14,500  SH           Sole    1       14,500
CERIDIAN CORP                          EQUITY    156779100      5295    235,312  SH           Sole    1      235,312
CERNER CORP                            EQUITY    156782104       610     13,675  SH           Sole    1       13,675
CERNER CORP COM                        EQUITY    156782104        19     417573  SH           Sole    3       395329         22244
CERTEGY INC                            EQUITY    156880106      3937    101,465  SH           Sole    1      101,465
CH ENERGY GROUP INC.                   EQUITY    12541M102       352      7,580  SH           Sole    1        7,580
CHAMPION ENTERPRISES COM               EQUITY    158496109        11    1231972  SH           Sole    3      1183400         48572
CHAMPION ENTERPRISES, INC.             EQUITY    158496109       311     33,872  SH           Sole    1       33,872
CHARLES RIVER ASSOCIAT                 EQUITY    159852102       151      4,887  SH           Sole    1        4,887
CHARLES RIVER LABORATORIES             EQUITY    159864107      3528     72,190  SH           Sole    1       72,190
CHARLES SCHWAB CORP.                   EQUITY    808513105      5729    596,115  SH           Sole    1      596,115
CHARLOTTE RUSSE HOLDING INC            EQUITY    161048103       119      5,579  SH           Sole    1        5,579
CHARMING SHOPPES, INC.                 EQUITY    161133103       494     55,323  SH           Sole    1       55,323
CHARTER COMMUNICATIONS INC CLASS A     EQUITY    16117M107       506    129,507  SH           Sole    1      129,507
CHARTER FINL CORP WEST                 EQUITY    16122M100        65      1,907  SH           Sole    1        1,907
CHARTER MUNICIPAL MORTGAGE ACC         EQUITY    160908109      3018    153,535  SH           Sole    1      153,535
CHARTER ONE FINANCIAL INC.             EQUITY    160903100     13820    312,738  SH           Sole    1      312,738
CHARTER ONE FINL INC                   EQUITY    160903100        12        268  SH        DEFINED    2          268
CHATTEM INC                            EQUITY    162456107       232      8,046  SH           Sole    1        8,046
CHECK POINT SOFTWARE                   EQUITY    M22465104      6343    235,000  SH        DEFINED    2      235,000
CHECK POINT SOFTWARE TECH              EQUITY    M22465104       499     18,500  SH           Sole    1       18,500
CHECKFREE HOLDINGS CORP.               EQUITY    162813109      3779    125,950  SH           Sole    1      125,950
CHECKPOINT SYSTEMS, INC.               EQUITY    162825103       324     18,069  SH           Sole    1       18,069
CHEESECAKE FACTORY                     EQUITY    163072101      3243     81,512  SH           Sole    1       81,512
CHELSEA PROPERTY GROUP INC.            EQUITY    163421100       452      6,937  SH           Sole    1        6,937
CHEMED CORP.                           EQUITY    16359R103       283      5,832  SH           Sole    1        5,832
CHEMICAL FINANCIAL CORP.               EQUITY    163731102       425     11,510  SH           Sole    1       11,510
CHENIERE ENERGY INC                    EQUITY    16411R208       178      9,080  SH           Sole    1        9,080
CHEROKEE INC DEL NEW                   EQUITY    16444H102        82      3,261  SH           Sole    1        3,261
CHEROKEE INTERNATIONAL CORP            EQUITY    164450108        39      3,414  SH           Sole    1        3,414
CHESAPEAKE CORP.                       EQUITY    165159104       250      9,380  SH           Sole    1        9,380
CHESAPEAKE ENERGY CORP.                EQUITY    165167107        65      4,396  SH           Sole    1        4,396
CHEVRONTEXACO CORP                     EQUITY    166764100     43445    461,642  SH           Sole    1      461,642
CHEVRONTEXACO CORP                     EQUITY    166764100      9221     97,982  SH        DEFINED    2       97,982
CHICAGO MERCANTILE EXCHANGE            EQUITY    167760107       102        709  SH           Sole    1          709
CHICAGO PIZZA & BREWER                 EQUITY    167889104        79      5,168  SH           Sole    1        5,168
CHICOS FAS INC                         EQUITY    168615102      5067    112,200  SH        DEFINED    2      112,200
CHICOS'S FAS INC.                      EQUITY    168615102      6206    137,413  SH           Sole    1      137,413
CHILDREN'S PLACE, INC.                 EQUITY    168905107       192      8,144  SH           Sole    1        8,144
CHINA MOBILE HK LTD - SPON ADR         EQUITY    16941M109      2193    144,630  SH           Sole    1      144,630
CHINA PETROLEUM & CHEM-ADR             EQUITY    16941R108      1665     45,060  SH           Sole    1       45,060
CHINA TELECOM CORP LTD-ADR             EQUITY    169426103      3245     91,940  SH           Sole    1       91,940
CHIPPAC INC                            EQUITY    169657103       497     79,294  SH           Sole    1       79,294
CHIQUITA BRANDS INTL                   EQUITY    170032809       410     19,590  SH           Sole    1       19,590
CHIRON CORP                            EQUITY    170040109       680     15,226  SH        DEFINED    2       15,226
CHIRON CORP.                           EQUITY    170040109      4606    103,177  SH           Sole    1      103,177
CHITTENDEN CORP.                       EQUITY    170228100       622     17,701  SH           Sole    1       17,701
CHOICE HOTELS INTL INC.                EQUITY    169905106        20        397  SH           Sole    1          397
CHOICEPOINT INC.                       EQUITY    170388102      6292    137,797  SH           Sole    1      137,797
CHORDIANT SOFTWARE INC                 EQUITY    170404107       157     34,469  SH           Sole    1       34,469
CHRISTOPHER & BANKS CORPORATIO         EQUITY    171046105       320     18,068  SH           Sole    1       18,068
CHUBB CORP                             EQUITY    171232101        15        227  SH        DEFINED    2          227
CHUBB CORP.                            EQUITY    171232101     45163    662,412  SH           Sole    1      662,412





                                                                                            
CHURCH & DWIGHT CO., INC.              EQUITY    171340102      2957     64,581  SH           Sole    1       64,581
CHURCHILL DOWNS, INC.                  EQUITY    171484108       150      3,676  SH           Sole    1        3,676
CIA ANONIMA TELEF DE VEN-ADR (CANTV)   EQUITY    204421101      1519     75,400  SH           Sole    1       75,400
CIA VALE DO RIO DOCE-ADR               EQUITY    204412209      1156     24,310  SH           Sole    1       24,310
CIBER, INC.                            EQUITY    17163B102       202     24,522  SH           Sole    1       24,522
CIENA CORP                             EQUITY    171779101         3        680  SH        DEFINED    2          680
CIENA CORP.                            EQUITY    171779101       933    252,080  SH           Sole    1      252,080
CIGNA CORP                             EQUITY    125509109        12        169  SH        DEFINED    2          169
CIGNA CORP.                            EQUITY    125509109      4326     62,865  SH           Sole    1       62,865
CIMA LABS                              EQUITY    171796105       238      7,061  SH           Sole    1        7,061
CIMAREX ENERGY CO                      EQUITY    171798101       601     19,895  SH           Sole    1       19,895
CINCINNATI BELL INC                    EQUITY    171871106      3926    884,179  SH           Sole    1      884,179
CINCINNATI FINANCIAL CORP.             EQUITY    172062101      3235     74,338  SH           Sole    1       74,338
CINERGY CORP                           EQUITY    172474108         8        216  SH        DEFINED    2          216
CINERGY CORP.                          EQUITY    172474108      3035     79,861  SH           Sole    1       79,861
CINTAS CORP                            EQUITY    172908105        10        205  SH        DEFINED    2          205
CINTAS CORP.                           EQUITY    172908105      4303     90,263  SH           Sole    1       90,263
CIPHERGEN BIOSYSTEMS INC               EQUITY    17252Y104        81     11,131  SH           Sole    1       11,131
CIRCLE GROUP HOLDINGS INC              EQUITY    172570103        50      9,660  SH           Sole    1        9,660
CIRCOR INTERNATIONAL, INC.             EQUITY    17273K109       150      7,376  SH           Sole    1        7,376
CIRCUIT CITY STORE INC COM             EQUITY    172737108         6     487400  SH           Sole    3       456700         30700
CIRCUIT CITY STORES INC                EQUITY    172737108         3        238  SH        DEFINED    2          238
CIRCUIT CITY STORES, INC.              EQUITY    172737108      1145     88,440  SH           Sole    1       88,440
CIRRUS LOGIC, INC.                     EQUITY    172755100       244     40,569  SH           Sole    1       40,569
CISCO SYS INC                          EQUITY    17275R102     27151  1,145,602  SH        DEFINED    2    1,145,602
CISCO SYSTEMS, INC.                    EQUITY    17275R102    122645  5,174,897  SH           Sole    1    5,174,897
CIT GROUP INC                          EQUITY    125581108       147      3,843  SH           Sole    1        3,843
CIT GROUP INC NEW                      EQUITY    125581108     10124    264,400  SH        DEFINED    2      264,400
CITADEL BROADCASTING CORP              EQUITY    17285T106        16      1,067  SH           Sole    1        1,067
CITADEL SEC SOFTWARE COM               EQUITY    17288Q109         2     725100  SH           Sole    3       725100
CITIGOUP INC                           EQUITY    172967101    214175  4,605,922  SH           Sole    1    4,605,922
CITIGROUP INC                          EQUITY    172967101     42272    909,083  SH        DEFINED    2      909,083
CITIZENS BANKING CORP.                 EQUITY    174420109       647     20,842  SH           Sole    1       20,842
CITIZENS COMMUNICATIONS CO             EQUITY    17453B101         4        344  SH        DEFINED    2          344
CITIZENS COMMUNICATIONS INC            EQUITY    17453B101      1544    127,611  SH           Sole    1      127,611
CITIZENS FIRST BANCORP                 EQUITY    17461R106        96      4,098  SH           Sole    1        4,098
CITIZENS INC                           EQUITY    174740100       116     14,087  SH           Sole    1       14,087
CITRIX SYS INC                         EQUITY    177376100         4        204  SH        DEFINED    2          204
CITRIX SYSTEMS, INC.                   EQUITY    177376100      1846     90,686  SH           Sole    1       90,686
CITY HOLDING CO.                       EQUITY    177835105       254      8,042  SH           Sole    1        8,042
CITY NATIONAL CORP.                    EQUITY    178566105      5049     76,843  SH           Sole    1       76,843
CITYBANK                               EQUITY    17770A109       119      3,707  SH           Sole    1        3,707
CK WITCO CORP                          EQUITY    227116100      1437    228,093  SH           Sole    1      228,093
CKE RESTAURANTS INC                    EQUITY    12561E105       332     24,882  SH           Sole    1       24,882
CLAIRE'S STORES, INC.                  EQUITY    179584107      3352    154,465  SH           Sole    1      154,465
CLARCOR, INC.                          EQUITY    179895107       559     12,201  SH           Sole    1       12,201
CLARK INC                              EQUITY    181457102       144      7,754  SH           Sole    1        7,754
CLARUS CORPORATION                     EQUITY    182707109        73      6,365  SH           Sole    1        6,365
CLAYTON WILLIAMS ENERGY, INC.          EQUITY    969490101        51      2,128  SH           Sole    1        2,128
CLEAR CHANNEL COMMUNICATIO             EQUITY    184502102        27        736  SH        DEFINED    2          736
CLEAR CHANNEL COMMUNICATIONS           EQUITY    184502102     19133    517,818  SH           Sole    1      517,818
CLECO CORP                             EQUITY    12561W105       411     22,868  SH           Sole    1       22,868
CLEVELAND CLIFFS INC                   EQUITY    185896107      3665     65,000  SH        DEFINED    2       65,000
CLEVELAND-CLIFFS, INC.                 EQUITY    185896107       290      5,143  SH           Sole    1        5,143
CLIFTON SAVINGS BANCORP INC            EQUITY    18712Q103        78      6,607  SH           Sole    1        6,607
CLOROX CO                              EQUITY    189054109     13066    242,961  SH        DEFINED    2      242,961
CLOROX CO.                             EQUITY    189054109      5012     93,193  SH           Sole    1       93,193
CLOSURE MEDICAL CORP.                  EQUITY    189093107        83      3,306  SH           Sole    1        3,306
CMGI INC.                              EQUITY    125750109       353    181,208  SH           Sole    1      181,208





                                                                                            
CMS ENERGY CORP                        EQUITY    125896100         2        196  SH        DEFINED    2          196
CMS ENERGY CORP.                       EQUITY    125896100      1354    148,276  SH           Sole    1      148,276
CNA FINANCIAL CORP                     EQUITY    126117100        14        465  SH           Sole    1          465
CNA SURETY CORP.                       EQUITY    12612L108        82      7,484  SH           Sole    1        7,484
CNET NETWORKS INC                      EQUITY    12613R104      2326    210,100  SH        DEFINED    2      210,100
CNET NETWORKS INC.                     EQUITY    12613R104       679     61,320  SH           Sole    1       61,320
CNF INC.                               EQUITY    12612W104      3253     78,264  SH           Sole    1       78,264
COACH INC                              EQUITY    189754104     13297    294,238  SH           Sole    1      294,238
COACH INC                              EQUITY    189754104      7357    162,800  SH        DEFINED    2      162,800
COACH INC COM                          EQUITY    189754104         9     198100  SH           Sole    3       185900         12200
COACHMEN INDUSTRIES, INC.              EQUITY    189873102       108      6,773  SH           Sole    1        6,773
COASTAL FINL CORP DEL                  EQUITY    19046E105        84      5,606  SH           Sole    1        5,606
COBIZ INC                              EQUITY    190897108        85      6,195  SH           Sole    1        6,195
COCA COLA CO                           EQUITY    191216100     18118    358,918  SH        DEFINED    2      358,918
COCA COLA ENTERPRISES INC              EQUITY    191219104        16        563  SH        DEFINED    2          563
COCA COLA ENTERPRISES, INC.            EQUITY    191219104      6782    233,958  SH           Sole    1      233,958
COCA-COLA BOTTLING CO.                 EQUITY    191098102       110      1,905  SH           Sole    1        1,905
COCA-COLA CO.                          EQUITY    191216100    115878  2,295,528  SH           Sole    1    2,295,528
COEUR D'ALENE MINES CORP               EQUITY    192108108       420    103,061  SH           Sole    1      103,061
COGNEX CORP COM                        EQUITY    192422103        34     871876  SH           Sole    3       826700         45176
COGNEX CORP.                           EQUITY    192422103       739     19,203  SH           Sole    1       19,203
COGNIZANT TECH SOLUTION                EQUITY    192446102      5084    200,082  SH           Sole    1      200,082
COGNOS INC                             EQUITY    19244C109     24162    668,200  SH        DEFINED    2      668,200
COHERENT, INC.                         EQUITY    192479103       433     14,517  SH           Sole    1       14,517
COHU, INC.                             EQUITY    192576106       196     10,313  SH           Sole    1       10,313
COINSTAR, INC                          EQUITY    19259P300       225     10,252  SH           Sole    1       10,252
COLDWATER CREEK, INC.                  EQUITY    193068103       186      7,034  SH           Sole    1        7,034
COLE NATIONAL CORP. CLASS A            EQUITY    193290103       152      6,495  SH           Sole    1        6,495
COLE, K. PRODUCTIONS, INC. CLASS A     EQUITY    193294105       137      4,008  SH           Sole    1        4,008
Coles Myer Ltd ADR                     EQUITY    193870409        79      1,650  SH           Sole    1        1,650
Colgate                                EQUITY    194162103      2338     40,000  SH        DEFINED    4       40,000
COLGATE PALMOLIVE CO                   EQUITY    194162103     15727    269,071  SH        DEFINED    2      269,071
COLGATE-PALMOLIVE CO.                  EQUITY    194162103     91338  1,562,663  SH           Sole    1    1,562,663
COLLINS & AIKMAN CORP                  EQUITY    194830204       103     18,420  SH           Sole    1       18,420
COLONIAL BANCGROUP, INC.               EQUITY    195493309      3631    199,809  SH           Sole    1      199,809
COLONIAL PROPERTIES TRUST              EQUITY    195872106       497     12,908  SH           Sole    1       12,908
COLUMBIA BANCORP                       EQUITY    197227101        82      2,793  SH           Sole    1        2,793
COLUMBIA BANKING SYSTEM, INC           EQUITY    197236102       150      6,747  SH           Sole    1        6,747
COLUMBIA SPORTSWEAR                    EQUITY    198516106        18        328  SH           Sole    1          328
COMCAST CORP NEW                       EQUITY    20030N101        75      2,687  SH        DEFINED    2        2,687
COMCAST CORP-CL A                      EQUITY    20030N101     35601  1,266,957  SH           Sole    1    1,266,957
COMERICA INC                           EQUITY    200340107        11        208  SH        DEFINED    2          208
COMERICA, INC.                         EQUITY    200340107      6451    117,542  SH           Sole    1      117,542
COMFORT SYS USA INC                    EQUITY    199908104       118     18,493  SH           Sole    1       18,493
COMMERCE BANCORP INC                   EQUITY    200519106      6567    119,381  SH           Sole    1      119,381
COMMERCE BANCSHARES                    EQUITY    200525103        49      1,057  SH           Sole    1        1,057
COMMERCE GROUP, INC.                   EQUITY    200641108       576     11,669  SH           Sole    1       11,669
COMMERCIAL CAPITAL BANCORP             EQUITY    20162L105       303     17,467  SH           Sole    1       17,467
COMMERCIAL FEDERAL CORP.               EQUITY    201647104       531     19,591  SH           Sole    1       19,591
COMMERCIAL METALS CO.                  EQUITY    201723103       453     13,961  SH           Sole    1       13,961
COMMERCIAL NET LEASE REALTY            EQUITY    202218103       552     32,078  SH           Sole    1       32,078
COMMONWEALTH TELEPHONE ENT.            EQUITY    203349105       464     10,365  SH           Sole    1       10,365
COMMSCOPE INC.                         EQUITY    203372107      2531    117,989  SH           Sole    1      117,989
COMMUNITY BANK SYSTEM, INC.            EQUITY    203607106       276     12,115  SH           Sole    1       12,115
COMMUNITY BANKS INC                    EQUITY    203628102       151      5,141  SH           Sole    1        5,141
COMMUNITY FIRST BANKSHARES             EQUITY    203902101       571     17,731  SH           Sole    1       17,731
COMMUNITY HEALTH SYS                   EQUITY    203668108      4125    154,091  SH           Sole    1      154,091
COMMUNITY TRUST BANCORP                EQUITY    204149108       159      5,206  SH           Sole    1        5,206
COMPANHIA DE BEBIDAS-PR ADR            EQUITY    20441W203      1323     65,930  SH           Sole    1       65,930





                                                                                            
COMPASS BANCSHARES, INC.               EQUITY    20449H109      8235    191,522  SH           Sole    1      191,522
COMPASS MINERALS INTERNATION           EQUITY    20451N101       141      7,255  SH           Sole    1        7,255
COMPUCOM SYS INC                       EQUITY    204780100        53     11,756  SH           Sole    1       11,756
COMPUCREDIT CORPORATION                EQUITY    20478N100       155      8,976  SH           Sole    1        8,976
COMPUTER ASSOC INTL INC                EQUITY    204912109        20        701  SH        DEFINED    2          701
COMPUTER ASSOCIATES  INT'L.            EQUITY    204912109      6984    248,901  SH           Sole    1      248,901
COMPUTER PROGRAMS & SY                 EQUITY    205306103        63      3,102  SH           Sole    1        3,102
COMPUTER SCIENCES                      EQUITY    205363104         5     117600  SH           Sole    3       110300          7300
COMPUTER SCIENCES CORP                 EQUITY    205363104        10        225  SH        DEFINED    2          225
COMPUTER SCIENCES CORP.                EQUITY    205363104      3862     83,179  SH           Sole    1       83,179
COMPUWARE CORP                         EQUITY    205638109         3        463  SH        DEFINED    2          463
COMPUWARE CORP.                        EQUITY    205638109      1246    188,789  SH           Sole    1      188,789
COMPX INTERNATIONAL INC.               EQUITY    20563P101        24      1,630  SH           Sole    1        1,630
COMSTOCK RESOURCES, INC.               EQUITY    205768203       325     16,677  SH           Sole    1       16,677
COMTECH TELECOMMUNICATIONS             EQUITY    205826209       154      6,836  SH           Sole    1        6,836
COMVERSE TECHNOLOGY INC                EQUITY    205862402         5        234  SH        DEFINED    2          234
COMVERSE TECHNOLOGY, INC.              EQUITY    205862402      2033    101,932  SH           Sole    1      101,932
CONAGRA INC                            EQUITY    205887102     12205    450,708  SH        DEFINED    2      450,708
CONAGRA, INC.                          EQUITY    205887102      6092    224,953  SH           Sole    1      224,953
CONCEPTUS INC                          EQUITY    206016107       138     12,264  SH           Sole    1       12,264
CONCORD COMMUNICATIONS                 EQUITY    206186108       100      8,790  SH           Sole    1        8,790
CONCUR TECHNOLOGIES INC                EQUITY    206708109       135     12,583  SH           Sole    1       12,583
CONEXANT SYSTEMS INC.                  EQUITY    207142100        40      9,255  SH           Sole    1        9,255
CONMED CORP.                           EQUITY    207410101       392     14,296  SH           Sole    1       14,296
CONNECTICUT WATER SVC INC              EQUITY    207797101        99      3,840  SH           Sole    1        3,840
CONNETICS CORP                         EQUITY    208192104       305     15,108  SH           Sole    1       15,108
CONN'S INC                             EQUITY    208242107        52      3,328  SH           Sole    1        3,328
CONOCOPHILLIPS                         EQUITY    20825C104        63        822  SH        DEFINED    2          822
CONOCOPHILLIPS PETROLEUM CO            EQUITY    20825C104     34247    448,907  SH           Sole    1      448,907
CONS TOMOKA LAND CO-FLORIDA            EQUITY    210226106       102      2,710  SH           Sole    1        2,710
CONSECO INC                            EQUITY    208464883        52      2,616  SH           Sole    1        2,616
CONSOL ENERGY INC                      EQUITY    20854P109        66      1,820  SH           Sole    1        1,820
Consolidated Edison                    EQUITY    209115104       994     25,000  SH        DEFINED    4       25,000
CONSOLIDATED EDISON INC                EQUITY    209115104        11        289  SH        DEFINED    2          289
CONSOLIDATED EDISON, INC.              EQUITY    209115104      4256    107,032  SH           Sole    1      107,032
CONSOLIDATED GRAPHICS, INC.            EQUITY    209341106       239      5,424  SH           Sole    1        5,424
CONSTELLATION BRANDS                   EQUITY    21036P108      6173    166,260  SH           Sole    1      166,260
CONSTELLATION ENERGY GROUP             EQUITY    210371100         8        202  SH        DEFINED    2          202
CONSTELLATION ENERGY GRUOP INC         EQUITY    210371100      2835     74,810  SH           Sole    1       74,810
CONTINENTAL AIRLS INC COM CL B         EQUITY    210795308       368     32,399  SH           Sole    1       32,399
CONVERGYS CORP                         EQUITY    212485106       981     63,693  SH           Sole    1       63,693
CONVERGYS CORP                         EQUITY    212485106         3        172  SH        DEFINED    2          172
COOPER CAMERON CORP.                   EQUITY    216640102      5213    107,037  SH           Sole    1      107,037
COOPER COMPANIES, INC.                 EQUITY    216648402        44        695  SH           Sole    1          695
COOPER COS INC COM NEW                 EQUITY    216648402        41     648844  SH           Sole    3       622566         26278
COOPER INDUSTRIES INC CL A             EQUITY    G24182100      2344     39,451  SH           Sole    1       39,451
COOPER TIRE & RUBBER CO                EQUITY    216831107      1457     63,367  SH           Sole    1       63,367
COOPER TIRE + RUBR CO                  EQUITY    216831107         2         89  SH        DEFINED    2           89
COORS ADOLPH CLASS B                   EQUITY    217016104      1180     16,315  SH           Sole    1       16,315
COORS ADOLPH CO                        EQUITY    217016104         3         45  SH        DEFINED    2           45
COPART, INC.                           EQUITY    217204106      3730    139,718  SH           Sole    1      139,718
CORCEPT THERAPEUTICS INC               EQUITY    218352102        17      2,167  SH           Sole    1        2,167
CORGENTECH INC                         EQUITY    21872P105        48      2,960  SH           Sole    1        2,960
CORILLIAN CORP                         EQUITY    218725109        79     15,599  SH           Sole    1       15,599
CORINTHIAN COLLEGES COM                EQUITY    218868107         6     233550  SH           Sole    3       210600         22950
CORINTHIAN COLLEGES INC                EQUITY    218868107      3499    141,435  SH           Sole    1      141,435
CORIXA CORP.                           EQUITY    21887F100       125     26,780  SH           Sole    1       26,780
CORN PRODUCTS INTERNATIONAL            EQUITY    219023108       816     17,534  SH           Sole    1       17,534
CORNELL COMPANIES INC                  EQUITY    219141108        87      6,396  SH           Sole    1        6,396





                                                                                            
CORNERSTONE REALITY INCOME             EQUITY    21922V102       281     32,018  SH           Sole    1       32,018
CORNING INC                            EQUITY    219350105      3480    266,444  SH        DEFINED    2      266,444
CORNING, INC.                          EQUITY    219350105      7629    584,114  SH           Sole    1      584,114
CORP EXEC BOARD CO.                    EQUITY    21988R102        46        792  SH           Sole    1          792
CORPORATE EXEC BRD CO COM              EQUITY    21988R102        29     503546  SH           Sole    3       478090         25456
CORPORATE OFFICE PROPERTIES TR         EQUITY    22002T108       524     21,093  SH           Sole    1       21,093
CORRECTIONAL PROPERTIES TRUST          EQUITY    22025E104       200      6,839  SH           Sole    1        6,839
CORRECTIONS CORP. OF AMERICA           EQUITY    22025Y407       667     16,901  SH           Sole    1       16,901
CORRECTIONS CP AM NEW COM NEW          EQUITY    22025Y407        17     438664  SH           Sole    3       419700         18964
CORUS BANKSHARES, INC.                 EQUITY    220873103       308      7,488  SH           Sole    1        7,488
CORVEL CORP.                           EQUITY    221006109        86      3,050  SH           Sole    1        3,050
CORVIS CORP                            EQUITY    221009103       264    187,173  SH           Sole    1      187,173
COSI INC                               EQUITY    22122P101        59      9,891  SH           Sole    1        9,891
COST PLUS, INC.                        EQUITY    221485105       341     10,502  SH           Sole    1       10,502
COSTAR GROUP INC COM                   EQUITY    22160N109         5     109900  SH           Sole    3       109900
COSTAR GROUP, INC.                     EQUITY    22160N109       354      7,713  SH           Sole    1        7,713
COSTCO WHOLESALE CORPORATION           EQUITY    22160K105      8767    212,890  SH           Sole    1      212,890
COSTCO WHSL CORP NEW                   EQUITY    22160K105        23        550  SH        DEFINED    2          550
COUNTRYWIDE FINANCIAL                  EQUITY    222372104      8353    118,908  SH           Sole    1      118,908
COUNTRYWIDE FINL CORP                  EQUITY    222372104        24        335  SH        DEFINED    2          335
COURIER CORP                           EQUITY    222660102       128      3,100  SH           Sole    1        3,100
COURTYARD BY MARRIOTT II               EQUITY    44107P104       685     55,402  SH           Sole    1       55,402
COUSINS PROPERTIES, INC.               EQUITY    222795106       798     24,223  SH           Sole    1       24,223
COVANCE INC                            EQUITY    222816100      5085    131,800  SH        DEFINED    2      131,800
COVANCE INC COM                        EQUITY    222816100        11     281574  SH           Sole    3       254300         27274
COVANCE INC.                           EQUITY    222816100      3814     98,847  SH           Sole    1       98,847
COVANSYS CORP.                         EQUITY    22281W103       100      9,646  SH           Sole    1        9,646
COVENANT TRANSPORT INC CLASS A         EQUITY    22284P105        72      4,193  SH           Sole    1        4,193
COVENTRY HEALTH CARE, INC.             EQUITY    222862104      9733    199,039  SH           Sole    1      199,039
COX COMMUNICATIONS, INC. CLASS A       EQUITY    224044107        40      1,430  SH           Sole    1        1,430
COX RADIO INC-CL A                     EQUITY    224051102        13        747  SH           Sole    1          747
CRANE CO                               EQUITY    224399105         2         71  SH        DEFINED    2           71
CRANE CO.                              EQUITY    224399105       828     26,370  SH           Sole    1       26,370
CRAWFORD & CO. CLASS B                 EQUITY    224633107        30      6,186  SH           Sole    1        6,186
CRAY INC                               EQUITY    225223106       273     41,208  SH           Sole    1       41,208
CREDENCE SYSTEMS CORP.                 EQUITY    225302108      2698    195,481  SH           Sole    1      195,481
CREDIT ACCEPTANCE CORP.                EQUITY    225310101        77      5,133  SH           Sole    1        5,133
CREE INC                               EQUITY    225447101      2690    116,192  SH           Sole    1      116,192
CRESCENT REAL ESTATE EQUITIES, INC.    EQUITY    225756105       250     15,501  SH           Sole    1       15,501
CRITICAL THERAPEUTICS INC              EQUITY    22674T105      2225    317,900  SH        DEFINED    2      317,900
CROSS COUNTRY HEALTHCARE INC           EQUITY    227483104       200     11,036  SH           Sole    1       11,036
CROSS TIMBERS RLTY TR                  EQUITY    22757R109        12        442  SH        DEFINED    2          442
CROSSTEX ENERGY INC                    EQUITY    22765Y104        46      1,139  SH           Sole    1        1,139
CROSSTEX ENERGY INC COM                EQUITY    22765Y104         7     171000  SH           Sole    3       171000
CROWN CASTLE INTERNATIONAL             EQUITY    228227104        56      3,786  SH           Sole    1        3,786
CROWN HOLDINGS INC                     EQUITY    228368106       792     79,420  SH           Sole    1       79,420
CROWN MEDIA HOLDINGS-CLASS A           EQUITY    228411104        60      6,988  SH           Sole    1        6,988
CSG SYSTEMS INTERNATIONAL, INC         EQUITY    126349109      2222    107,337  SH           Sole    1      107,337
CSK AUTO CORP                          EQUITY    125965103       383     22,370  SH           Sole    1       22,370
CSS INDUSTRIES, INC.                   EQUITY    125906107       117      3,342  SH           Sole    1        3,342
CSX  CORP.                             EQUITY    126408103      3125     95,373  SH           Sole    1       95,373
CSX CORP                               EQUITY    126408103         8        257  SH        DEFINED    2          257
CT COMMUNICATION                       EQUITY    126426402       137      9,078  SH           Sole    1        9,078
CTI MOLECULAR IMAGING INC              EQUITY    22943D105       212     14,959  SH           Sole    1       14,959
CTS CORP.                              EQUITY    126501105       209     17,348  SH           Sole    1       17,348
CUBIC CORP.                            EQUITY    229669106       157      7,517  SH           Sole    1        7,517
CUBIST PHARMA INC                      EQUITY    229678107       215     19,343  SH           Sole    1       19,343
CUBIST PHARMACEUTICALS INC             EQUITY    229678107      2406    216,800  SH        DEFINED    2      216,800
CULLEN/FROST BANKERS                   EQUITY    229899109      3644     81,432  SH           Sole    1       81,432





                                                                                            
CUMMINS INC                            EQUITY    231021106         3         52  SH        DEFINED    2           52
CUMMINS INC.                           EQUITY    231021106      1191     19,059  SH           Sole    1       19,059
CUMULUS MEDIA, INC.                    EQUITY    231082108       398     23,688  SH           Sole    1       23,688
CUNO, INC.                             EQUITY    126583103       435      8,145  SH           Sole    1        8,145
CURAGEN CORP                           EQUITY    23126R101       124     20,706  SH           Sole    1       20,706
CURIS INC.                             EQUITY    231269101        88     19,929  SH           Sole    1       19,929
CURTISS-WRIGHT CORP.                   EQUITY    231561101       567     10,093  SH           Sole    1       10,093
CV THERAPEUTICS, INC.                  EQUITY    126667104       254     15,139  SH           Sole    1       15,139
CVB FINANCIAL CORP                     EQUITY    126600105       383     17,621  SH           Sole    1       17,621
CVS CORP                               EQUITY    126650100        20        476  SH        DEFINED    2          476
CVS CORP.                              EQUITY    126650100     12454    296,376  SH           Sole    1      296,376
CYBERGUARD CORP                        EQUITY    231910100        55      6,680  SH           Sole    1        6,680
CYBERONICS                             EQUITY    23251P102       278      8,330  SH           Sole    1        8,330
CYBEROPTICS CORP                       EQUITY    232517102        93      3,561  SH           Sole    1        3,561
CYBERSOURCE CORP                       EQUITY    23251J106       110     13,136  SH           Sole    1       13,136
CYMER INC                              EQUITY    232572107      5257    140,400  SH        DEFINED    2      140,400
CYMER, INC.                            EQUITY    232572107       662     17,675  SH           Sole    1       17,675
CYPRESS BIOSCIENCE INC                 EQUITY    232674507       194     14,123  SH           Sole    1       14,123
CYPRESS BIOSCIENCES INC                EQUITY    232674507      2679    195,100  SH        DEFINED    2      195,100
CYPRESS SEMICONDUCTOR CORP.            EQUITY    232806109      2691    189,647  SH           Sole    1      189,647
CYTEC INDUSTRIES, INC.                 EQUITY    232820100      3618     79,598  SH           Sole    1       79,598
CYTOGEN CORP                           EQUITY    232824300       119      7,458  SH           Sole    1        7,458
CYTOKINETICS INC                       EQUITY    23282W100        54      3,637  SH           Sole    1        3,637
CYTYC CORP                             EQUITY    232946103      5764    227,200  SH        DEFINED    2      227,200
CYTYC CORPORATION                      EQUITY    232946103      4378    172,572  SH           Sole    1      172,572
D & E COMMUNICATIONSINC                EQUITY    232860106        84      6,248  SH           Sole    1        6,248
D.R. HORTON INC                        EQUITY    23331A109     10407    366,451  SH           Sole    1      366,451
DADE BEHRING HOLDINGS INC              EQUITY    23342J206        43        895  SH           Sole    1          895
DANA CORP                              EQUITY    235811106      1398     71,314  SH           Sole    1       71,314
DANA CORP                              EQUITY    235811106         4        179  SH        DEFINED    2          179
DANAHER CORP                           EQUITY    235851102     19981    385,369  SH        DEFINED    2      385,369
DANAHER CORP.                          EQUITY    235851102     23937    461,657  SH           Sole    1      461,657
DANIELSON HOLDING CORP                 EQUITY    236274106        75     10,896  SH           Sole    1       10,896
DARDEN RESTAURANTS INC                 EQUITY    237194105         4        193  SH        DEFINED    2          193
DARDEN RESTAURANTS, INC.               EQUITY    237194105      1474     71,729  SH           Sole    1       71,729
DARLING INTERNATIONAL INC              EQUITY    237266101       129     30,696  SH           Sole    1       30,696
DATASCOPE CORP.                        EQUITY    238113104       222      5,605  SH           Sole    1        5,605
DAVE & BUSTERS INC                     EQUITY    23833N104       100      5,342  SH           Sole    1        5,342
DAVITA INC                             EQUITY    23918K108        66      2,131  SH           Sole    1        2,131
DDI CORP                               EQUITY    233162304       103     12,543  SH           Sole    1       12,543
DEAN FOODS CO                          EQUITY    242370104      9158    245,451  SH           Sole    1      245,451
DEB SHOPS, INC                         EQUITY    242728103        49      2,040  SH           Sole    1        2,040
DECKERS OUTDOOR CORP                   EQUITY    243537107       127      4,307  SH           Sole    1        4,307
DECKERS OUTDOOR CORP COM               EQUITY    243537107         6     209200  SH           Sole    3       209200
DECODE GENETICS, INC                   EQUITY    243586104       196     23,091  SH           Sole    1       23,091
DEERE & CO.                            EQUITY    244199105      7430    105,938  SH           Sole    1      105,938
DEERE + CO                             EQUITY    244199105        21        298  SH        DEFINED    2          298
DEL LABS INC                           EQUITY    245091103        73      2,355  SH           Sole    1        2,355
DEL MONTE                              EQUITY    24522P103        34      3,317  SH           Sole    1        3,317
DELL INC                               EQUITY    24702R101     95183  2,657,270  SH           Sole    1    2,657,270
DELL INC                               EQUITY    24702R101     22221    620,348  SH        DEFINED    2      620,348
DELPHI CORP                            EQUITY    247126105      2635    246,696  SH           Sole    1      246,696
DELPHI CORP                            EQUITY    247126105         7        671  SH        DEFINED    2          671
DELPHI FINANCIAL GROUP, INC., CLASS A  EQUITY    247131105       528     11,876  SH           Sole    1       11,876
DELTA & PINE LAND CO.                  EQUITY    247357106       399     18,175  SH           Sole    1       18,175
DELTA AIR LINES INC                    EQUITY    247361108         1        149  SH        DEFINED    2          149
DELTA AIR LINES, INC.                  EQUITY    247361108       744    104,457  SH           Sole    1      104,457
DELTA PETROLEUM CORP                   EQUITY    247907207       103      7,629  SH           Sole    1        7,629
DELTIC TIMBER CORP.                    EQUITY    247850100       183      4,758  SH           Sole    1        4,758





                                                                                            
DELUXE CORP                            EQUITY    248019101         3         60  SH        DEFINED    2           60
DELUXE CORP.                           EQUITY    248019101      1181     27,156  SH           Sole    1       27,156
DENBURY RESOURCES INC                  EQUITY    247916208       551     26,292  SH           Sole    1       26,292
DENDREON CORP                          EQUITY    24823Q107      2058    168,024  SH           Sole    1      168,024
DENDRITE INTERNATIONAL, INC.           EQUITY    248239105       323     17,359  SH           Sole    1       17,359
DENTSPLY INTERNATIONAL INC.            EQUITY    249030107      6796    130,448  SH           Sole    1      130,448
DEPARTMENT 56 INC                      EQUITY    249509100        98      6,362  SH           Sole    1        6,362
DEPOMED INC                            EQUITY    249908104        50     10,143  SH           Sole    1       10,143
DEVELOPERS DIVERSIFIED REALTY          EQUITY    251591103       575     16,267  SH           Sole    1       16,267
DEVON ENERGY CORP.                     EQUITY    25179M103      6734    102,037  SH           Sole    1      102,037
DEVON ENERGY CORPORATION N             EQUITY    25179M103        19        287  SH        DEFINED    2          287
DEVRY, INC.                            EQUITY    251893103      3024    110,276  SH           Sole    1      110,276
DHB INDS INC                           EQUITY    23321E103       149      9,813  SH           Sole    1        9,813
DIAGNOSTIC PRODUCTS CORP.              EQUITY    252450101       478     10,886  SH           Sole    1       10,886
DIAMOND OFFSHORE DRILLING              EQUITY    25271C102       539     22,617  SH           Sole    1       22,617
DIAMONDCLUSTER INT'L INC CL A          EQUITY    25278P106       110     12,664  SH           Sole    1       12,664
DICK'S SPORTING GOODS INC              EQUITY    253393102       483     14,489  SH           Sole    1       14,489
DIEBOLD, INC.                          EQUITY    253651103      6065    114,717  SH           Sole    1      114,717
DIGENE CORP                            EQUITY    253752109       246      6,745  SH           Sole    1        6,745
DIGI INTERNATIONAL INC                 EQUITY    253798102       111     10,310  SH           Sole    1       10,310
DIGIMARC CORP                          EQUITY    253807101        99      7,430  SH           Sole    1        7,430
DIGITAL INSIGHT                        EQUITY    25385P106       347     16,867  SH           Sole    1       16,867
DIGITAL RIV INC                        EQUITY    25388B104       500     15,327  SH           Sole    1       15,327
DIGITAL THEATER SYSTEMS INC            EQUITY    25389G102       211      8,080  SH           Sole    1        8,080
DIGITALNET HLDGS INC COM               EQUITY    25389B103         4     183700  SH           Sole    3       183700
DIGITALNET HOLDINGS INC                EQUITY    25389B103        60      2,948  SH           Sole    1        2,948
DIGITAS INC                            EQUITY    25388K104       285     25,809  SH           Sole    1       25,809
DIGITAS INC COM                        EQUITY    25388K104        19    1712327  SH           Sole    3      1649239         63088
DILLARDS INC                           EQUITY    254067101         2        100  SH        DEFINED    2          100
DILLARDS, INC. CLASS A                 EQUITY    254067101       817     36,639  SH           Sole    1       36,639
DIME COMMUNITY BANCSHARES              EQUITY    253922108       260     14,870  SH           Sole    1       14,870
DIMON, INC.                            EQUITY    254394109       124     21,698  SH           Sole    1       21,698
DIODES INC                             EQUITY    254543101        81      3,439  SH           Sole    1        3,439
DIONEX CORP.                           EQUITY    254546104       492      8,926  SH           Sole    1        8,926
DIRECT GENERAL CORP                    EQUITY    25456W204       245      7,614  SH           Sole    1        7,614
DIRECTV GROUP INC                      EQUITY    25459L106      1983    115,983  SH        DEFINED    2      115,983
DISCOVERY LABORATORIES INC             EQUITY    254668106       216     22,477  SH           Sole    1       22,477
DISCOVERY LABORATORIES INC             EQUITY    254668106       240     25,000  SH        DEFINED    2       25,000
DISNEY WALT CO                         EQUITY    254687106     15678    615,059  SH        DEFINED    2      615,059
DITECH COMMUNICATIONS CORP             EQUITY    25500M103       319     13,670  SH           Sole    1       13,670
DIVERSA CORP                           EQUITY    255064107       115     11,360  SH           Sole    1       11,360
DJ ORTHOPEDICS INC                     EQUITY    23325G104       198      8,592  SH           Sole    1        8,592
DJ ORTHOPEDICS INC COM                 EQUITY    23325G104         3     132300  SH           Sole    3       132300
DOBSON COMMUNICATIONS                  EQUITY    256069105      4952  1,518,969  SH           Sole    1    1,518,969
DOBSON COMMUNICATIONS CORP             EQUITY    256069105       575    176,316  SH        DEFINED    2      176,316
DOLLAR GEN CORP                        EQUITY    256669102         8        395  SH        DEFINED    2          395
DOLLAR GENERAL CORP.                   EQUITY    256669102      2863    146,346  SH           Sole    1      146,346
DOLLAR THRIFTY AUTOMOTIVE              EQUITY    256743105       333     12,133  SH           Sole    1       12,133
DOLLAR TREE STORES INC.                EQUITY    256747106      5200    189,587  SH           Sole    1      189,587
DOMINION HOMES INC                     EQUITY    257386102        44      1,919  SH           Sole    1        1,919
DOMINION RES INC VA NEW                EQUITY    25746U109        25        391  SH        DEFINED    2          391
DOMINION RESOURCES, INC.               EQUITY    25746U109      8773    139,071  SH           Sole    1      139,071
DONALDSON CO., INC.                    EQUITY    257651109      3992    136,250  SH           Sole    1      136,250
DONEGAL GROUP INC-CL A                 EQUITY    257701201        60      3,011  SH           Sole    1        3,011
DONNELLEY R R + SONS CO                EQUITY    257867101         9        260  SH        DEFINED    2          260
DORAL FINANCIAL CORP.                  EQUITY    25811P100        64      1,850  SH           Sole    1        1,850
DORCHESTER MINERALS LP                 EQUITY    25820R105        80      4,200  SH           Sole    1        4,200
DOT HILL SYSTEMS CORP                  EQUITY    25848T109       234     20,859  SH           Sole    1       20,859
DOUBLECLICK INC                        EQUITY    258609304       452     58,143  SH           Sole    1       58,143





                                                                                            
DOV PHARMACEUTICAL INC                 EQUITY    259858108        81      5,788  SH           Sole    1        5,788
DOVER CORP                             EQUITY    260003108      7083    168,244  SH        DEFINED    2      168,244
DOVER CORP.                            EQUITY    260003108     27149    644,864  SH           Sole    1      644,864
DOVER DOWNS GAMING & ENTERTA           EQUITY    260095104        55      4,877  SH           Sole    1        4,877
DOVER MOTORSPORTS INC                  EQUITY    260174107        30      7,501  SH           Sole    1        7,501
DOW CHEM CO                            EQUITY    260543103        46      1,122  SH        DEFINED    2        1,122
Dow Chemical                           EQUITY    260543103       611     15,000  SH        DEFINED    4       15,000
DOW CHEMICAL CO.                       EQUITY    260543103     16182    397,592  SH           Sole    1      397,592
DOW JONES & CO., INC.                  EQUITY    260561105      1948     43,194  SH           Sole    1       43,194
DOW JONES + CO INC                     EQUITY    260561105         4         98  SH        DEFINED    2           98
DOWNEY FINANCIAL CORP.                 EQUITY    261018105       502      9,424  SH           Sole    1        9,424
DPL, INC.                              EQUITY    233293109      3865    198,996  SH           Sole    1      198,996
DRESS BARN, INC.                       EQUITY    261570105       169      9,862  SH           Sole    1        9,862
DREW INDUSTRIES INC                    EQUITY    26168L205       140      3,435  SH           Sole    1        3,435
DREXLER TECHNOLOGY COR                 EQUITY    261876106        62      4,683  SH           Sole    1        4,683
DREYERS GRAND ICE CREAM                EQUITY    261877104      1022     12,940  SH           Sole    1       12,940
DRILL QUIP                             EQUITY    262037104        58      3,126  SH           Sole    1        3,126
DRS TECHNOLOGIES INC                   EQUITY    23330X100       363     11,382  SH           Sole    1       11,382
DRUGSTORE.COM                          EQUITY    262241102        74     21,290  SH           Sole    1       21,290
DSP GROUP, INC. COM                    EQUITY    23332B106       382     14,022  SH           Sole    1       14,022
DST SYS INC DEL                        EQUITY    233326107      6511    135,400  SH        DEFINED    2      135,400
DST SYS INC DEL COM                    EQUITY    233326107         7     150100  SH           Sole    3       140100         10000
DST SYSTEMS INC                        EQUITY    233326107      6314    131,305  SH           Sole    1      131,305
DTE ENERGY CO                          EQUITY    233331107         8        208  SH        DEFINED    2          208
DTE ENERGY CO.                         EQUITY    233331107     20575    507,522  SH           Sole    1      507,522
DTE Energy Company                     EQUITY    233331107      5878    145,000  SH        DEFINED    4      145,000
DU PONT E I DE NEMOURS + C             EQUITY    263534109     11508    259,082  SH        DEFINED    2      259,082
DUANE READE, INC.                      EQUITY    263578106       274     16,768  SH           Sole    1       16,768
DUCOMMUN INC DEL                       EQUITY    264147109        75      3,498  SH           Sole    1        3,498
DUKE ENERGY CO                         EQUITY    264399106        22      1,096  SH        DEFINED    2        1,096
DUKE ENERGY CORP.                      EQUITY    264399106      7902    389,456  SH           Sole    1      389,456
DUKE REALTY                            EQUITY    264411505       705     22,148  SH           Sole    1       22,148
DUN & BRADSTREET CORP NEW WI           EQUITY    26483E100      6174    114,526  SH           Sole    1      114,526
DUPONT PHOTOMASKS                      EQUITY    26613X101       143      7,044  SH           Sole    1        7,044
DUQUESNE LIGHT HOLDINGS INC            EQUITY    266233105      3760    194,696  SH           Sole    1      194,696
DURATEK INC                            EQUITY    26658Q102        74      4,897  SH           Sole    1        4,897
DURECT CORPORATION                     EQUITY    266605104        50     14,591  SH           Sole    1       14,591
DUSA PHARAMACEUTICALS INC              EQUITY    266898105        68      7,199  SH           Sole    1        7,199
DYAX CORP                              EQUITY    26746E103       148     12,589  SH           Sole    1       12,589
DYAX CORP                              EQUITY    26746E103      1469    125,000  SH        DEFINED    2      125,000
DYCOM INDUSTRIES, INC.                 EQUITY    267475101      2753     98,324  SH           Sole    1       98,324
DYNAVAX TECHNOLOGIES CORP              EQUITY    268158102        20      2,994  SH           Sole    1        2,994
DYNEGY INC NEW                         EQUITY    26816Q101         2        454  SH        DEFINED    2          454
DYNEGY INC.                            EQUITY    26816Q101       709    166,444  SH           Sole    1      166,444
E TRADE FINL CORP                      EQUITY    269246104      1680    150,638  SH        DEFINED    2      150,638
E*TRADE FINANCIAL CORP                 EQUITY    269246104      1816    162,850  SH           Sole    1      162,850
E.I. DU PONT DE NEMOURS AND CO         EQUITY    263534109     19676    442,949  SH           Sole    1      442,949
E.PIHPANY, INC.                        EQUITY    26881V100       176     36,532  SH           Sole    1       36,532
EAGLE BROADBAND INC                    EQUITY    269437109        91     92,102  SH           Sole    1       92,102
EAGLE MATERIALS INC                    EQUITY    26969P108       643      9,051  SH           Sole    1        9,051
EARTHLINK INC                          EQUITY    270321102       689     66,607  SH           Sole    1       66,607
EAST WEST BANCORP                      EQUITY    27579R104       742     24,164  SH           Sole    1       24,164
EASTGROUP PROPERTIES, INC.             EQUITY    277276101       439     13,047  SH           Sole    1       13,047
EASTMAN CHEM CO                        EQUITY    277432100        14        436  SH        DEFINED    2          436
EASTMAN CHEMICAL CO.                   EQUITY    277432100      4611     99,738  SH           Sole    1       99,738
EASTMAN KODAK CO.                      EQUITY    277461109      3434    127,265  SH           Sole    1      127,265
EATON CORP                             EQUITY    278058102        12        180  SH        DEFINED    2          180
EATON CORP.                            EQUITY    278058102      4329     66,873  SH           Sole    1       66,873
EATON VANCE CORP.                      EQUITY    278265103      4121    107,859  SH           Sole    1      107,859





                                                                                            
EBAY INC                               EQUITY    278642103     18702    203,388  SH        DEFINED    2      203,388
EBAY, INC.                             EQUITY    278642103     51624    561,438  SH           Sole    1      561,438
ECHELON                                EQUITY    27874N105       151     13,457  SH           Sole    1       13,457
ECHOSTAR COMMUNICATIONS CO             EQUITY    278762109     13827    449,650  SH        DEFINED    2      449,650
ECHOSTAR COMMUNICATIONS CORP. CLASS A  EQUITY    278762109       545     17,730  SH           Sole    1       17,730
ECLIPSYS CORP.                         EQUITY    278856109       268     17,546  SH           Sole    1       17,546
ECOLAB INC                             EQUITY    278865100        10        308  SH        DEFINED    2          308
ECOLAB, INC.                           EQUITY    278865100      6190    195,271  SH           Sole    1      195,271
ECOLLEGE COM COM                       EQUITY    27887E100         2     147200  SH           Sole    3       147200
ECOLLEGE.COM INC                       EQUITY    27887E100       122      7,642  SH           Sole    1        7,642
EDGE PETROLEUM CORP                    EQUITY    279862106       106      6,228  SH           Sole    1        6,228
EDISON INTERNATIONAL INC               EQUITY    281020107      3699    144,653  SH           Sole    1      144,653
EDISON INTL                            EQUITY    281020107        10        390  SH        DEFINED    2          390
EDO CORP                               EQUITY    281347104       182      7,534  SH           Sole    1        7,534
EDUCATION LENDING GROUP INC            EQUITY    28140A109       107      6,011  SH           Sole    1        6,011
EDUCATION MANAGEMENT CORP.             EQUITY    28139T101      3778    114,970  SH           Sole    1      114,970
EDUCATION MGMT CORP COM                EQUITY    28139T101        14     421127  SH           Sole    3       396789         24338
EDWARDS LIFESCIENCES CP                EQUITY    28176E108      3254     93,375  SH           Sole    1       93,375
EFUNDS CORP                            EQUITY    28224R101       403     23,012  SH           Sole    1       23,012
EGL INC.                               EQUITY    268484102       457     17,190  SH           Sole    1       17,190
EL PASO CORP                           EQUITY    28336L109      2306    292,611  SH           Sole    1      292,611
EL PASO CORP                           EQUITY    28336L109         6        768  SH        DEFINED    2          768
EL PASO ELECTRIC CO.                   EQUITY    283677854       353     22,886  SH           Sole    1       22,886
ELECTRO RENT CORP.                     EQUITY    285218103        91      8,664  SH           Sole    1        8,664
ELECTRO SCIENTIFIC INDUSTRIES,         EQUITY    285229100       382     13,511  SH           Sole    1       13,511
ELECTRONIC ARTS                        EQUITY    285512109      8279    151,773  SH           Sole    1      151,773
ELECTRONIC ARTS INC                    EQUITY    285512109     18130    332,363  SH        DEFINED    2      332,363
ELECTRONIC DATA SYS CORP N             EQUITY    285661104        11        580  SH        DEFINED    2          580
ELECTRONIC DATA SYSTEMS CORP.          EQUITY    285661104      4117    214,961  SH           Sole    1      214,961
ELECTRONICS BOUTIQUE HLDGS. CO         EQUITY    286045109       147      5,585  SH           Sole    1        5,585
ELECTRONICS FOR IMAGING, INC.          EQUITY    286082102       728     25,769  SH           Sole    1       25,769
ELI LILLY AND CO.                      EQUITY    532457108     71665  1,025,104  SH           Sole    1    1,025,104
ELIZABETH ARDEN INC                    EQUITY    28660G106       204      9,681  SH           Sole    1        9,681
ELKCORP                                EQUITY    287456107       227      9,479  SH           Sole    1        9,479
EMBARCADERO TECHNOLOGIES INC           EQUITY    290787100       126     10,203  SH           Sole    1       10,203
EMBRAER AIRCRAFT CORP ADR              EQUITY    29081M102      3009    105,260  SH           Sole    1      105,260
EMC CORP                               EQUITY    268648102     18069  1,585,028  SH        DEFINED    2    1,585,028
EMC CORP.                              EQUITY    268648102     12009  1,053,398  SH           Sole    1    1,053,398
EMC INS GROUP INC                      EQUITY    268664109        25      1,067  SH           Sole    1        1,067
EMCOR GROUP, INC.                      EQUITY    29084Q100       320      7,278  SH           Sole    1        7,278
EMERSON ELEC CO                        EQUITY    291011104     11603    182,576  SH        DEFINED    2      182,576
Emerson Electric                       EQUITY    291011104      1907     30,000  SH        DEFINED    4       30,000
EMERSON ELECTRIC CO.                   EQUITY    291011104     36382    572,495  SH           Sole    1      572,495
EMMIS COMMUNICATIONS CORP. CLASS A     EQUITY    291525103      2301    109,663  SH           Sole    1      109,663
EMPIRE DISTRICT ELECTRIC CO.           EQUITY    291641108       477     23,703  SH           Sole    1       23,703
EMPIRE RESORTS INC                     EQUITY    292052107        58      4,120  SH           Sole    1        4,120
EMPRESA NACIONAL DE ELEC ADR           EQUITY    29244T101      1901    155,051  SH           Sole    1      155,051
EMS TECHNOLOGIES INC                   EQUITY    26873N108       104      5,328  SH           Sole    1        5,328
EMULEX CORP                            EQUITY    292475209       566     39,519  SH           Sole    1       39,519
EMULEX CORP                            EQUITY    292475209         1      87808  SH           Sole    3        70600         17208
ENCANA CORP                            EQUITY    292505104      1934     45,000  SH          Other    1            0  45,000
ENCORE ACQUISITION CO                  EQUITY    29255W100       831     29,789  SH           Sole    1       29,789
ENCORE ACQUISITION CO                  EQUITY    29255W100         2      82560  SH           Sole    3        82560
ENCORE CAPITAL GROUP INC               EQUITY    292554102        77      5,831  SH           Sole    1        5,831
ENCORE MED CORP                        EQUITY    29256E109      1082    171,800  SH        DEFINED    2      171,800
ENCORE MEDICAL CORP                    EQUITY    29256E109        93     14,790  SH           Sole    1       14,790
ENCORE WIRE CORP                       EQUITY    292562105       140      5,083  SH           Sole    1        5,083
ENCYSIVE PHARMACEUTICALS INC           EQUITY    29256X107       216     25,390  SH           Sole    1       25,390
ENDO PHARMACEUTICALS                   EQUITY    29264F205        24      1,007  SH           Sole    1        1,007





                                                                                            
ENDOCARDIAL SOLUTIONS                  EQUITY    292962107       109     10,554  SH           Sole    1       10,554
ENERGEN CORP.                          EQUITY    29265N108       839     17,477  SH           Sole    1       17,477
ENERGIZER HOLDINGS INC                 EQUITY    29266R108      5769    128,206  SH           Sole    1      128,206
ENERGY CONVERSION DEVICES, INC         EQUITY    292659109       109      9,684  SH           Sole    1        9,684
ENERGY EAST CORP                       EQUITY    29266M109      5572    229,759  SH           Sole    1      229,759
ENERGY PARTNERS LTD                    EQUITY    29270U105       178     11,616  SH           Sole    1       11,616
ENERGYSOUTH INC                        EQUITY    292970100        87      2,173  SH           Sole    1        2,173
Enersis S.A.-ADR                       EQUITY    29274F104       332     13,500  SH           Sole    1       13,500
ENGELHARD CORP                         EQUITY    292845104         5        149  SH        DEFINED    2          149
ENGELHARD CORP.                        EQUITY    292845104      1784     55,224  SH           Sole    1       55,224
ENGINEERED SUPPORT SYSTEMS             EQUITY    292866100       627     10,711  SH           Sole    1       10,711
ENNIS INC                              EQUITY    293389102       154      7,883  SH           Sole    1        7,883
ENPRO INDUSTRIES INC                   EQUITY    29355X107       229      9,968  SH           Sole    1        9,968
ENSCO INTERNATIONAL, INC.              EQUITY    26874Q100      6918    237,719  SH           Sole    1      237,719
ENSTAR GROUP INC                       EQUITY    29358R107        80      1,533  SH           Sole    1        1,533
ENTEGRIS INC                           EQUITY    29362U104       243     20,962  SH           Sole    1       20,962
ENTERASYS NETWORKS INC                 EQUITY    293637104       213    101,025  SH           Sole    1      101,025
ENTERCOM COMMUNICATIONS CORP.          EQUITY    293639100      3017     80,878  SH           Sole    1       80,878
ENTERGY ARKANSAS INC                   EQUITY    29364G103      5496     98,126  SH           Sole    1       98,126
ENTERGY CORP                           EQUITY    29364G103        15        276  SH        DEFINED    2          276
ENTERTAINMENT PROPERTIES TRUST         EQUITY    29380T105       515     14,396  SH           Sole    1       14,396
ENTRAVISION COMMUNIC                   EQUITY    29382R107       178     23,185  SH           Sole    1       23,185
ENTRUST TECHNOLOGIES INC.              EQUITY    293848107       138     30,570  SH           Sole    1       30,570
ENZO BIOCHEM, INC.                     EQUITY    294100102       174     11,599  SH           Sole    1       11,599
ENZON PHARMACEUTICALS INC              EQUITY    293904108       269     21,086  SH           Sole    1       21,086
EOG RESOURCES INC                      EQUITY    26875P101      3094     51,815  SH           Sole    1       51,815
EOG RESOURCES INC                      EQUITY    26875P101     13658    228,740  SH        DEFINED    2      228,740
EON LABS INC                           EQUITY    29412E100        25        602  SH           Sole    1          602
EON LABS INC                           EQUITY    29412E100      2456     60,000  SH        DEFINED    2       60,000
EON LABS INC COM                       EQUITY    29412E100         8     203552  SH           Sole    3       201552          2000
EPICOR SOFTWARE CORPORATION            EQUITY    29426L108       257     18,315  SH           Sole    1       18,315
EPIQ SYSTEMS INC                       EQUITY    26882D109        95      6,560  SH           Sole    1        6,560
EPIX MEDICAL INC                       EQUITY    26881Q101       231     10,958  SH           Sole    1       10,958
EQUIFAX INC                            EQUITY    294429105         4        164  SH        DEFINED    2          164
EQUIFAX, INC.                          EQUITY    294429105      1510     61,015  SH           Sole    1       61,015
EQUINIX INC                            EQUITY    29444U502       158      4,668  SH           Sole    1        4,668
EQUITABLE RESOURCES, INC.              EQUITY    294549100      5018     97,034  SH           Sole    1       97,034
EQUITY INNS, INC.                      EQUITY    294703103       262     28,236  SH           Sole    1       28,236
EQUITY OFFICE PPTYS TR                 EQUITY    294741103        13        484  SH        DEFINED    2          484
EQUITY OFFICE PROPERTIES TRUST         EQUITY    294741103     26267    965,691  SH           Sole    1      965,691
EQUITY ONE INC                         EQUITY    294752100       474     26,242  SH           Sole    1       26,242
EQUITY RESIDENTIAL                     EQUITY    29476L107      4874    163,941  SH           Sole    1      163,941
ERESEARCHTECHNOLOGY IN                 EQUITY    29481V108       599     21,379  SH           Sole    1       21,379
ERIE INDEMNITY COMPA                   EQUITY    29530P102        24        512  SH           Sole    1          512
ESCALADE INC                           EQUITY    296056104        87      3,777  SH           Sole    1        3,777
ESCO ELECTRONICS CORP                  EQUITY    296315104       332      6,221  SH           Sole    1        6,221
ESPEED INC                             EQUITY    296643109       204     11,583  SH           Sole    1       11,583
ESS TECHNOLOGY, INC.                   EQUITY    269151106       173     16,111  SH           Sole    1       16,111
ESSEX PROPERTY TRUST, INC.             EQUITY    297178105       974     14,255  SH           Sole    1       14,255
ESTEE LAUDER COMPANIES-CL A            EQUITY    518439104     13257    271,761  SH           Sole    1      271,761
ESTERLINE TECHNOLOGIES CORP.           EQUITY    297425100       301     10,180  SH           Sole    1       10,180
ETHAN ALLEN INTERIOR                   EQUITY    297602104       569     15,849  SH           Sole    1       15,849
EURONET WORLDWIDE INC                  EQUITY    298736109       250     10,816  SH           Sole    1       10,816
EURONET WORLDWIDE INC COM              EQUITY    298736109        13     577600  SH           Sole    3       575000          2600
EVEREST RE GROUP, LTD                  EQUITY    G3223R108      6927     86,200  SH           Sole    1       86,200
EVERGREEN RESOURCES, INC.              EQUITY    299900308        37        925  SH           Sole    1          925
EXACTECH INC                           EQUITY    30064E109        64      2,933  SH           Sole    1        2,933
EXAR CORP.                             EQUITY    300645108       288     19,664  SH           Sole    1       19,664
EXCEL TECHNOLOGY                       EQUITY    30067T103       191      5,761  SH           Sole    1        5,761





                                                                                            
EXELIXIS, INC.                         EQUITY    30161Q104       306     30,288  SH           Sole    1       30,288
EXELON CORP                            EQUITY    30161N101      9368    281,402  SH           Sole    1      281,402
EXELON CORP                            EQUITY    30161N101        26        792  SH        DEFINED    2          792
EXIDE TECHNOLOGIES                     EQUITY    302051206      1214     59,365  SH           Sole    1       59,365
EXIDE TECHNOLOGIES FORMERL             EQUITY    302051206       381     18,619  SH        DEFINED    2       18,619
EXIDE TECHNOLOGIES-CW11                EQUITY    302051123       591    120,302  SH           Sole    1      120,302
EXPEDITORS INTERNATIONAL OF WA         EQUITY    302130109      8546    172,968  SH           Sole    1      172,968
EXPONENT INC                           EQUITY    30214U102        78      2,893  SH           Sole    1        2,893
EXPRESS SCRIPTS INC                    EQUITY    302182100      6385     80,593  SH        DEFINED    2       80,593
EXPRESS SCRIPTS INC                    EQUITY    302182100         8      98400  SH           Sole    3        91300          7100
EXPRESS SCRIPTS, INC.                  EQUITY    302182100      3140     39,634  SH           Sole    1       39,634
EXPRESSJET HOLDINGS IN                 EQUITY    30218U108       219     18,012  SH           Sole    1       18,012
EXTREME NETWORK INC                    EQUITY    30226D106       287     51,921  SH           Sole    1       51,921
EXULT INC                              EQUITY    302284104       130     24,219  SH           Sole    1       24,219
EXXON MOBIL CORP                       EQUITY    30231G102     42422    955,225  SH        DEFINED    2      955,225
EXXON MOBIL CORP.                      EQUITY    30231G102    229507  5,167,902  SH           Sole    1    5,167,902
ExxonMobil Corp                        EQUITY    30231G102      1998     45,000  SH        DEFINED    4       45,000
EYETECH PHARMACEUTICALS INC            EQUITY    302297106         6        142  SH           Sole    1          142
E-Z-EM INC                             EQUITY    269305405        58      3,169  SH           Sole    1        3,169
F N B CORP VA                          EQUITY    302930102       101      3,488  SH           Sole    1        3,488
F5 NETWORKS INC                        EQUITY    315616102       439     16,571  SH           Sole    1       16,571
FACTSET RESEARCH SYSTEMS, INC.         EQUITY    303075105       463      9,793  SH           Sole    1        9,793
FAIR ISSAC CORP                        EQUITY    303250104      3708    111,079  SH           Sole    1      111,079
FAIRCHILD SEMICONDUCTOR CORP.          EQUITY    303726103      3036    185,481  SH           Sole    1      185,481
FALCON FINANCIAL INVESTMENT            EQUITY    306032103      3013    386,250  SH           Sole    1      386,250
FALCONSTOR SOFTWARE INC                EQUITY    306137100        98     12,688  SH           Sole    1       12,688
FAMILY DLR STORES INC                  EQUITY    307000109         6        206  SH        DEFINED    2          206
FAMILY DOLLAR STORES, INC.             EQUITY    307000109      2315     76,092  SH           Sole    1       76,092
FARMER BROS. CO.                       EQUITY    307675108        87      3,232  SH           Sole    1        3,232
FARMERS CAPITAL BANK CORP              EQUITY    309562106       104      2,906  SH           Sole    1        2,906
FARO TECHNOLOGIES INC                  EQUITY    311642102       130      5,083  SH           Sole    1        5,083
FASTENAL CO                            EQUITY    311900104     13395    235,700  SH        DEFINED    2      235,700
FASTENAL CO.                           EQUITY    311900104      7080    124,587  SH           Sole    1      124,587
FBL FINANCIAL GROUP, INC., CLASS A     EQUITY    30239F106       169      5,982  SH           Sole    1        5,982
FEDERAL AGRIC MTG CORP                 EQUITY    313148306        97      4,051  SH           Sole    1        4,051
FEDERAL HOME LN MTG CORP               EQUITY    313400301        52        825  SH        DEFINED    2          825
FEDERAL NATIONAL MORTGAGE ASSO         EQUITY    313586109     52094    730,023  SH           Sole    1      730,023
FEDERAL NATL MTG ASSN                  EQUITY    313586109        83      1,161  SH        DEFINED    2        1,161
FEDERAL REALTY INVESTMENT TR.          EQUITY    313747206       343      8,236  SH           Sole    1        8,236
FEDERAL SIGNAL CORP.                   EQUITY    313855108      1819     97,739  SH           Sole    1       97,739
FEDERATED DEPT STORES INC              EQUITY    31410H101        11        215  SH        DEFINED    2          215
FEDERATED DEPT STORES, INC.            EQUITY    31410H101      3922     79,874  SH           Sole    1       79,874
FEDERATED INVESTORS                    EQUITY    314211103      1449     47,747  SH           Sole    1       47,747
FEDERATED INVS INC PA                  EQUITY    314211103         4        130  SH        DEFINED    2          130
FEDEX CORP                             EQUITY    31428X106        29        358  SH        DEFINED    2          358
FEDEX CORPORATION                      EQUITY    31428X106     10387    127,148  SH           Sole    1      127,148
FEI COMPANY                            EQUITY    30241L109       274     11,460  SH           Sole    1       11,460
FELCOR LODGING TRUST, INC.             EQUITY    31430F101       388     32,099  SH           Sole    1       32,099
FERRO CORP.                            EQUITY    315405100      2250     84,351  SH           Sole    1       84,351
FIDELITY BANKSHARES INC                EQUITY    31604Q107       224      6,332  SH           Sole    1        6,332
FIDELITY NATIONAL FINANCIAL            EQUITY    316326107     10112    270,820  SH           Sole    1      270,820
FIFTH THIRD BANCORP                    EQUITY    316773100     12881    239,514  SH           Sole    1      239,514
FIFTH THIRD BANCORP                    EQUITY    316773100        36        674  SH        DEFINED    2          674
FILENET CORP                           EQUITY    316869106      5844    185,100  SH        DEFINED    2      185,100
FILENET CORP.                          EQUITY    316869106       591     18,726  SH           Sole    1       18,726
FINANCIAL FEDERAL CORP.                EQUITY    317492106       293      8,299  SH           Sole    1        8,299
FINCANCIAL INSTITUTIONS INC            EQUITY    317585404        94      3,870  SH           Sole    1        3,870
FINDWHAT.COM                           EQUITY    317794105       216      9,349  SH           Sole    1        9,349
FINISAR CORPORATION                    EQUITY    31787A101       157     79,528  SH           Sole    1       79,528





                                                                                            
FINISH LINE, INC.                      EQUITY    317923100       272      9,024  SH           Sole    1        9,024
FIRST ACCEPTANCE CORP                  EQUITY    318457108        69      9,833  SH           Sole    1        9,833
FIRST ADVANTAGE CORP-CL A              EQUITY    31845F100        28      1,485  SH           Sole    1        1,485
FIRST AMERICAN CAP TRUST CLASS A       EQUITY    318522307      3617    139,718  SH           Sole    1      139,718
FIRST BANCORP NORTH CAROLINA           EQUITY    318910106       119      3,571  SH           Sole    1        3,571
FIRST BANCORP/PUERTO RICO              EQUITY    318672102       674     16,536  SH           Sole    1       16,536
FIRST BUSEY CORP                       EQUITY    319383105       124      4,243  SH           Sole    1        4,243
FIRST CASH FINL SVCS INC               EQUITY    31942D107       120      5,641  SH           Sole    1        5,641
FIRST CHARTER CORP.                    EQUITY    319439105       312     14,309  SH           Sole    1       14,309
FIRST CITIZENS BANCSHARES, INC CLASS   EQUITY    31946M103       356      2,916  SH           Sole    1        2,916
FIRST CMNTY BANCORP CA                 EQUITY    31983B101       240      6,253  SH           Sole    1        6,253
FIRST COMMONWEALTH FINANCIAL           EQUITY    319829107       434     33,441  SH           Sole    1       33,441
FIRST COMMUNITY BANCSHARES INC         EQUITY    31983A103       162      4,824  SH           Sole    1        4,824
FIRST DATA CORP                        EQUITY    319963104        47      1,045  SH        DEFINED    2        1,045
FIRST DATA CORP.                       EQUITY    319963104     54217  1,217,821  SH           Sole    1    1,217,821
FIRST FEDERAL CAPITAL CORP.            EQUITY    319960100       267      9,581  SH           Sole    1        9,581
FIRST FINANCIAL BANCORP                EQUITY    320209109       299     16,862  SH           Sole    1       16,862
FIRST FINANCIAL BANKSHARES             EQUITY    32020R109       276      6,578  SH           Sole    1        6,578
FIRST FINANCIAL CORP.                  EQUITY    320218100       208      6,505  SH           Sole    1        6,505
FIRST FINANCIAL HOLDINGS, INC.         EQUITY    320239106       174      6,045  SH           Sole    1        6,045
FIRST HEALTH GROUP CORP.               EQUITY    320960107      3085    197,661  SH           Sole    1      197,661
FIRST HORIZON NATIONAL CORP            EQUITY    320517105      2505     55,099  SH           Sole    1       55,099
FIRST HORIZON NATL CORP                EQUITY    320517105         7        149  SH        DEFINED    2          149
FIRST HORIZON PHARMACEUTICAL           EQUITY    32051K106       239     12,622  SH           Sole    1       12,622
FIRST INDIANA CORP.                    EQUITY    32054R108       108      5,677  SH           Sole    1        5,677
FIRST INDUSTRIAL REALITY TRUST         EQUITY    32054K103      5539    150,201  SH           Sole    1      150,201
FIRST MARBLEHEAD CORP/THE              EQUITY    320771108        15        377  SH           Sole    1          377
FIRST MERCHANTS CORP.                  EQUITY    320817109       231      8,914  SH           Sole    1        8,914
FIRST MIDWEST BANCORP, INC.            EQUITY    320867104       788     22,389  SH           Sole    1       22,389
FIRST NATIONAL BANKSHARES-WI           EQUITY    321100109       436     23,003  SH           Sole    1       23,003
FIRST NIAGARA FINANCIAL GRP            EQUITY    33582V108       486     40,473  SH           Sole    1       40,473
FIRST OAK BROOK BANCSH                 EQUITY    335847208        98      3,220  SH           Sole    1        3,220
FIRST OF LONG ISLAND CORP              EQUITY    320734106        76      1,639  SH           Sole    1        1,639
FIRST PLACE FINANCIAL CORP             EQUITY    33610T109       106      5,704  SH           Sole    1        5,704
FIRST REPUBLIC BANK                    EQUITY    336158100       269      6,254  SH           Sole    1        6,254
FIRST SENTINEL BANCORP INC             EQUITY    33640T103       244     11,851  SH           Sole    1       11,851
FIRST ST BANCORPORATIO                 EQUITY    336453105       113      3,671  SH           Sole    1        3,671
FIRSTENERGY CORP                       EQUITY    337932107        15        395  SH        DEFINED    2          395
FIRSTENERGY CORP.                      EQUITY    337932107      5254    140,435  SH           Sole    1      140,435
FIRSTFED FINANCIAL CORP.               EQUITY    337907109       339      8,156  SH           Sole    1        8,156
FIRSTMERIT CORP.                       EQUITY    337915102      3516    133,339  SH           Sole    1      133,339
FISERV INC                             EQUITY    337738108      3004     77,234  SH        DEFINED    2       77,234
FISERV, INC.                           EQUITY    337738108      8968    230,609  SH           Sole    1      230,609
FISHER COMMUNICATIONS INC              EQUITY    337756209       158      3,130  SH           Sole    1        3,130
FISHER SCIENTIFIC INTL COM NEW         EQUITY    338032204        11     188800  SH           Sole    3       177200         11600
FLAGSTAR BANCORP, INC.                 EQUITY    337930101       304     15,303  SH           Sole    1       15,303
FLANDERS CORPORATION                   EQUITY    338494107        52      6,289  SH           Sole    1        6,289
FLEETWOOD ENTERPRISES, INC.            EQUITY    339099103       375     25,796  SH           Sole    1       25,796
FLEXTRONICS INTERNATIONAL LTD          EQUITY    Y2573F102       666     41,750  SH           Sole    1           42
FLEXTRONICS INTL LTD ORD               EQUITY    Y2573F102         5     303300  SH           Sole    3       284800         18500
FLIR SYS INC                           EQUITY    302445101        22     393050  SH           Sole    3       376198         16852
FLIR SYSTEMS INC (USD)                 EQUITY    302445101        40        721  SH           Sole    1          721
FLORIDA EAST COAST INDUSTRIES          EQUITY    340632108       401     10,363  SH           Sole    1       10,363
FLORIDA ROCK INDUSTRIES, INC.          EQUITY    341140101        25        581  SH           Sole    1          581
FLOWERS FOODS INC                      EQUITY    343498101       447     17,085  SH           Sole    1       17,085
FLOWSERVE CORP.                        EQUITY    34354P105      2793    111,988  SH           Sole    1      111,988
FLUOR CORP                             EQUITY    343412102     25927    543,874  SH           Sole    1      543,874
FLUOR CORP NEW                         EQUITY    343412102         5         99  SH        DEFINED    2           99
FLUSHING FINANCIAL CORP                EQUITY    343873105       143      8,128  SH           Sole    1        8,128





                                                                                            
FMC CORP.                              EQUITY    302491303      3121     72,387  SH           Sole    1       72,387
FMC TECHNOLOGIES INC                   EQUITY    30249U101      3008    104,442  SH           Sole    1      104,442
FNB CORP.                              EQUITY    302520101       454     22,258  SH           Sole    1       22,258
FOMENTO ECONOMICO MEX -SP ADR          EQUITY    344419106      3011     65,690  SH           Sole    1       65,690
FOOT LOCKER INC                        EQUITY    344849104        69      2,829  SH           Sole    1        2,829
FOOT LOCKER INC                        EQUITY    344849104      3293    135,300  SH        DEFINED    2      135,300
FORD MOTOR CO.                         EQUITY    345370860     12196    779,324  SH           Sole    1      779,324
FORD MTR CO DEL                        EQUITY    345370860        34      2,194  SH        DEFINED    2        2,194
FOREST CITY ENTERPRISES, INC. CLASS A  EQUITY    345550107        30        564  SH           Sole    1          564
FOREST LABORATORIES, INC.              EQUITY    345838106      8987    158,693  SH           Sole    1      158,693
FOREST LABS INC                        EQUITY    345838106     11634    205,443  SH        DEFINED    2      205,443
FOREST OIL CORP                        EQUITY    346091705      3065    112,177  SH           Sole    1      112,177
FORMFACTOR INC                         EQUITY    346375108       299     13,333  SH           Sole    1       13,333
FORRESTER RESEARCH, INC.               EQUITY    346563109       122      6,568  SH           Sole    1        6,568
FORTUNE BRANDS INC                     EQUITY    349631101        13        175  SH        DEFINED    2          175
FORTUNE BRANDS, INC.                   EQUITY    349631101      4927     65,314  SH           Sole    1       65,314
FORWARD AIR CORP                       EQUITY    349853101       387     10,345  SH           Sole    1       10,345
FOSSIL INC COM                         EQUITY    349882100        15     532191  SH           Sole    3       507050         25141
FOSSIL, INC.                           EQUITY    349882100        23        846  SH           Sole    1          846
FOUNDRY NETWORKS INC                   EQUITY    35063R100        34      2,417  SH           Sole    1        2,417
FOX ENTMT GROUP INC                    EQUITY    35138T107      1359     50,900  SH        DEFINED    2       50,900
FPIC INS GROUP INC                     EQUITY    302563101        95      3,857  SH           Sole    1        3,857
FPL GROUP INC                          EQUITY    302571104        14        221  SH        DEFINED    2          221
FPL GROUP, INC.                        EQUITY    302571104      5249     82,075  SH           Sole    1       82,075
FRANKLIN BANK CORP                     EQUITY    352451108      2090    132,100  SH        DEFINED    2      132,100
FRANKLIN BANK CORP/HOUSTON             EQUITY    352451108        81      5,114  SH           Sole    1        5,114
FRANKLIN ELECTRIC CO., INC.            EQUITY    353514102       292      7,724  SH           Sole    1        7,724
FRANKLIN RES INC                       EQUITY    354613101        15        300  SH        DEFINED    2          300
FRANKLIN RESOURCES, INC.               EQUITY    354613101      5327    106,360  SH           Sole    1      106,360
FREDDIE MAC                            EQUITY    313400301     25504    422,115  SH           Sole    1      337,200
FRED'S INC.                            EQUITY    356108100       416     18,815  SH           Sole    1       18,815
FREEMARKETS INC                        EQUITY    356602102      3103    475,862  SH           Sole    1      475,862
FREEPORT MCMORAN COPPER +              EQUITY    35671D857         7        212  SH        DEFINED    2          212
FREEPORT-MCMORAN COPPER & GOLD CLASS   EQUITY    35671D857      2601     78,473  SH           Sole    1       78,473
FREMONT GENERAL CORP.                  EQUITY    357288109        23      1,306  SH           Sole    1        1,306
FRIEDMAN BILLINGS RAMSEY-A             EQUITY    358434108     11543    583,285  SH           Sole    1      583,285
FRONTIER AIRLINES, INC.                EQUITY    359065109       186     17,086  SH           Sole    1       17,086
FRONTIER FINANCIAL CORP.               EQUITY    35907K105       272      7,791  SH           Sole    1        7,791
FRONTIER OIL CORP.                     EQUITY    35914P105       270     12,760  SH           Sole    1       12,760
FSI INTERNATIONAL, INC.                EQUITY    302633102       111     14,364  SH           Sole    1       14,364
FTI CONSULTING INC                     EQUITY    302941109       338     20,466  SH           Sole    1       20,466
FUELCELL ENERGY INC                    EQUITY    35952H106       237     20,300  SH           Sole    1       20,300
FULTON FIN CORP                        EQUITY    360271100        45      2,218  SH           Sole    1        2,218
FURNITURE BRANDS INTERNATIONAL         EQUITY    360921100      2799    111,745  SH           Sole    1      111,745
FX ENERGY INC                          EQUITY    302695101       115     12,852  SH           Sole    1       12,852
G & K SERVICES, INC. CLASS A           EQUITY    361268105       337      8,390  SH           Sole    1        8,390
GABELLI ASSET MANAGEMENT, INC.         EQUITY    36239Y102       135      3,167  SH           Sole    1        3,167
GABLES RESIDENTIAL TRUST               EQUITY    362418105       618     18,200  SH           Sole    1       18,200
GALLAGHER, ARTHUR J & CO               EQUITY    363576109     21295    699,332  SH           Sole    1      699,332
GAMESTOP CORP                          EQUITY    36466R101       108      7,094  SH           Sole    1        7,094
GANDER MOUNTAIN CO                     EQUITY    36471P108        63      2,751  SH           Sole    1        2,751
GANNETT CO., INC.                      EQUITY    364730101      9848    116,067  SH           Sole    1      116,067
GANNETT INC                            EQUITY    364730101        28        327  SH        DEFINED    2          327
GAP INC                                EQUITY    364760108        26      1,079  SH        DEFINED    2        1,079
GAP, INC.                              EQUITY    364760108     10499    432,956  SH           Sole    1      432,956
GARDNER DENVER, INC.                   EQUITY    365558105       265      9,500  SH           Sole    1        9,500
GARMIN LTD                             EQUITY    G37260109       271      7,300  SH           Sole    1        7,300
GARTNER INC. CLASS A                   EQUITY    366651107      3093    233,949  SH           Sole    1      233,949
GATEWAY INC                            EQUITY    367626108         2        446  SH        DEFINED    2          446





                                                                                            
GATEWAY, INC.                          EQUITY    367626108      1195    265,579  SH           Sole    1      265,579
GATX CORP.                             EQUITY    361448103      2723    100,099  SH           Sole    1      100,099
GAYLORD ENTERTAINMENT CO.              EQUITY    367905106       460     14,664  SH           Sole    1       14,664
GB&T BANCSHARES INC                    EQUITY    361462104        87      3,629  SH           Sole    1        3,629
GCI, INC.                              EQUITY    369385109       173     21,837  SH           Sole    1       21,837
GEMSTAR-TV GUIDE INTERNATIONAL         EQUITY    36866W106        23      4,795  SH           Sole    1        4,795
GENAERA CORPORATION                    EQUITY    36867G100       106     25,209  SH           Sole    1       25,209
GENCORP, INC.                          EQUITY    368682100       255     19,031  SH           Sole    1       19,031
GENELABS TECHNOLOGIES, INC.            EQUITY    368706107        98     42,326  SH           Sole    1       42,326
GENENCOR INTERNATIONAL INC             EQUITY    368709101        59      3,594  SH           Sole    1        3,594
GENENTECH INC                          EQUITY    368710406     13106    233,200  SH        DEFINED    2      233,200
GENENTECH, INC.                        EQUITY    368710406       456      8,120  SH           Sole    1        8,120
GENERAL BINDING CORP                   EQUITY    369154109        44      2,872  SH           Sole    1        2,872
GENERAL CABLE CORP.                    EQUITY    369300108       162     18,897  SH           Sole    1       18,897
General Dynamics                       EQUITY    369550108      2483     25,000  SH        DEFINED    4       25,000
GENERAL DYNAMICS CORP                  EQUITY    369550108     23647    238,139  SH        DEFINED    2      238,139
GENERAL DYNAMICS CORP.                 EQUITY    369550108      8646     87,069  SH           Sole    1       87,069
GENERAL ELEC CO                        EQUITY    369604103     61965  1,912,490  SH        DEFINED    2    1,912,490
General Elec Co                        EQUITY    369604103      1782     55,000  SH        DEFINED    4       55,000
GENERAL ELECTRIC CO.                   EQUITY    369604103    306197  9,450,522  SH           Sole    1    9,450,522
GENERAL GROWTH PROPE                   EQUITY    370021107      1033     34,934  SH           Sole    1       34,934
GENERAL MILLS, INC.                    EQUITY    370334104      7648    160,903  SH           Sole    1      160,903
GENERAL MLS INC                        EQUITY    370334104        22        453  SH        DEFINED    2          453
GENERAL MOTORS CORP.                   EQUITY    370442105     23055    494,847  SH           Sole    1      494,847
GENERAL MTRS CORP                      EQUITY    370442105     10298    221,041  SH        DEFINED    2      221,041
GENESCO, INC.                          EQUITY    371532102       248     10,479  SH           Sole    1       10,479
GENESEE & WYO INC                      EQUITY    371559105       176      7,420  SH           Sole    1        7,420
GENESIS HEALTHCARE CORP                EQUITY    37184D101       277      9,539  SH           Sole    1        9,539
GENESIS MICROCHIP INC                  EQUITY    37184C103       212     15,432  SH           Sole    1       15,432
GEN-PROBE INC                          EQUITY    36866T103        50      1,055  SH           Sole    1        1,055
GENTA INC                              EQUITY    37245M207        73     29,165  SH           Sole    1       29,165
GENTEX CORP.                           EQUITY    371901109      5052    127,307  SH           Sole    1      127,307
GENTIVA HEALTH SERVICES                EQUITY    37247A102       198     12,152  SH           Sole    1       12,152
GENUINE PARTS CO                       EQUITY    372460105     14181    357,379  SH        DEFINED    2      357,379
GENUINE PARTS CO.                      EQUITY    372460105      3073     77,455  SH           Sole    1       77,455
GENWORTH FINANCIAL INC-CL A            EQUITY    37247D106        62      2,696  SH           Sole    1        2,696
GENZYME CORP                           EQUITY    372917104     16976    358,671  SH           Sole    1      358,671
GENZYME CORP                           EQUITY    372917104        13        271  SH        DEFINED    2          271
GEO GROUP INC                          EQUITY    36159R103        81      3,988  SH           Sole    1        3,988
GEOGLOBAL RESOURCES INC                EQUITY    37249T109       577    525,000  SH           Sole    1      525,000
GEORGIA GULF CORP.                     EQUITY    373200203       491     13,697  SH           Sole    1       13,697
GEORGIA PAC CORP                       EQUITY    373298108        11        305  SH        DEFINED    2          305
GEORGIA-PACIFIC CORP.                  EQUITY    373298108      4327    117,002  SH           Sole    1      117,002
GERMAN AMERICAN BANCORP                EQUITY    373865104        75      4,452  SH           Sole    1        4,452
GERON CORP                             EQUITY    374163103       175     21,686  SH           Sole    1       21,686
GETTY IMAGES INC COM                   EQUITY    374276103         8     126720  SH           Sole    3       113400         13320
GETTY IMAGES, INC.                     EQUITY    374276103        56        925  SH           Sole    1          925
GETTY REALTY CORP.                     EQUITY    374297109       300     11,927  SH           Sole    1       11,927
GEVITY HR INC                          EQUITY    374393106       298     11,391  SH           Sole    1       11,391
GIANT INDS INC COM                     EQUITY    374508109         4     163900  SH           Sole    3       163900
GIANT INDUSTRIES INC                   EQUITY    374508109       112      5,109  SH           Sole    1        5,109
GIBRALTAR STEEL CORP.                  EQUITY    37476F103       247      7,537  SH           Sole    1        7,537
GILDAN ACTIVEWEAR INC CLASS A          EQUITY    375916103      1712     60,000  SH          Other    1            0  60,000
GILEAD SCIENCES INC                    EQUITY    375558103      6345     94,700  SH        DEFINED    2       94,700
GILEAD SCIENCES, INC.                  EQUITY    375558103      7226    107,851  SH           Sole    1      107,851
GILLETTE CO                            EQUITY    375766102     12143    286,402  SH        DEFINED    2      286,402
GILLETTE CO.                           EQUITY    375766102     24710    582,792  SH           Sole    1      582,792
GLACIER BANCORP, INC.                  EQUITY    37637Q105       332     11,776  SH           Sole    1       11,776
GLADSTONE CAPITAL CORP                 EQUITY    376535100        84      4,165  SH           Sole    1        4,165





                                                                                            
GLATFELTER, P.H. CO.                   EQUITY    377316104      1152     81,784  SH           Sole    1       81,784
GLENBOROUGH REALITY TRUST, INC         EQUITY    37803P105       328     17,895  SH           Sole    1       17,895
GLIMCHER REALITY TRUST                 EQUITY    379302102       488     22,054  SH           Sole    1       22,054
GLOBAL IMAGING SYSTEMS COM             EQUITY    37934A100        19     517252  SH           Sole    3       493860         23392
GLOBAL IMAGING SYSTEMS, INC.           EQUITY    37934A100       387     10,548  SH           Sole    1       10,548
GLOBAL INDUSTRIES INC                  EQUITY    379336100      2891    505,400  SH        DEFINED    2      505,400
GLOBAL INDUSTRIES LT                   EQUITY    379336100       223     39,065  SH           Sole    1       39,065
GLOBAL PAYMENTS INC.                   EQUITY    37940X102        27        599  SH           Sole    1          599
GLOBAL POWER EQUIPME                   EQUITY    37941P108       130     16,262  SH           Sole    1       16,262
GOLD BANK CORP., INC.                  EQUITY    379907108      2005    129,331  SH           Sole    1      129,331
GOLDEN TELECOM INC                     EQUITY    38122G107      1558     55,354  SH           Sole    1       55,354
GOLDEN WEST FINANCIAL CORP.            EQUITY    381317106      6913     65,003  SH           Sole    1       65,003
GOLDEN WEST FINL CORP DEL              EQUITY    381317106        19        183  SH        DEFINED    2          183
GOLDMAN SACHS GROUP INC                EQUITY    38141G104     60657    644,188  SH           Sole    1      644,188
GOLDMAN SACHS GROUP INC                EQUITY    38141G104     19433    206,378  SH        DEFINED    2      206,378
GOODRICH CORP                          EQUITY    382388106         5        141  SH        DEFINED    2          141
GOODRICH CORP.                         EQUITY    382388106      1689     52,255  SH           Sole    1       52,255
GOODYEAR TIRE & RUBBER CO.             EQUITY    382550101      1344    147,892  SH           Sole    1      147,892
GOODYEAR TIRE AND RUBBER               EQUITY    382550101         2        210  SH        DEFINED    2          210
GOODYS FAMILY CLOTHING                 EQUITY    382588101        94      9,048  SH           Sole    1        9,048
GOODYS FAMILY CLOTHING COM             EQUITY    382588101         3     333100  SH           Sole    3       333100
GORMAN RUPP CO COM                     EQUITY    383082104        96      3,525  SH           Sole    1        3,525
GOVERNMENT PROPERTIES TRUST            EQUITY    38374W107        97      9,278  SH           Sole    1        9,278
GPO TELEVISA SA ADR-REPR 20            EQUITY    40049J206      2307     50,950  SH           Sole    1       50,950
GRACE, W.R. & CO.                      EQUITY    38388F108       196     31,555  SH           Sole    1       31,555
GRACO INC                              EQUITY    384109104      3148    101,400  SH        DEFINED    2      101,400
GRACO, INC.                            EQUITY    384109104      3344    107,689  SH           Sole    1      107,689
GRAFTECH INTERNATIONAL LTD             EQUITY    384313102       489     46,764  SH           Sole    1       46,764
GRAINGER W W INC                       EQUITY    384802104         6        109  SH        DEFINED    2          109
GRANITE CONSTRUCTION, INC.             EQUITY    387328107      1469     80,605  SH           Sole    1       80,605
GRANT PRIDECO INC                      EQUITY    38821G101      3534    191,422  SH           Sole    1      191,422
GRAPHIC PACKAGING CORP                 EQUITY    388688103       277     32,062  SH           Sole    1       32,062
GRAY TELEVISION INC                    EQUITY    389375106       300     21,575  SH           Sole    1       21,575
GRAY TELEVISION INC COM                EQUITY    389375106         3     202900  SH           Sole    3       202900
GREAT AMERICAN FINANCIAL RES           EQUITY    389915109        55      3,487  SH           Sole    1        3,487
GREAT ATLANTIC & PACIFIC TEA           EQUITY    390064103        61      7,947  SH           Sole    1        7,947
GREAT LAKES CHEM CORP.                 EQUITY    390568103      2617     96,704  SH           Sole    1       96,704
GREAT LAKES CHEMICAL CORP              EQUITY    390568103         2         61  SH        DEFINED    2           61
GREAT PLAINS ENERGY INC                EQUITY    391164100      5131    172,757  SH           Sole    1      172,757
GREAT SOUTHERN BANCORP, INC.           EQUITY    390905107       144      4,988  SH           Sole    1        4,988
GREATER BAY BANCORP                    EQUITY    391648102      3089    106,898  SH           Sole    1      106,898
GREENBRIER COMPANIES INC               EQUITY    393657101        52      2,727  SH           Sole    1        2,727
GREENHILL & CO INC                     EQUITY    395259104        50      2,409  SH           Sole    1        2,409
GREENPOINT FINANCIAL CORP.             EQUITY    395384100      8309    209,307  SH           Sole    1      209,307
GREIF INC CL A                         EQUITY    397624107       265      6,261  SH           Sole    1        6,261
GREY GLOBAL GROUP INC                  EQUITY    39787M108       411        417  SH           Sole    1          417
GREY WOLF, INC.                        EQUITY    397888108       380     89,594  SH           Sole    1       89,594
GRIFFON CORP.                          EQUITY    398433102       262     11,738  SH           Sole    1       11,738
GROUP 1 AUTOMOTIVE, INC.               EQUITY    398905109       311      9,362  SH           Sole    1        9,362
GROUP 1 SOFTWARE INC                   EQUITY    39943Y103       948     41,286  SH           Sole    1       41,286
GSI COMMERCE INC                       EQUITY    36238G102        90      9,302  SH           Sole    1        9,302
GTECH HOLDINGS CORP.                   EQUITY    400518106      4315     93,173  SH           Sole    1       93,173
GTX INC                                EQUITY    40052B108        27      2,609  SH           Sole    1        2,609
GUESS? INC                             EQUITY    401617105       115      7,164  SH           Sole    1        7,164
GUIDANT CORP                           EQUITY    401698105        21        376  SH        DEFINED    2          376
GUIDANT CORP.                          EQUITY    401698105     12895    230,761  SH           Sole    1      230,761
GUILFORD PHARMACEUTICALS INC           EQUITY    401829106        78     16,327  SH           Sole    1       16,327
GUITAR CENTER INC                      EQUITY    402040109        17     378306  SH           Sole    3       365800         12506
GUITAR CENTER, INC.                    EQUITY    402040109       521     11,707  SH           Sole    1       11,707





                                                                                            
GULF ISLAND FABRICATION, INC.          EQUITY    402307102        83      3,844  SH           Sole    1        3,844
GULFMARK OFFSHORE, INC.                EQUITY    402629109       110      6,949  SH           Sole    1        6,949
Gulfterra Energy Partners              EQUITY    40274U108      1355     35,000  SH        DEFINED    4       35,000
GYMBOREE CORP.                         EQUITY    403777105       226     14,683  SH           Sole    1       14,683
H J HEINZ CO.                          EQUITY    423074103      5864    149,582  SH           Sole    1      149,582
H.B. FULLER CO.                        EQUITY    359694106       389     13,703  SH           Sole    1       13,703
HAEMONETICS CORP.                      EQUITY    405024100       278      9,386  SH           Sole    1        9,386
HAIN CELESTIAL GROUP INC               EQUITY    405217100       224     12,354  SH           Sole    1       12,354
HALLIBURTON CO                         EQUITY    406216101        16        527  SH        DEFINED    2          527
HALLIBURTON CO.                        EQUITY    406216101     36500  1,206,217  SH           Sole    1    1,206,217
HAMMONS JOHN Q HOTELS INC              EQUITY    408623106       255     26,875  SH        DEFINED    2       26,875
HANCOCK FABRICS, INC.                  EQUITY    409900107       116      9,082  SH           Sole    1        9,082
HANCOCK HOLDING CO.                    EQUITY    410120109       389     13,371  SH           Sole    1       13,371
HANDLEMAN CO.                          EQUITY    410252100       266     11,470  SH           Sole    1       11,470
HANGER ORTHOPEDIC GROUP                EQUITY    41043F208       121     10,297  SH           Sole    1       10,297
HANMI FINL CORP                        EQUITY    410495105       122      4,124  SH           Sole    1        4,124
HANOVER COMPRESSOR COMPANY             EQUITY    410768105      1801    151,338  SH           Sole    1      151,338
HANSEN NATURAL CORP                    EQUITY    411310105        73      2,888  SH           Sole    1        2,888
HARBOR FLORIDA BANCSHARES              EQUITY    411901101       275     10,001  SH           Sole    1       10,001
HARLAND, JOHN H. CO.                   EQUITY    412693103       397     13,542  SH           Sole    1       13,542
HARLEY DAVIDSON INC                    EQUITY    412822108        22        354  SH        DEFINED    2          354
HARLEY-DAVIDSON FUNDING                EQUITY    412822108      7761    125,294  SH           Sole    1      125,294
HARLEYSVILLE GROUP, INC.               EQUITY    412824104       117      6,212  SH           Sole    1        6,212
HARLEYSVILLE NATIONAL CORP.            EQUITY    412850109       307     11,993  SH           Sole    1       11,993
HARMAN INT'L INDUSTRIES, INC.          EQUITY    413086109      9442    103,763  SH           Sole    1      103,763
HARMONIC INC.                          EQUITY    413160102       294     34,534  SH           Sole    1       34,534
HARRAH'S ENTERTAINMENT, INC.           EQUITY    413619107      2724     50,356  SH           Sole    1       50,356
HARRAHS ENTMT INC                      EQUITY    413619107         7        135  SH        DEFINED    2          135
HARRIS & HARRIS GROUP INC              EQUITY    413833104        73      5,972  SH           Sole    1        5,972
HARRIS CORP.                           EQUITY    413875105      5337    105,153  SH           Sole    1      105,153
HARRIS INTERACTIVE INC                 EQUITY    414549105       158     23,551  SH           Sole    1       23,551
HARSCO CORP.                           EQUITY    415864107      3022     64,292  SH           Sole    1       64,292
HART MARX                              EQUITY    417119104        69     10,995  SH           Sole    1       10,995
HARTE-HANKS COMMUNICATIONS             EQUITY    416196103      3347    137,120  SH           Sole    1      137,120
HARTFORD FINANCIAL SVCS GR             EQUITY    416515104        24        350  SH        DEFINED    2          350
HARTFORD FINANCIAL SVCS GROUP          EQUITY    416515104     62553    909,990  SH           Sole    1      909,990
HARVEST NATURAL RESOUR                 EQUITY    41754V103       258     17,285  SH           Sole    1       17,285
HASBRO INC                             EQUITY    418056107         4        211  SH        DEFINED    2          211
HASBRO, INC.                           EQUITY    418056107      1773     93,335  SH           Sole    1       93,335
HAVERTY FURNITURE COMPANIES            EQUITY    419596101       156      8,925  SH           Sole    1        8,925
HAWAIIAN ELECTRIC INDUSTRIES,          EQUITY    419870100      4009    153,599  SH           Sole    1      153,599
HAYES LEMMERZ INTERNATIONAL            EQUITY    420781304       274     18,140  SH           Sole    1       18,140
HCA INC                                EQUITY    404119109        24        582  SH        DEFINED    2          582
HCA INC.                               EQUITY    404119109      8617    207,180  SH           Sole    1      207,180
HCC INSURANCE HOLDINGS, INC.           EQUITY    404132102      3355    100,427  SH           Sole    1      100,427
HEADWATERS INC                         EQUITY    42210P102       419     16,144  SH           Sole    1       16,144
HEALTH CARE PPTYS INVEST INC           EQUITY    421915109       506     21,056  SH           Sole    1       21,056
Health Care Prop Investors             EQUITY    421915109      2164     90,000  SH        DEFINED    4       90,000
HEALTH CARE REIT, INC.                 EQUITY    42217K106      3838    118,082  SH           Sole    1      118,082
HEALTH MANAGEMENT ASSOC.               EQUITY    421933102      2436    108,635  SH           Sole    1      108,635
HEALTH MGMT ASSOC                      EQUITY    421933102         7        291  SH        DEFINED    2          291
HEALTH NET INC.                        EQUITY    42222G108      4737    178,747  SH           Sole    1      178,747
Healthcare Realty Trust                EQUITY    421946104      2436     65,000  SH        DEFINED    4       65,000
HEALTHCARE REALTY TRUST, INC.          EQUITY    421946104      1005     26,802  SH           Sole    1       26,802
HEALTHCARE SVCS GRP IN                 EQUITY    421906108       109      7,147  SH           Sole    1        7,147
HEALTHEXTRAS INC                       EQUITY    422211102       431     26,021  SH           Sole    1       26,021
HEARST-ARGYLE TELEVI                   EQUITY    422317107        14        559  SH           Sole    1          559
HEARTLAND EXPRESS INC                  EQUITY    422347104      4279    156,406  SH        DEFINED    2      156,406
HEARTLAND EXPRESS, INC.                EQUITY    422347104       398     14,549  SH           Sole    1       14,549





                                                                                            
HEARTLAND FINANCIAL USA INC            EQUITY    42234Q102        81      4,417  SH           Sole    1        4,417
HECLA MNG CO                           EQUITY    422704106       324     56,875  SH           Sole    1       56,875
HEICO CORP.                            EQUITY    422806109       171      9,364  SH           Sole    1        9,364
HEIDRICK & STRUGGLES INT'L             EQUITY    422819102       239      8,052  SH           Sole    1        8,052
HEINZ H J CO                           EQUITY    423074103        17        422  SH        DEFINED    2          422
HELEN OF TROY CORP LTD COM             EQUITY    G4388N106        24     661670  SH           Sole    3       641168         20502
HELIX TECHNOLOGY CORP.                 EQUITY    423319102       268     12,557  SH           Sole    1       12,557
HELMERICH & PAYNE, INC.                EQUITY    423452101      4041    154,548  SH           Sole    1      154,548
HENRY JACK & ASSOCIATES                EQUITY    426281101      2831    140,864  SH           Sole    1      140,864
HENRY SCHEIN INC                       EQUITY    806407102      4534     71,810  SH           Sole    1       71,810
HERCULES INC                           EQUITY    427056106         2        132  SH        DEFINED    2          132
HERCULES, INC.                         EQUITY    427056106      1218     99,904  SH           Sole    1       99,904
HERITAGE PROPERTY INVESTMENT           EQUITY    42725M107       532     19,675  SH           Sole    1       19,675
HERLEY INDS INC DEL                    EQUITY    427398102       107      5,491  SH           Sole    1        5,491
HERMAN MILLER, INC.                    EQUITY    600544100      3321    114,745  SH           Sole    1      114,745
HERSHA HOSPITALITY TRUST               EQUITY    427825104        19      1,930  SH           Sole    1        1,930
HERSHEY FOODS CORP                     EQUITY    427866108        14        311  SH        DEFINED    2          311
HERSHEY FOODS CORP.                    EQUITY    427866108      5265    113,797  SH           Sole    1      113,797
HEWITT ASSOCIATES INC-CL A             EQUITY    42822Q100        18        651  SH           Sole    1          651
HEWLETT PACKARD CO                     EQUITY    428236103      7755    367,554  SH        DEFINED    2      367,554
HEWLETT PACKARD CO.                    EQUITY    428236103     34517  1,635,895  SH           Sole    1    1,635,895
HEXCEL CORP.                           EQUITY    428291108       116     10,036  SH           Sole    1       10,036
HIBBETT SPORTING GOODS, INC.           EQUITY    428565105       308     11,249  SH           Sole    1       11,249
HIBERNIA CORP                          EQUITY    428656102      6053    249,100  SH        DEFINED    2      249,100
HIBERNIA CORP. CLASS A                 EQUITY    428656102      5932    244,116  SH           Sole    1      244,116
HIGHLAND HOSPITALITY CORP              EQUITY    430141101       167     16,626  SH           Sole    1       16,626
HIGHWOODS PROPERTIES, INC.             EQUITY    431284108      2726    115,991  SH           Sole    1      115,991
HILB, ROGAL & HAMILTON CO.             EQUITY    431294107       528     14,806  SH           Sole    1       14,806
HILLENBRAND INDUSTRIES, INC.           EQUITY    431573104      5890     97,440  SH           Sole    1       97,440
HILTON HOTELS CORP                     EQUITY    432848109      3196    171,271  SH           Sole    1      171,271
HILTON HOTELS CORP                     EQUITY    432848109         9        459  SH        DEFINED    2          459
HNI CORP                               EQUITY    404251100      3888     91,847  SH           Sole    1       91,847
HNI CORP                               EQUITY    404251100      2853     67,400  SH        DEFINED    2       67,400
HOLLINGER INTERNATIONAL, INC.          EQUITY    435569108       463     27,599  SH           Sole    1       27,599
HOLLIS-EDEN PHARMACEUTICALS            EQUITY    435902101        80      6,615  SH           Sole    1        6,615
HOLLY CORP.                            EQUITY    435758305       183      4,893  SH           Sole    1        4,893
HOLLYWOOD ENTERTAINMENT CORP.          EQUITY    436141105      1792    134,097  SH           Sole    1      134,097
HOLLYWOOD PARK, INC.                   EQUITY    723456109       215     17,085  SH           Sole    1       17,085
HOLOGIC INC                            EQUITY    436440101       228      9,807  SH           Sole    1        9,807
HOME DEPOT INC                         EQUITY    437076102      6278    178,363  SH        DEFINED    2      178,363
HOME DEPOT, INC.                       EQUITY    437076102     35204  1,000,113  SH           Sole    1    1,000,113
HOME PROPERTIES INC.                   EQUITY    437306103       793     20,348  SH           Sole    1       20,348
HOMESTORE.COM                          EQUITY    437852106       183     45,795  SH           Sole    1       45,795
HONEYWELL INTERNATIONAL INC.           EQUITY    438516106     13388    365,499  SH           Sole    1      365,499
HONEYWELL INTL INC                     EQUITY    438516106     17038    465,129  SH        DEFINED    2      465,129
HOOKER FURNITURE CORP                  EQUITY    439038100        66      3,292  SH           Sole    1        3,292
HOOPER HOLMES, INC.                    EQUITY    439104100       158     27,532  SH           Sole    1       27,532
HORACE MANN EDUCATORS CORP.            EQUITY    440327104      1520     86,946  SH           Sole    1       86,946
HORIZON FINANCIAL CORP                 EQUITY    44041F105       100      5,005  SH           Sole    1        5,005
HORMEL FOODS CORP.                     EQUITY    440452100      6747    216,952  SH           Sole    1      216,952
HORNBECK OFFSHORE SERVICES             EQUITY    440543106        38      2,917  SH           Sole    1        2,917
HORNBECK OFFSHORE SVCS INC             EQUITY    440543106      3362    257,200  SH        DEFINED    2      257,200
HOSPIRA INC                            EQUITY    441060100      1920     69,577  SH           Sole    1       69,577
HOSPIRA INC                            EQUITY    441060100         5        187  SH        DEFINED    2          187
Hospira Inc                            EQUITY    441060100        69      2,500  SH        DEFINED    4        2,500
HOSPITALITY PROPERTIES TRUST           EQUITY    44106M102      4833    114,249  SH           Sole    1      114,249
HOT TOPIC INC                          EQUITY    441339108       475     23,194  SH           Sole    1       23,194
HOUSTON EXPLORATION COMPAN             EQUITY    442120101       358      6,900  SH           Sole    1        6,900
HOVNANIAN ENTER, INC. COM PAR $0.01    EQUITY    442487203      3304     95,187  SH           Sole    1       95,187





                                                                                            
HRPT PROPERTIES TRUST                  EQUITY    40426W101       284     28,367  SH           Sole    1       28,367
HUB GROUP INC CL A                     EQUITY    443320106         4     120800  SH           Sole    3       120800
HUB GROUP INC-CL A                     EQUITY    443320106        96      2,801  SH           Sole    1        2,801
HUBBELL INC. CLASS B                   EQUITY    443510201      4391     93,999  SH           Sole    1       93,999
HUDSON CITY BANCORP                    EQUITY    443683107        48      1,438  SH           Sole    1        1,438
HUDSON HIGHLAND GROUP INC              EQUITY    443792106       147      4,788  SH           Sole    1        4,788
HUDSON RIVER BANKCORP.                 EQUITY    444128102       249     14,590  SH           Sole    1       14,590
HUGHES SUPPLY, INC.                    EQUITY    444482103        35        600  SH           Sole    1          600
HUMAN GENOME SCIENCES, INC.            EQUITY    444903108       726     62,391  SH           Sole    1       62,391
HUMANA INC                             EQUITY    444859102         3        193  SH        DEFINED    2          193
HUMANA, INC.                           EQUITY    444859102      1335     78,994  SH           Sole    1       78,994
HUMBOLDT BANCORP                       EQUITY    445069107       154      7,350  SH           Sole    1        7,350
HUNT JB TRANS SVC INC COM              EQUITY    445658107        19     486108  SH           Sole    3       432600         53508
HUNTINGTON BANCSHARES INC              EQUITY    446150104         6        275  SH        DEFINED    2          275
HUNTINGTON BANCSHARES, INC.            EQUITY    446150104      2341    101,869  SH           Sole    1      101,869
HUSDON UNITED BANCORP                  EQUITY    444165104        30        814  SH           Sole    1          814
HUTCHINSON TECHNOLOGY, INC.            EQUITY    448407106       308     12,538  SH           Sole    1       12,538
HYDRIL                                 EQUITY    448774109       241      7,659  SH           Sole    1        7,659
HYPERCOM CORP                          EQUITY    44913M105       207     24,509  SH           Sole    1       24,509
HYPERION SOLUTIONS CORP                EQUITY    44914M104       820     18,757  SH           Sole    1       18,757
HYPERION SOLUTIONS CP COM              EQUITY    44914M104        20     464834  SH           Sole    3       445100         19734
IBERIABANK CORP                        EQUITY    450828108       178      3,013  SH           Sole    1        3,013
Icon Plc - Sponsored ADR               EQUITY    45103T107      2914     65,800  SH           Sole    1       65,800
ICOS CORPORATION                       EQUITY    449295104        32      1,056  SH           Sole    1        1,056
ICU MEDICAL, INC.                      EQUITY    44930G107       170      5,071  SH           Sole    1        5,071
IDACORP, INC.                          EQUITY    451107106      2097     77,663  SH           Sole    1       77,663
IDENTIX INC                            EQUITY    451906101       317     42,420  SH           Sole    1       42,420
IDEX CORP.                             EQUITY    45167R104       828     24,114  SH           Sole    1       24,114
IDEXX LABORATORIES, INC.               EQUITY    45168D104        47        745  SH           Sole    1          745
IDINE REWARDS NETWORK                  EQUITY    761557107        69      7,683  SH           Sole    1        7,683
IDT CORP-CL B                          EQUITY    448947309        22      1,204  SH           Sole    1        1,204
IDX SYSTEMS CORP.                      EQUITY    449491109       318      9,970  SH           Sole    1        9,970
I-FLOW CORP                            EQUITY    449520303       103      8,718  SH           Sole    1        8,718
IGATE CORP                             EQUITY    45169U105        40     10,015  SH           Sole    1       10,015
IHOP CORP.                             EQUITY    449623107       368     10,295  SH           Sole    1       10,295
II-VI INC                              EQUITY    902104108       165      5,391  SH           Sole    1        5,391
IKON OFFICE SOLUTIONS INC.             EQUITY    451713101        25      2,165  SH           Sole    1        2,165
ILEX ONCOLOGY INC                      EQUITY    451923106       470     18,790  SH           Sole    1       18,790
ILLINOIS TOOL WKS INC                  EQUITY    452308109     11379    118,671  SH        DEFINED    2      118,671
Illinois Tool Works                    EQUITY    452308109      1918     20,000  SH        DEFINED    4       20,000
ILLINOIS TOOL WORKS, INC.              EQUITY    452308109     18688    194,891  SH           Sole    1      194,891
ILLUMINA INC                           EQUITY    452327109        89     13,988  SH           Sole    1       13,988
IMAGISTICS INTL INC                    EQUITY    45247T104       283      8,008  SH           Sole    1        8,008
IMATION CORP.                          EQUITY    45245A107      3066     71,951  SH           Sole    1       71,951
IMC GLOBAL, INC.                       EQUITY    449669100      3145    234,698  SH           Sole    1      234,698
IMCLONE SYSTEMS                        EQUITY    45245W109       114      1,325  SH           Sole    1        1,325
IMCO RECYCLING INC                     EQUITY    449681105        87      6,558  SH           Sole    1        6,558
IMMUCOR INC                            EQUITY    452526106       311      9,554  SH           Sole    1        9,554
IMMUNICON CORP                         EQUITY    45260A107        23      2,900  SH           Sole    1        2,900
IMMUNOGEN INC                          EQUITY    45253H101       107     17,606  SH           Sole    1       17,606
IMMUNOMEDICS, INC.                     EQUITY    452907108        97     20,007  SH           Sole    1       20,007
IMPAC MORTGAGE HOLDINGS INC            EQUITY    45254P102      8576    380,799  SH           Sole    1      380,799
IMPAX LABORATORIES INC                 EQUITY    45256B101       453     23,385  SH           Sole    1       23,385
IMS HEALTH INC                         EQUITY    449934108         7        282  SH        DEFINED    2          282
IMS HEALTH, INC.                       EQUITY    449934108      2458    104,844  SH           Sole    1      104,844
INAMED CORP                            EQUITY    453235103      3497     55,661  SH           Sole    1       55,661
INCYTE CORP                            EQUITY    45337C102       224     29,355  SH           Sole    1       29,355
INDEPENDENCE COMMUNITY BANK            EQUITY    453414104      4685    128,705  SH           Sole    1      128,705
INDEPENDENCE HLDG CO N                 EQUITY    453440307        42      1,222  SH           Sole    1        1,222





                                                                                            
INDEPENDENT BANK CORP.-MASSACHUSETTS   EQUITY    453836108       205      7,066  SH           Sole    1        7,066
INDEPENDENT BANK CORP.-MICHIGAN        EQUITY    453838104       216      8,497  SH           Sole    1        8,497
INDEVUS PHARMACEUTICALS INC            EQUITY    454072109       122     19,891  SH           Sole    1       19,891
INDYMAC BANCORP, INC.                  EQUITY    456607100      2924     92,542  SH           Sole    1       92,542
INET TECHNOLOGY                        EQUITY    45662V105       140     11,203  SH           Sole    1       11,203
INFINITY PROPERTY & CASUALTY           EQUITY    45665Q103       328      9,933  SH           Sole    1        9,933
INFOCROSSING INC                       EQUITY    45664X109       102      7,544  SH           Sole    1        7,544
INFOCUS CORPORATION                    EQUITY    45665B106       162     19,037  SH           Sole    1       19,037
INFONET SERVICES COR                   EQUITY    45666T106        53     30,051  SH           Sole    1       30,051
INFORMATICA CORP                       EQUITY    45666Q102       315     41,230  SH           Sole    1       41,230
INFORMATION HOLDINGS INC.              EQUITY    456727106       679     24,797  SH           Sole    1       24,797
INFOSPACE INC.                         EQUITY    45678T201       584     15,344  SH           Sole    1       15,344
INFOUSA INC. CLASS B                   EQUITY    456818301       155     15,289  SH           Sole    1       15,289
INFRASOURCE SERVICES INC               EQUITY    45684P102        51      4,144  SH           Sole    1        4,144
INGERSOLL RAND COMPANY LIM             EQUITY    G4776G101       950     13,908  SH        DEFINED    2       13,908
INGERSOLL-RAND CO CL A                 EQUITY    G4776G101      5211     76,288  SH           Sole    1       76,288
INGLES MARKETS, INC., CLASS A          EQUITY    457030104        55      4,905  SH           Sole    1        4,905
INGRAM MICRO INC. CLASS A              EQUITY    457153104        32      2,241  SH           Sole    1        2,241
INKINE PHARMACEUTICAL CO INC           EQUITY    457214104        91     23,404  SH           Sole    1       23,404
INNKEEPERS USA TRUST                   EQUITY    4576J0104       217     21,060  SH           Sole    1       21,060
INNOVATIVE SOLUTIONS & SUPPORT         EQUITY    45769N105        65      3,354  SH           Sole    1        3,354
INPUT/OUTPUT, INC.                     EQUITY    457652105       177     21,384  SH           Sole    1       21,384
INSIGHT COMMUNICATIO                   EQUITY    45768V108       198     21,412  SH           Sole    1       21,412
INSIGHT ENTERPRISES COM                EQUITY    45765U103        11     626291  SH           Sole    3       603909         22382
INSIGHT ENTERPRISES, INC.              EQUITY    45765U103       413     23,263  SH           Sole    1       23,263
INSITUFORM TECHNOLOGIES, INC. CLASS A  EQUITY    457667103       209     12,846  SH           Sole    1       12,846
INSPIRE PHARMACEUTICALS INC            EQUITY    457733103       257     15,366  SH           Sole    1       15,366
INSTINET GROUP INCORPORATED            EQUITY    457750107        12      2,279  SH           Sole    1        2,279
INSURANCE AUTO AUCTIONS INC COM        EQUITY    457875102        71      4,154  SH           Sole    1        4,154
INSWEB CORP                            EQUITY    45809K202        41      9,194  SH           Sole    1        9,194
INTAC INTERNATIONAL                    EQUITY    45811T100        47      3,785  SH           Sole    1        3,785
INTEGRA BANK CORP.                     EQUITY    45814P105       163      7,361  SH           Sole    1        7,361
INTEGRA LIFESCIENCES CORP              EQUITY    457985208      9234    261,800  SH        DEFINED    2      261,800
INTEGRA LIFESCIENCES HOLDINGS          EQUITY    457985208       344      9,751  SH           Sole    1        9,751
INTEGRATED CIRCUIT SYS COM             EQUITY    45811K208        14     516004  SH           Sole    3       494300         21704
INTEGRATED CIRCUIT SYSTEMS             EQUITY    45811K208      3227    118,820  SH           Sole    1      118,820
INTEGRATED DEVICE TECHNOLOGY,          EQUITY    458118106      2970    214,590  SH           Sole    1      214,590
INTEGRATED ELECTRICAL SERVICES         EQUITY    45811E103       127     15,806  SH           Sole    1       15,806
INTEGRATED SILICON SOLUTION            EQUITY    45812P107       209     17,158  SH           Sole    1       17,158
INTEL CORP                             EQUITY    458140100     27911  1,011,252  SH        DEFINED    2    1,011,252
INTEL CORP COM                         EQUITY    458140100         1      36100  SH           Sole    3        30000          6100
INTEL CORP.                            EQUITY    458140100    127054  4,603,395  SH           Sole    1    4,603,395
INTER PARFUMS INC                      EQUITY    458334109        51      2,434  SH           Sole    1        2,434
INTER VOICE INC                        EQUITY    461142101        13    1092900  SH           Sole    3      1087600          5300
INTERACTIVE CORP                       EQUITY    45840Q101      1540     51,100  SH        DEFINED    2       51,100
INTERACTIVE DATA CORP                  EQUITY    45840J107       308     17,677  SH           Sole    1       17,677
INTERCEPT INC                          EQUITY    45845L107       130      7,962  SH           Sole    1        7,962
INTERCHANGE FINL SVCS                  EQUITY    458447109       132      5,300  SH           Sole    1        5,300
INTERDIGITAL COMMUNICATION             EQUITY    45866A105       502     26,712  SH           Sole    1       26,712
INTERFACE, INC. CLASS A                EQUITY    458665106       186     21,283  SH           Sole    1       21,283
INTERGRAPH CORP                        EQUITY    458683109       535     20,700  SH        DEFINED    2       20,700
INTERGRAPH CORP.                       EQUITY    458683109       454     17,561  SH           Sole    1       17,561
INTERMAGNETICS GENERAL CORP.           EQUITY    458771102       275      8,093  SH           Sole    1        8,093
INTERMUNE INC.                         EQUITY    45884X103       213     13,800  SH           Sole    1       13,800
INTERNAP NETWORK SERVICES              EQUITY    45885A102       138    113,693  SH           Sole    1      113,693
INTERNATIONAL BANCSHARES CORP.         EQUITY    459044103        38        945  SH           Sole    1          945
INTERNATIONAL BUSINESS MAC             EQUITY    459200101     21698    804,619  SH        DEFINED    2      804,619
International Business Machines        EQUITY    459200101       882     10,000  SH        DEFINED    4       10,000
INTERNATIONAL FLAVOURS                 EQUITY    459506101         4        113  SH        DEFINED    2          113





                                                                                            
INTERNATIONAL GAME TECHN               EQUITY    459902102         7     183900  SH           Sole    3       171000         12900
INTERNATIONAL GAME TECHNOLOGY          EQUITY    459902102      5717    148,108  SH           Sole    1      148,108
International Game Technology          EQUITY    459902102      1544     40,000  SH        DEFINED    4       40,000
INTERNATIONAL PAPER CO                 EQUITY    460146103        26        582  SH        DEFINED    2          582
INTERNATIONAL PAPER CO.                EQUITY    460146103      9235    206,602  SH           Sole    1      206,602
International Rectifier                EQUITY    460254105       828     20,000  SH        DEFINED    4       20,000
INTERNATIONAL RECTIFIER CORP.          EQUITY    460254105      4290    103,581  SH           Sole    1      103,581
INTERNATIONAL SPEEDWAY CORP.           EQUITY    460335201      4058     83,419  SH           Sole    1       83,419
INTERNATIONAL STEEL GROUP              EQUITY    460377104         9        313  SH           Sole    1          313
INTERNET CAPITAL GROUP, INC.           EQUITY    46059C205       141     18,302  SH           Sole    1       18,302
INTERNET SECURITY SY                   EQUITY    46060X107       300     19,553  SH           Sole    1       19,553
INTERPUBLIC GROUP CORP                 EQUITY    460690100      2565    186,850  SH           Sole    1      186,850
INTERPUBLIC GROUP COS INC              EQUITY    460690100         7        502  SH        DEFINED    2          502
INTERSECTIONS INC                      EQUITY    460981301        82      3,403  SH           Sole    1        3,403
INTERSIL CORP -CL A                    EQUITY    46069S109      4961    229,055  SH           Sole    1      229,055
INTERSTATE BAKERIES CORP.              EQUITY    46072H108       993     91,526  SH           Sole    1       91,526
INTER-TEL, INC.                        EQUITY    458372109       247      9,894  SH           Sole    1        9,894
INTERVIDEO INC                         EQUITY    46114Y101        53      4,119  SH           Sole    1        4,119
INTERVOICE-BRITE INC.                  EQUITY    461142101       198     17,277  SH           Sole    1       17,277
INTERWOVEN INC                         EQUITY    46114T508       196     19,441  SH           Sole    1       19,441
INTEVAC INC                            EQUITY    461148108        71      8,046  SH           Sole    1        8,046
INTL BUSINESS MACHINES CORP            EQUITY    459200101    125137  1,419,589  SH           Sole    1    1,419,589
INT'L. FLAVORS & FRAGRANCES,           EQUITY    459506101      1566     41,875  SH           Sole    1       41,875
INTRADO INC                            EQUITY    46117A100       134      8,306  SH           Sole    1        8,306
INTUIT                                 EQUITY    461202103         9        230  SH        DEFINED    2          230
Intuit                                 EQUITY    461202103       772     20,000  SH        DEFINED    4       20,000
INTUIT, INC.                           EQUITY    461202103      4034    104,555  SH           Sole    1      104,555
INTUITIVE SURGICAL INC                 EQUITY    46120E602       306     16,111  SH           Sole    1       16,111
INVACARE CORP.                         EQUITY    461203101       558     12,479  SH           Sole    1       12,479
INVERESK RESEARCH GROUP INC            EQUITY    461238107       435     14,118  SH           Sole    1       14,118
INVERESK RESH GROUP COM                EQUITY    461238107        16     516891  SH           Sole    3       512591          4300
INVERNESS MEDICAL INNOVATION           EQUITY    46126P106       141      6,456  SH           Sole    1        6,456
INVESTMENT TECHNOLOGY GROUP            EQUITY    46145F105       270     21,080  SH           Sole    1       21,080
INVESTORS FINANCIAL SERVICES           EQUITY    461915100      4529    103,918  SH           Sole    1      103,918
INVESTORS REAL ESTATE TRUST            EQUITY    461730103       265     25,569  SH           Sole    1       25,569
INVISION TECHNOLOGIES                  EQUITY    461851107      2231     44,705  SH           Sole    1       44,705
INVITROGEN CORP                        EQUITY    46185R100       332      4,614  SH           Sole    1        4,614
INVITROGEN CORP                        EQUITY    46185R100      2880     40,000  SH        DEFINED    2       40,000
INVITROGEN CORP COM                    EQUITY    46185R100         7      91922  SH           Sole    3        81900         10022
IOMEGA CORP                            EQUITY    462030305       138     24,780  SH           Sole    1       24,780
IONICS, INC.                           EQUITY    462218108       250      8,852  SH           Sole    1        8,852
IPASS INC                              EQUITY    46261V108       225     21,246  SH           Sole    1       21,246
IPAYMENT INC                           EQUITY    46262E105       207      5,045  SH           Sole    1        5,045
IPAYMENT INC COM                       EQUITY    46262E105        15     364670  SH           Sole    3       355200          9470
IPC Holdings Ltd                       EQUITY    G4933P101    432893 11,722,000  SH           Sole    1   11,722,000
IRON MOUNTAIN INC.                     EQUITY    462846106        76      1,566  SH           Sole    1        1,566
IRON MTN INC DEL COM                   EQUITY    462846106        10     216400  SH           Sole    3       202900         13500
IRSA - SP GDR                          EQUITY    450047204       222     30,000  SH           Sole    1       30,000
IRWIN FINANCIAL CORP.                  EQUITY    464119106       222      8,414  SH           Sole    1        8,414
ISHARES COHEN & STEERS RLTY            EQUITY    464287564       253      2,300  SH           Sole    1        2,300
ISHARES LEHMAN 7-10 YR TREASURY BOND   EQUITY    464287440      1810     21,800  SH           Sole    1       21,800
ISHARES MSCI EAFE INDEX FUND           EQUITY    464287465      9638     67,400  SH           Sole    1       67,400
iSHARES MSCI HONG KONG INDEX           EQUITY    464286871      1526    150,600  SH           Sole    1          151
iSHARES MSCI JAPAN INDEX FD            EQUITY    464286848      1816    171,040  SH           Sole    1      171,040
iSHARES RUSSELL 2000                   EQUITY    464287655      3422     29,000  SH           Sole    1       29,000
ISHARES RUSSELL MIDCAP GRWTH           EQUITY    464287481      1154     14,800  SH           Sole    1       14,800
ISHARES RUSSELL MIDCAP VALUE           EQUITY    464287473      1695     17,100  SH           Sole    1       17,100
ISHARES S&P 500/BARRA GROWTH           EQUITY    464287309      1352     23,800  SH           Sole    1       23,800
ISHARES S&P 500/BARRA VALUE            EQUITY    464287408      1037     18,100  SH           Sole    1       18,100





                                                                                            
ISIS PHARMACEUTICALS, INC.             EQUITY    464330109       143     24,922  SH           Sole    1       24,922
ISLE OF CAPRI CASINOS                  EQUITY    464592104       113      6,485  SH           Sole    1        6,485
ISOLAGEN INC                           EQUITY    46488N103       109     10,636  SH           Sole    1       10,636
ISOLAGEN INC COM                       EQUITY    46488N103         2     175000  SH           Sole    3       175000
ISTA PHARMACEUTICALS INC.              EQUITY    45031X204        37      3,543  SH           Sole    1        3,543
ISTAR FINANCIAL INC                    EQUITY    45031U101      9691    242,277  SH           Sole    1      242,277
ITC DELTACOM INC                       EQUITY    45031T401        34      6,032  SH           Sole    1        6,032
ITLA CAP CORP                          EQUITY    450565106       104      2,572  SH           Sole    1        2,572
ITRON, INC.                            EQUITY    465741106       230     10,026  SH           Sole    1       10,026
ITT EDUCATIONAL SERVICES, INC.         EQUITY    45068B109      2737     71,981  SH           Sole    1       71,981
ITT EDUCATIONAL SVCS COM               EQUITY    45068B109        12     319060  SH           Sole    3       302300         16760
ITT INDS INC                           EQUITY    450911102         9        111  SH        DEFINED    2          111
ITT INDUSTRIAL INC                     EQUITY    450911102      3424     41,254  SH           Sole    1       41,254
ITT Industries                         EQUITY    450911102      2009     24,200  SH        DEFINED    4       24,200
IVANHOE MINES LTD                      EQUITY    46579N103      5304    987,500  SH          Other    1            0 987,500
IVAX CORP.                             EQUITY    465823102      7404    308,610  SH           Sole    1      308,610
IVAX DIAGNOSTICS INC                   EQUITY    45070W109        21      3,234  SH           Sole    1        3,234
IVILLAGE INC                           EQUITY    46588H105        81     12,790  SH           Sole    1       12,790
IXIA                                   EQUITY    45071R109       125     12,707  SH           Sole    1       12,707
IXYS CORP.                             EQUITY    46600W106        71      9,031  SH           Sole    1        9,031
J & J SNACK FOODS CORP                 EQUITY    466032109       119      2,914  SH           Sole    1        2,914
J JILL GROUP INC                       EQUITY    466189107       201      8,539  SH           Sole    1        8,539
J P MORGAN CHASE + CO                  EQUITY    46625H100     24511    632,220  SH        DEFINED    2      632,220
J.B. HUNT TRANSPORT SERVICES           EQUITY    445658107      4858    125,926  SH           Sole    1      125,926
J.C. PENNEY CO., INC.                  EQUITY    708160106      7240    191,730  SH           Sole    1      191,730
J0-ANN STORES INC                      EQUITY    47758P307       267      9,074  SH           Sole    1        9,074
J2 GLOBAL COMMUNICATIO                 EQUITY    46626E205       252      9,055  SH           Sole    1        9,055
JABIL CIRCUIT INC                      EQUITY    466313103         6        241  SH        DEFINED    2          241
JABIL CIRCUT, INC.                     EQUITY    466313103     16810    667,603  SH           Sole    1      667,603
JACK IN THE BOX INC.                   EQUITY    466367109       521     17,548  SH           Sole    1       17,548
JACOBS ENGINEERING GROUP, INC.         EQUITY    469814107      3472     88,169  SH           Sole    1       88,169
JACUZZI BRANDS INC                     EQUITY    469865109       292     36,239  SH           Sole    1       36,239
JAKKS PACIFIC, INC.                    EQUITY    47012E106       253     12,181  SH           Sole    1       12,181
JANUS CAP GROUP INC                    EQUITY    47102X105         5        287  SH        DEFINED    2          287
JANUS CAPITAL GROUP                    EQUITY    47102X105      1752    106,261  SH           Sole    1      106,261
JARDEN CORP                            EQUITY    471109108       471     13,080  SH           Sole    1       13,080
JARDEN CORP COM                        EQUITY    471109108         7     188300  SH           Sole    3       186300          2000
JDA SOFTWARE GROUP, INC.               EQUITY    46612K108       163     12,364  SH           Sole    1       12,364
JDS UNIPHASE CORP                      EQUITY    46612J101      2886    761,521  SH           Sole    1      761,521
JDS UNIPHASE CORP                      EQUITY    46612J101         7      1,726  SH        DEFINED    2        1,726
JEFFERIES GROUP, INC.                  EQUITY    472319102      2675     86,522  SH           Sole    1       86,522
JEFFERSON PILOT CORP                   EQUITY    475070108         9        168  SH        DEFINED    2          168
JEFFERSON-PILOT CORP.                  EQUITY    475070108      3158     62,156  SH           Sole    1       62,156
JETBLUE AIRWAYS CORP                   EQUITY    477143101      4762    162,089  SH           Sole    1      162,089
JLG INDUSTRIES, INC.                   EQUITY    466210101       292     21,010  SH           Sole    1       21,010
JM SMUCKER CO/THE NEW COM WI           EQUITY    832696405      4371     95,211  SH           Sole    1       95,211
JOHN B. SANFILIPPO & SON               EQUITY    800422107        81      3,028  SH           Sole    1        3,028
JOHN Q HAMMONS HOTELS INC              EQUITY    408623106       285     30,000  SH           Sole    1       30,000
JOHN WILEY & SONS, INC. CLASS A        EQUITY    968223206        32      1,008  SH           Sole    1        1,008
JOHNSON & JOHNSON                      EQUITY    478160104    112833  2,025,732  SH           Sole    1    2,025,732
JOHNSON + JOHNSON                      EQUITY    478160104     26539    476,457  SH        DEFINED    2      476,457
Johnson and Johnson                    EQUITY    478160104      3342     60,000  SH        DEFINED    4       60,000
JOHNSON CONTROLS, INC.                 EQUITY    478366107      4512     84,532  SH           Sole    1       84,532
JOHNSON CTLS INC                       EQUITY    478366107     10943    205,008  SH        DEFINED    2      205,008
JONES APPAREL GROUP INC                EQUITY    480074103         6        151  SH        DEFINED    2          151
JONES APPAREL GROUP, INC.              EQUITY    480074103     35604    901,827  SH           Sole    1      901,827
JONES LANG LASALLE, INC.               EQUITY    48020Q107       416     15,333  SH           Sole    1       15,333
JOS A BANK CLOTHIERS INC               EQUITY    480838101       124      3,935  SH           Sole    1        3,935
JOURNAL COMMUNICATIONS INC-A           EQUITY    481130102       183      9,704  SH           Sole    1        9,704





                                                                                            
JOURNAL REGISTER CO.                   EQUITY    481138105       403     20,170  SH           Sole    1       20,170
JOY GLOBAL INC COM                     EQUITY    481165108        17     562404  SH           Sole    3       534822         27582
JOY GLOBAL INC.                        EQUITY    481165108       732     24,451  SH           Sole    1       24,451
JPMORGAN CHASE AND CO.                 EQUITY    46625H100    119145  3,048,564  SH           Sole    1    3,048,564
JUNIPER NETWORKS, INC.                 EQUITY    48203R104       954     38,808  SH           Sole    1       38,808
JUPITERMEDIA CORP                      EQUITY    48207D101       107      7,518  SH           Sole    1        7,518
K V PHARMACEUT [A]                     EQUITY    482740206       396     17,169  SH           Sole    1       17,169
K V PHARMACEUTICAL (ADR)               EQUITY    482740206         9     380915  SH           Sole    3       363357         17558
K.FORCE INC.                           EQUITY    493732101       116     12,274  SH           Sole    1       12,274
K2, INC.                               EQUITY    482732104       239     15,244  SH           Sole    1       15,244
KADANT INC                             EQUITY    48282T104       159      6,877  SH           Sole    1        6,877
KAMAN CORP., CLASS A                   EQUITY    483548103       142     10,156  SH           Sole    1       10,156
KANA SOFTWARE INC.                     EQUITY    483600300                   36  SH           Sole    1           36
KANSAS CITY LIFE INSURANCE CO.         EQUITY    484836101        74      1,767  SH           Sole    1        1,767
KANSAS CITY SOUTHERN                   EQUITY    485170302       467     30,127  SH           Sole    1       30,127
KAYDON CORP.                           EQUITY    486587108       419     13,561  SH           Sole    1       13,561
KB HOME                                EQUITY    48666K109      1412     20,580  SH           Sole    1       20,580
KB HOME                                EQUITY    48666K109         4         56  SH        DEFINED    2           56
KCS ENERGY, INC.                       EQUITY    482434206       313     23,512  SH           Sole    1       23,512
KEANE INC                              EQUITY    486665102      1568    114,500  SH        DEFINED    2      114,500
KEANE, INC.                            EQUITY    486665102      1696    123,881  SH           Sole    1      123,881
KEITHLEY INSTRUMENTS, INC.             EQUITY    487584104       134      6,048  SH           Sole    1        6,048
KELLOGG CO                             EQUITY    487836108        21        492  SH        DEFINED    2          492
KELLOGG CO.                            EQUITY    487836108      7300    174,442  SH           Sole    1      174,442
KELLWOOD CO.                           EQUITY    488044108       569     13,054  SH           Sole    1       13,054
KELLY SERVICES, INC., CLASS A          EQUITY    488152208      1864     62,559  SH           Sole    1       62,559
KEMET CORP.                            EQUITY    488360108      2150    175,970  SH           Sole    1      175,970
KENNAMETAL INC COM                     EQUITY    489170100        22     475534  SH           Sole    3       449900         25634
KENNAMETAL, INC.                       EQUITY    489170100     27636    603,401  SH           Sole    1      603,401
KENSEY NASH CORP                       EQUITY    490057106       158      4,579  SH           Sole    1        4,579
KERR MCGEE CORP                        EQUITY    492386107        10        179  SH        DEFINED    2          179
KERR-MCGEE CORP                        EQUITY    492386107      3782     70,292  SH           Sole    1       70,292
KERYX BIOPHARMACEUTICALS               EQUITY    492515101       132     10,409  SH           Sole    1       10,409
KEY BANK NA                            EQUITY    493267108      5223    174,732  SH           Sole    1      174,732
KEY ENERGY SERVICES INC                EQUITY    492914106       593     62,785  SH           Sole    1       62,785
Keycorp                                EQUITY    493267108      1495     50,000  SH        DEFINED    4       50,000
KEYCORP NEW                            EQUITY    493267108        15        492  SH        DEFINED    2          492
KEYNOTE SYSTEMS INC                    EQUITY    493308100       102      7,398  SH           Sole    1        7,398
Keyspan                                EQUITY    49337W100       918     25,000  SH        DEFINED    4       25,000
KEYSPAN CORP                           EQUITY    49337W100         7        192  SH        DEFINED    2          192
KEYSPAN CORPORATION                    EQUITY    49337W100     15215    414,579  SH           Sole    1      414,579
KEYSTONE AUTOMOTIVE IN                 EQUITY    49338N109       204      7,306  SH           Sole    1        7,306
KEYSTONE PROPERTY TRUST                EQUITY    493596100      4664    194,096  SH           Sole    1      194,096
K-FED BANCORP                          EQUITY    48246S101        35      2,736  SH           Sole    1        2,736
KFORCE INC COM                         EQUITY    493732101         7     762718  SH           Sole    3       711800         50918
KFX INC                                EQUITY    48245L107       154     20,189  SH           Sole    1       20,189
KILROY REALTY CORP.                    EQUITY    49427F108       603     17,674  SH           Sole    1       17,674
KIMBALL INTERNATIONAL, INC. CLASS B    EQUITY    494274103       154     10,410  SH           Sole    1       10,410
KIMBERLY CLARK CORP                    EQUITY    494368103        40        601  SH        DEFINED    2          601
KIMBERLY-CLARK CORP.                   EQUITY    494368103     14023    212,861  SH           Sole    1      212,861
KIMCO REALTY                           EQUITY    49446R109       795     17,474  SH           Sole    1       17,474
Kinder Morgan Energy Partners          EQUITY    494550106      2372     55,000  SH        DEFINED    4       55,000
Kinder Morgan Inc                      EQUITY    49455P101      2238     40,000  SH        DEFINED    4       40,000
KINDER MORGAN INC KANS                 EQUITY    49455P101         9        149  SH        DEFINED    2          149
KINDER MORGAN INC.                     EQUITY    49455P101      3240     54,655  SH           Sole    1       54,655
KINDRED HEALTHCARE INC                 EQUITY    494580103       334     12,666  SH           Sole    1       12,666
KINETIC CONSEPTS INC                   EQUITY    49460W208        26        530  SH           Sole    1          530
KING PHARMACEUTICALS INC               EQUITY    495582108         3        289  SH        DEFINED    2          289
KING PHARMACEUTICALS, INC.             EQUITY    495582108      1226    107,051  SH           Sole    1      107,051



'

                                                                                            
KINTERA INC                            EQUITY    49720P506        30      2,861  SH           Sole    1        2,861
KINTERA INC                            EQUITY    49720P506      1679    161,000  SH        DEFINED    2      161,000
KIRBY CORP.                            EQUITY    497266106       406     10,426  SH           Sole    1       10,426
KIRKLAND'S INC                         EQUITY    497498105        64      5,324  SH           Sole    1        5,324
KLA TENCOR CORP                        EQUITY    482480100        12        236  SH        DEFINED    2          236
KLA-TENCOR CORP.                       EQUITY    482480100     16135    326,759  SH           Sole    1      326,759
KMART HOLDING CORP                     EQUITY    498780105       471      6,558  SH           Sole    1        6,558
KNBT BANCORP INC                       EQUITY    482921103       245     14,688  SH           Sole    1       14,688
KNIGHT RIDDER INC                      EQUITY    499040103         7         94  SH        DEFINED    2           94
KNIGHT TRADING GROUP                   EQUITY    499063105       559     55,794  SH           Sole    1       55,794
KNIGHT TRADING GROUP INC               EQUITY    499063105      1855    185,100  SH        DEFINED    2      185,100
KNIGHT TRANSPORTATION, INC.            EQUITY    499064103       337     11,739  SH           Sole    1       11,739
KNIGHT-RIDDER, INC.                    EQUITY    499040103      2517     34,957  SH           Sole    1       34,957
KNOLOGY INC                            EQUITY    499183804       198     39,813  SH           Sole    1       39,813
KOGER EQUITY, INC.                     EQUITY    500228101       386     16,717  SH           Sole    1       16,717
KOHLS CORP                             EQUITY    500255104     22493    532,009  SH        DEFINED    2      532,009
KOHLS CORP.                            EQUITY    500255104      6793    160,659  SH           Sole    1      160,659
KOMAG INC                              EQUITY    500453204       185     13,225  SH           Sole    1       13,225
KOOKMIN BANK SPONS ADR                 EQUITY    50049M109      1850     58,946  SH           Sole    1       58,946
KOPIN CORP.                            EQUITY    500600101       172     33,693  SH           Sole    1       33,693
Korea Electric Power Corp. Kepco Sp A  EQUITY    500631106       974     59,500  SH           Sole    1       59,500
KORN/FERRY INTERNATIONAL               EQUITY    500643200      1424     73,535  SH           Sole    1       73,535
KOS PHARMACEUTICALS, INC.              EQUITY    500648100       189      5,736  SH           Sole    1        5,736
KOSAN BIOSCIENCES INC                  EQUITY    50064W107        80     10,153  SH           Sole    1       10,153
KRAMONT REALTY TRUST                   EQUITY    50075Q107       240     14,988  SH           Sole    1       14,988
KRISPY KREME DOUGHNU                   EQUITY    501014104      2315    121,290  SH           Sole    1      121,290
KROGER CO                              EQUITY    501044101        16        890  SH        DEFINED    2          890
KROGER CO.                             EQUITY    501044101      5995    329,392  SH           Sole    1      329,392
KROLL INC.                             EQUITY    501049100      5467    148,240  SH           Sole    1       17,200
KROLL INC.                             EQUITY    501049100     53263  1,444,212  SH           Sole    1    1,575,252
KRONOS WORLDWIDE INC                   EQUITY    50105F105        50      1,460  SH           Sole    1        1,460
KRONOS, INC.                           EQUITY    501052104       615     14,932  SH           Sole    1       14,932
K-SWISS, INC.                          EQUITY    482686102       251     12,437  SH           Sole    1       12,437
KULICKE & SOFFA INDUSTRIES             EQUITY    501242101       268     24,436  SH           Sole    1       24,436
KVH INDUSTRIES INC                     EQUITY    482738101        89      6,931  SH           Sole    1        6,931
KYPHON INC                             EQUITY    501577100       315     11,192  SH           Sole    1       11,192
L-3 COMMUNICATIONS HOLDINGS,           EQUITY    502424104     11068    165,687  SH           Sole    1      165,687
LA QUINTA PROPERTIES-PAIRED            EQUITY    50419U202       759     90,330  SH           Sole    1       90,330
LABONE INC NEW                         EQUITY    50540L105       584     18,378  SH           Sole    1       18,378
LABOR READY INC COM NEW                EQUITY    505401208        16    1038245  SH           Sole    3      1032145          6100
LABOR READY, INC.                      EQUITY    505401208       308     19,898  SH           Sole    1       19,898
LABORATORY CRP OF AMER HLDGS           EQUITY    50540R409       119      3,008  SH           Sole    1        3,008
LABRANCHE & CO. INC.                   EQUITY    505447102       997    118,431  SH           Sole    1      118,431
LACLEDE GAS CO.                        EQUITY    505597104       273      9,963  SH           Sole    1        9,963
LAFARGE NORTH AMERIC                   EQUITY    505862102        26        600  SH           Sole    1          600
LAIDLAW INTERNATIONAL                  EQUITY    50730R102      6498    501,401  SH           Sole    1      501,401
LAKELAND BANCORP INC                   EQUITY    511637100       102      6,323  SH           Sole    1        6,323
LAKELAND FINL CORP                     EQUITY    511656100        94      2,800  SH           Sole    1        2,800
LAKES ENTERTAINMENT INC                EQUITY    51206P109        85      7,370  SH           Sole    1        7,370
LAM RESEARCH CORP.                     EQUITY    512807108      5897    220,035  SH           Sole    1      220,035
LAM RESH CORP                          EQUITY    512807108     22231    829,500  SH        DEFINED    2      829,500
LAMAR ADVERTISING CO                   EQUITY    512815101       341      7,875  SH           Sole    1        7,875
LANCASTER COLONY CORP.                 EQUITY    513847103      2856     68,599  SH           Sole    1       68,599
LANCE, INC.                            EQUITY    514606102       190     12,337  SH           Sole    1       12,337
LANDAMERICA FINANCIAL GROUP            EQUITY    514936103       354      9,101  SH           Sole    1        9,101
LANDAUER, INC.                         EQUITY    51476K103       191      4,282  SH           Sole    1        4,282
LANDRY'S RESTAURANTS INC.              EQUITY    51508L103       309     10,349  SH           Sole    1       10,349
LANDSTAR SYSTEM, INC.                  EQUITY    515098101       758     14,332  SH           Sole    1       14,332
LANNETT CO INC                         EQUITY    516012101        50      3,322  SH           Sole    1        3,322





                                                                                            
LASALLE HOTEL PROPERTIES               EQUITY    517942108       418     17,129  SH           Sole    1       17,129
LASERSCOPE                             EQUITY    518081104       240      8,695  SH           Sole    1        8,695
LATTICE SEMICONDUCTOR CORP.            EQUITY    518415104      1610    229,703  SH           Sole    1      229,703
LAUDER ESTEE COS INC                   EQUITY    518439104     26731    548,000  SH        DEFINED    2      548,000
LAUREATE EDUCATION INC                 EQUITY    518613104      2617     68,440  SH           Sole    1       68,440
LAWSON PRODUCTS, INC.                  EQUITY    520776105        90      2,355  SH           Sole    1        2,355
LAWSON SOFTWARE                        EQUITY    520780107       189     26,730  SH           Sole    1       26,730
LAWSON SOFTWARE INC                    EQUITY    520780107      3127    441,700  SH        DEFINED    2      441,700
LAYNE CHRISTENSEN COMPANY              EQUITY    521050104        78      4,738  SH           Sole    1        4,738
LA-Z-BOY CHAIR CO.                     EQUITY    505336107       455     25,288  SH           Sole    1       25,288
LCA-VISION INC                         EQUITY    501803308       144      4,949  SH           Sole    1        4,949
LEAPFROG ENTERPRISES                   EQUITY    52186N106       263     13,205  SH           Sole    1       13,205
LEAR CORP                              EQUITY    521865105      6350    107,651  SH           Sole    1      107,651
LEARNING TREE INTERNATIONAL            EQUITY    522015106        61      4,233  SH           Sole    1        4,233
LECG CORP                              EQUITY    523234102       109      6,275  SH           Sole    1        6,275
LECROY CORP                            EQUITY    52324W109        68      3,749  SH           Sole    1        3,749
LEE ENTERPRISES, INC.                  EQUITY    523768109      3395     70,716  SH           Sole    1       70,716
LEGG MASON, INC.                       EQUITY    524901105      9522    104,624  SH           Sole    1      104,624
LEGGETT & PLATT, INC.                  EQUITY    524660107      7041    263,614  SH           Sole    1      263,614
LEGGETT + PLATT INC                    EQUITY    524660107         6        230  SH        DEFINED    2          230
LEHMAN BROTHERS HLDGS INC              EQUITY    524908100      3569     47,432  SH        DEFINED    2       47,432
LEHMAN BROTHERS HOLDINGS, INC.         EQUITY    524908100      9055    120,332  SH           Sole    1      120,332
LENNAR CORP. COM CLASS A               EQUITY    526057104     10929    244,380  SH           Sole    1      244,380
LENNOX INTERNATIONAL INC               EQUITY    526107107       386     21,300  SH           Sole    1       21,300
LEUCADIA NATIONAL CORP.                EQUITY    527288104      5430    109,248  SH           Sole    1      109,248
LEVEL 3 COMMUNICATIONS, INC.           EQUITY    52729N100       222     63,351  SH           Sole    1       63,351
LEVITT CORP-CL A                       EQUITY    52742P108       190      7,366  SH           Sole    1        7,366
LEXAR MEDIA INC                        EQUITY    52886P104       227     34,043  SH           Sole    1       34,043
LEXICON GENETICS INC COM               EQUITY    528872104         4     516300  SH           Sole    3       516300
LEXICON GENETICS INC.                  EQUITY    528872104       239     30,459  SH           Sole    1       30,459
LEXINGTON CORP. PROPERTRIES            EQUITY    529043101       597     29,980  SH           Sole    1       29,980
LEXMARK INTERNATIONAL GROUP            EQUITY    529771107      9175     95,046  SH           Sole    1       95,046
LEXMARK INTL INC                       EQUITY    529771107     24389    252,656  SH        DEFINED    2      252,656
LIBBEY, INC.                           EQUITY    529898108       182      6,565  SH           Sole    1        6,565
LIBERTY CORP.                          EQUITY    530370105       355      7,553  SH           Sole    1        7,553
LIBERTY MEDIA INTL INC-A               EQUITY    530719103       101      2,734  SH           Sole    1        2,734
LIBERTY PROPERTY TRUST                 EQUITY    531172104      5766    143,397  SH           Sole    1      143,397
LIFECELL CORPORATION                   EQUITY    531927101       153     13,662  SH           Sole    1       13,662
LIFELINE SYS INC                       EQUITY    532192101       126      5,326  SH           Sole    1        5,326
LIFEPOINT HOSPITALS HLDG               EQUITY    53219L109      2865     76,979  SH           Sole    1       76,979
LIFETIME HOAN CORP                     EQUITY    531926103        78      3,432  SH           Sole    1        3,432
LIGAND PHARMACEUTICALS CL B            EQUITY    53220K207         6     370200  SH           Sole    3       366800          3400
LIGAND PHARMACEUTICALS, INC., CLASS B  EQUITY    53220K207       617     35,526  SH           Sole    1       35,526
LILLY ELI + CO                         EQUITY    532457108        95      1,353  SH        DEFINED    2        1,353
LIMITED BRANDS INC                     EQUITY    532716107     22901  1,224,665  SH        DEFINED    2    1,224,665
LIMITED BRANDS, INC.                   EQUITY    532716107      3893    208,168  SH           Sole    1      208,168
LIN TV CORP                            EQUITY    532774106       274     12,906  SH           Sole    1       12,906
LINCARE HOLDINGS, INC.                 EQUITY    532791100      5323    162,004  SH           Sole    1      162,004
LINCOLN ELECTRIC HOLDINGS, INC         EQUITY    533900106       551     16,164  SH           Sole    1       16,164
LINCOLN NATIONAL CORP.                 EQUITY    534187109      3866     81,827  SH           Sole    1       81,827
LINCOLN NATL CORP IN                   EQUITY    534187109        10        214  SH        DEFINED    2          214
LINDSAY MANUFACTURING CO.              EQUITY    535555106       136      5,655  SH           Sole    1        5,655
LINEAR TECHNOLOGY CORP                 EQUITY    535678106        15        371  SH        DEFINED    2          371
LINEAR TECHNOLOGY CORP.                EQUITY    535678106      6635    168,090  SH           Sole    1      168,090
LINENS 'N THINGS, INC.                 EQUITY    535679104       636     21,686  SH           Sole    1       21,686
LIONBRIDGE TECHNOLOGIES INC            EQUITY    536252109       171     22,400  SH           Sole    1       22,400
LITHIA MOTORS, INC.                    EQUITY    536797103       170      6,860  SH           Sole    1        6,860
LITTELFUSE INC COM                     EQUITY    537008104        15     344240  SH           Sole    3       329900         14340
LITTELFUSE, INC.                       EQUITY    537008104       450     10,611  SH           Sole    1       10,611





                                                                                            
LIZ CLAIBORNE INC                      EQUITY    539320101         5        133  SH        DEFINED    2          133
LIZ CLAIBORNE, INC.                    EQUITY    539320101      1773     49,276  SH           Sole    1       49,276
LKQ CORP                               EQUITY    501889208       130      7,014  SH           Sole    1        7,014
LNR PROPERTY CORP.                     EQUITY    501940100       447      8,234  SH           Sole    1        8,234
LOCKHEED MARTIN CORP                   EQUITY    539830109        28        538  SH        DEFINED    2          538
LOCKHEED MARTIN CORP.                  EQUITY    539830109     10394    199,569  SH           Sole    1      199,569
LODGENET ENTERTAINMENT CORP.           EQUITY    540211109        79      4,814  SH           Sole    1        4,814
LOEWS CORP                             EQUITY    540424108        13        222  SH        DEFINED    2          222
LOEWS CORP - CAROLINA GROUP            EQUITY    540424207      1160     47,251  SH           Sole    1       47,251
LOEWS CORP.                            EQUITY    540424108      4964     82,789  SH           Sole    1       82,789
LO-JACK CORPORATION                    EQUITY    539451104       632     71,900  SH           Sole    1       71,900
LONE STAR STEAKHOUSE & SALOON          EQUITY    542307103       208      7,637  SH           Sole    1        7,637
LONE STAR TECHNOLOGIES, INC.           EQUITY    542312103       381     13,832  SH           Sole    1       13,832
LONGS DRUG STORES CORP.                EQUITY    543162101       347     14,531  SH           Sole    1       14,531
LONGVIEW FIBRE CO.                     EQUITY    543213102      1531    103,963  SH           Sole    1      103,963
LOOKSMART LTD                          EQUITY    543442107       100     45,914  SH           Sole    1       45,914
LOUISIANA PAC CORP                     EQUITY    546347105         3        130  SH        DEFINED    2          130
LOUISIANA PACIFIC CORP.                EQUITY    546347105      1209     51,105  SH           Sole    1       51,105
LOWE'S COMPANIES, INC.                 EQUITY    548661107     17542    333,812  SH           Sole    1      333,812
LSI INDUSTRIES, INC.                   EQUITY    50216C108       109      9,491  SH           Sole    1        9,491
LSI LOGIC CORP                         EQUITY    502161102         3        458  SH        DEFINED    2          458
LSI LOGIC CORP.                        EQUITY    502161102      1323    173,625  SH           Sole    1      173,625
LTC PROP INC                           EQUITY    502175102       118      7,093  SH           Sole    1        7,093
LTX CORP.                              EQUITY    502392103      1316    121,785  SH           Sole    1      121,785
LUBRIZOL CORP.                         EQUITY    549271104      2971     81,137  SH           Sole    1       81,137
LUCENT TECHNOLOGIES INC                EQUITY    549463107      6880  1,820,105  SH           Sole    1    1,820,105
LUCENT TECHNOLOGIES INC                EQUITY    549463107        19      5,135  SH        DEFINED    2        5,135
LUFKIN INDS INC COM                    EQUITY    549764108       104      3,248  SH           Sole    1        3,248
LUMINENT MORTGAGE CAPITAL IN           EQUITY    550278303       211     17,545  SH           Sole    1       17,545
LUMINEX CORP                           EQUITY    55027E102       130     12,898  SH           Sole    1       12,898
LYON WILLIAM HOMES                     EQUITY    552074106       186      2,018  SH           Sole    1        2,018
LYONDELL CHEMICAL CO.                  EQUITY    552078107      4823    277,318  SH           Sole    1      277,318
M & F WORLDWIDE CORP                   EQUITY    552541104        67      4,890  SH           Sole    1        4,890
M + T BK CORP                          EQUITY    55261F104        12        142  SH        DEFINED    2          142
M&T BANK CORP.                         EQUITY    55261F104      4531     51,902  SH           Sole    1       51,902
M.D.C. HOLDINGS, INC.                  EQUITY    552676108        30        467  SH           Sole    1          467
M/I HOMES INC                          EQUITY    55305B101       237      5,827  SH           Sole    1        5,827
MACATAWA BK CORP                       EQUITY    554225102       116      4,235  SH           Sole    1        4,235
MACDERMID, INC.                        EQUITY    554273102       439     12,983  SH           Sole    1       12,983
MACERICH CO.                           EQUITY    554382101       451      9,414  SH           Sole    1        9,414
MACK-CALI REALTY CORP                  EQUITY    554489104      4263    103,019  SH           Sole    1      103,019
MACROMEDIA, INC.                       EQUITY    556100105      2604    106,083  SH           Sole    1      106,083
MACROVISION CORP                       EQUITY    555904101      2498     99,812  SH           Sole    1       99,812
MAF BANCORP, INC.                      EQUITY    55261R108       572     13,392  SH           Sole    1       13,392
MAGELLAN HEALTH SERVICES INC           EQUITY    559079207       433     12,945  SH           Sole    1       12,945
Magellan Midstream Partner             EQUITY    559080106      2034     40,000  SH        DEFINED    4       40,000
MAGMA DESIGN AUTOMATIO                 EQUITY    559181102       228     11,838  SH           Sole    1       11,838
MAGNA ENTERTAINMENT CL A               EQUITY    559211107       107     18,120  SH           Sole    1       18,120
MAGNATEK, INC.                         EQUITY    559424106        95     11,385  SH           Sole    1       11,385
MAGNUM HUNTER RESOURCES INC            EQUITY    55972F203       346     33,371  SH           Sole    1       33,371
MAGUIRE PROPERTIES INC                 EQUITY    559775101       554     22,375  SH           Sole    1       22,375
MAIN STREET BANKS INC                  EQUITY    56034R102       184      6,532  SH           Sole    1        6,532
MAINSOURCE FINANCIAL G                 EQUITY    56062Y102        91      4,477  SH           Sole    1        4,477
MANDALAY RESORT GROUP                  EQUITY    562567107      8228    119,878  SH           Sole    1      119,878
MANDALAY RESORT GROUP COM (G)          EQUITY    562567107         6      82226  SH           Sole    3        70900         11326
MANHATTAN ASSOCIATES, INC.             EQUITY    562750109       448     14,513  SH           Sole    1       14,513
MANHATTAN ASSOCS INC                   EQUITY    562750109      4014    130,000  SH        DEFINED    2      130,000
MANITOWOC CO., INC.                    EQUITY    563571108       436     12,877  SH           Sole    1       12,877
MANNATECH INC                          EQUITY    563771104        66      6,827  SH           Sole    1        6,827





                                                                                            
MANNING (GREG) AUCTIONS INC            EQUITY    563823103        37      2,426  SH           Sole    1        2,426
MANOR CARE INC NEW                     EQUITY    564055101         3        107  SH        DEFINED    2          107
MANOR CARE, INC.                       EQUITY    564055101      1358     41,567  SH           Sole    1       41,567
MANPOWER, INC.                         EQUITY    56418H100      7086    139,574  SH           Sole    1      139,574
MANTECH INTL CORP                      EQUITY    564563104       152      8,094  SH           Sole    1        8,094
MANUFACTURED HOME COMMUNITIES          EQUITY    564682102       405     12,213  SH           Sole    1       12,213
MANUGISTICS GROUP IN                   EQUITY    565011103        87     26,389  SH           Sole    1       26,389
MANULIFE FINANCIAL                     EQUITY    56501R106     11416    283,100  SH          Other    1            0 283,100
MAPICS INC                             EQUITY    564910107       121     11,434  SH           Sole    1       11,434
MAPINFO CORP COM                       EQUITY    565105103       103      9,714  SH           Sole    1        9,714
MARATHON OIL CORP                      EQUITY    565849106      5803    153,363  SH           Sole    1      153,363
MARATHON OIL CORP                      EQUITY    565849106     12874    340,214  SH        DEFINED    2      340,214
MARCHEX INC-CLASS B                    EQUITY    56624R108        22      1,975  SH           Sole    1        1,975
MARCONI CORP PLC-SPONS ADR             EQUITY    56630M101       374     15,371  SH           Sole    1       15,371
MARCUS CORP                            EQUITY    566330106       164      9,487  SH           Sole    1        9,487
MARIMBA                                EQUITY    56781Q109        75      9,243  SH           Sole    1        9,243
MARINEMAX INC                          EQUITY    567908108       160      5,595  SH           Sole    1        5,595
MARKEL CORP                            EQUITY    570535104        46        166  SH           Sole    1          166
MARKETWATCH.COM INC                    EQUITY    570619106        59      5,014  SH           Sole    1        5,014
MARLIN BUSINESS SERVICES INC           EQUITY    571157106        43      2,852  SH           Sole    1        2,852
MARRIOTT INTERNATIONAL, INC.           EQUITY    571903202      5007    100,386  SH           Sole    1      100,386
MARRIOTT INTL INC NEW                  EQUITY    571903202        14        271  SH        DEFINED    2          271
MARSH & MCLENNAN COMPANIES INC         EQUITY    571748102     13392    295,107  SH           Sole    1      295,107
MARSH + MCLENNAN COS INC               EQUITY    571748102        28        627  SH        DEFINED    2          627
MARSHALL & ILSLEY CORP.                EQUITY    571834100      3857     98,678  SH           Sole    1       98,678
MARSHALL + ILSLEY CORP                 EQUITY    571834100        10        266  SH        DEFINED    2          266
MARSHALL EDWARDS INC                   EQUITY    572322303        26      3,450  SH           Sole    1        3,450
MARTEK BIOSCIENCES CORP.               EQUITY    572901106        31        557  SH           Sole    1          557
MARTEK BIOSCIENCES CP COM              EQUITY    572901106        16     287375  SH           Sole    3       276525         10850
MARTEN TRANSPORT LTD                   EQUITY    573075108        82      4,396  SH           Sole    1        4,396
MARTHA STEWART LIVING-CL A             EQUITY    573083102        50      5,602  SH           Sole    1        5,602
MARTIN MARIETTA MATERIALS              EQUITY    573284106      3412     76,975  SH           Sole    1       76,975
MARVEL ENTERPRISES INC                 EQUITY    57383M108        30      1,527  SH           Sole    1        1,527
MARVEL ENTERPRISES INC                 EQUITY    57383M108      2559    131,100  SH        DEFINED    2      131,100
MARVELL TECH GROUP LTD ORD             EQUITY    G5876H105         5     197000  SH           Sole    3       182800         14200
MARVELL TECHNOLOGY GROUP LTD           EQUITY    G5876H105       492     18,440  SH           Sole    1       18,440
MASCO CORP                             EQUITY    574599106        16        525  SH        DEFINED    2          525
MASCO CORP.                            EQUITY    574599106      7160    229,625  SH           Sole    1      229,625
MASISA SA ADR EACH REP 30 C            EQUITY    574799102        59      6,000  SH           Sole    1        6,000
MASSEY ENERGY COMPANY                  EQUITY    576206106        39      1,377  SH           Sole    1        1,377
MASTEC, INC.                           EQUITY    576323109        61     11,288  SH           Sole    1       11,288
MATRIA HEALTHCARE INC                  EQUITY    576817209       124      4,954  SH           Sole    1        4,954
MATRIX SERVICE CO                      EQUITY    576853105        75      8,242  SH           Sole    1        8,242
MATRIXONE INC                          EQUITY    57685P304       174     25,137  SH           Sole    1       25,137
MATTEL INC                             EQUITY    577081102         9        506  SH        DEFINED    2          506
Mattel Inc                             EQUITY    577081102       821     45,000  SH        DEFINED    4       45,000
MATTEL, INC.                           EQUITY    577081102      3617    198,196  SH           Sole    1      198,196
MATTHEWS INTERNATIONAL CORP. CLASS A   EQUITY    577128101       510     15,482  SH           Sole    1       15,482
MATTSON TECHNOLOGY, INC.               EQUITY    577223100       231     19,185  SH           Sole    1       19,185
MAUI LAND & PINEAPPLE CO               EQUITY    577345101        53      1,548  SH           Sole    1        1,548
MAVERICK TUBE CORP.                    EQUITY    577914104       535     20,356  SH           Sole    1       20,356
MAXIM INTEGRATED PRODS COM             EQUITY    57772K101                 6300  SH           Sole    3         2800          3500
MAXIM INTEGRATED PRODS INC             EQUITY    57772K101        20        386  SH        DEFINED    2          386
MAXIM INTEGRATED PRODUCTS INC.         EQUITY    57772K101      8895    169,696  SH           Sole    1      169,696
MAXIM PHARMACEUTICALS INC.             EQUITY    57772M107       131     13,617  SH           Sole    1       13,617
MAXIMUS INC COM                        EQUITY    577933104         5     142300  SH           Sole    3       142300
MAXIMUS, INC.                          EQUITY    577933104       318      8,973  SH           Sole    1        8,973
MAXTOR CORP                            EQUITY    577729205        32      4,830  SH           Sole    1        4,830
MAXWELL SHOE INC                       EQUITY    577766108       166      7,136  SH           Sole    1        7,136





                                                                                            
MAXWELL TECHNOLOGIES, INC.             EQUITY    577767106        68      5,264  SH           Sole    1        5,264
MAXYGEN                                EQUITY    577776107       114     10,827  SH           Sole    1       10,827
MAY DEPARTMENT STORES CO.              EQUITY    577778103      3550    129,132  SH           Sole    1      129,132
MAY DEPT STORES CO                     EQUITY    577778103        10        348  SH        DEFINED    2          348
MAYTAG CORP                            EQUITY    578592107         2         95  SH        DEFINED    2           95
MAYTAG CORP.                           EQUITY    578592107       862     35,171  SH           Sole    1       35,171
MB FINANCIAL INC                       EQUITY    55264U108       319      8,663  SH           Sole    1        8,663
MBIA INC                               EQUITY    55262C100        10        173  SH        DEFINED    2          173
MBIA, INC                              EQUITY    55262C100      3663     64,133  SH           Sole    1       64,133
MBNA CORP                              EQUITY    55262L100        39      1,531  SH        DEFINED    2        1,531
MBNA CORP.                             EQUITY    55262L100     17551    680,531  SH           Sole    1      680,531
MBT FINANCIAL CORP                     EQUITY    578877102       127      6,943  SH           Sole    1        6,943
MCCLATCHY COMPANY-CL                   EQUITY    579489105        24        345  SH           Sole    1          345
MCCORMICK & CO., INC.                  EQUITY    579780206      2083     61,264  SH           Sole    1       61,264
MCCORMICK + CO INC                     EQUITY    579780206     13547    398,439  SH        DEFINED    2      398,439
MCDATA CORP-CL A                       EQUITY    580031201      1283    238,391  SH           Sole    1      238,391
MCDONALDS CORP                         EQUITY    580135101      3536    136,009  SH        DEFINED    2      136,009
MCDONALD'S CORP.                       EQUITY    580135101     34797  1,338,333  SH           Sole    1    1,338,333
MCG CAPITAL CORP                       EQUITY    58047P107      4545    295,506  SH           Sole    1      295,506
MCGRATH RENTCORP                       EQUITY    580589109       171      4,629  SH           Sole    1        4,629
MCGRAW HILL COS INC                    EQUITY    580645109        17        228  SH        DEFINED    2          228
MCGRAW-HILL, INC.                      EQUITY    580645109      6198     80,948  SH           Sole    1       80,948
MCKESSON CORP                          EQUITY    58155Q103        12        351  SH        DEFINED    2          351
MCKESSON CORP.                         EQUITY    58155Q103      4598    133,929  SH           Sole    1      133,929
MCMORAN EXPLORATION CO                 EQUITY    582411104        99      6,360  SH           Sole    1        6,360
MDU RESOURCES GROUP, INC.              EQUITY    552690109      4412    183,619  SH           Sole    1      183,619
MEADWESTVACO CORP                      EQUITY    583334107      2632     89,539  SH           Sole    1       89,539
MEADWESTVACO CORP                      EQUITY    583334107      7922    269,541  SH        DEFINED    2      269,541
MEASUREMENT SPECIALTIES INC            EQUITY    583421102       111      5,136  SH           Sole    1        5,136
MEDAREX INC                            EQUITY    583916101       277     38,041  SH           Sole    1       38,041
MEDCATH CORP                           EQUITY    58404W109        58      2,898  SH           Sole    1        2,898
MEDCO HEALTH SOLUTIONS INC             EQUITY    58405U102      4552    121,375  SH           Sole    1      121,375
MEDCO HEALTH SOLUTIONS INC             EQUITY    58405U102       853     22,737  SH        DEFINED    2       22,737
MEDIA GENERAL, INC. CLASS A            EQUITY    584404107      2381     37,068  SH           Sole    1       37,068
MEDIACOM COMMUNICATI                   EQUITY    58446K105       248     31,709  SH           Sole    1       31,709
MEDICAL ACTION IND INC                 EQUITY    58449L100        72      3,922  SH           Sole    1        3,922
MEDICAL STAFFING NETWORK HOLDINGS      EQUITY    58463F104        38      5,829  SH           Sole    1        5,829
MEDICINES CO                           EQUITY    584688105      5211    170,800  SH        DEFINED    2      170,800
MEDICINES COMPANY                      EQUITY    584688105       700     22,937  SH           Sole    1       22,937
MEDICIS PHARMACEUTIC                   EQUITY    584690309        48      1,203  SH           Sole    1        1,203
MEDICIS PHARMACEUTICAL CL A NE         EQUITY    584690309        32     795030  SH           Sole    3       755598         39432
MEDICURE                               EQUITY    58469E101       505    415,000  SH          Other    1            0 415,000
MEDIMMUNE INC                          EQUITY    584699102         7        298  SH        DEFINED    2          298
MEDIMMUNE, INC.                        EQUITY    584699102      3053    130,535  SH           Sole    1      130,535
MEDIS TECHNOLOGIES LTD                 EQUITY    58500P107       101      6,252  SH           Sole    1        6,252
MEDSOURCE TECHNOLOGIES                 EQUITY    58505Y103      1754    247,025  SH           Sole    1      247,025
MEDTRONIC INC                          EQUITY    585055106        71      1,452  SH        DEFINED    2        1,452
MEDTRONIC, INC.                        EQUITY    585055106     25094    515,072  SH           Sole    1      515,072
MELLON FINANCIAL CORPORATION           EQUITY    58551A108      6014    205,039  SH           Sole    1      205,039
MELLON FINL CORP                       EQUITY    58551A108      8213    280,009  SH        DEFINED    2      280,009
MEMBERWORKS INCORPORATED               EQUITY    586002107        84      2,831  SH           Sole    1        2,831
MEMC ELECTR MATLS INC                  EQUITY    552715104      1835    185,700  SH        DEFINED    2      185,700
MEMC ELECTRONIC MATERIALS, INC         EQUITY    552715104        16      1,632  SH           Sole    1        1,632
MENS WEARHOUSE, INC.                   EQUITY    587118100       401     15,191  SH           Sole    1       15,191
MENTOR CORP.                           EQUITY    587188103       722     21,053  SH           Sole    1       21,053
MENTOR GRAPHICS CORP.                  EQUITY    587200106      2161    139,683  SH           Sole    1      139,683
MERCANTILE BANK CORP                   EQUITY    587376104       126      3,449  SH           Sole    1        3,449
MERCANTILE BANKSHARES CORP.            EQUITY    587405101      5863    125,234  SH           Sole    1      125,234
MERCK & CO., INC.                      EQUITY    589331107     45739    962,933  SH           Sole    1      962,933





                                                                                            
MERCK + CO INC                         EQUITY    589331107     34583    728,065  SH        DEFINED    2      728,065
MERCURY COMPUTER SYSTEMS INC           EQUITY    589378108       253     10,203  SH           Sole    1       10,203
MERCURY GENERAL CORP                   EQUITY    589400100        23        473  SH           Sole    1          473
MERCURY INTERACTIVE CORP               EQUITY    589405109         5        110  SH        DEFINED    2          110
MERCURY INTERACTIVE CORP.              EQUITY    589405109      2401     48,188  SH           Sole    1       48,188
MEREDITH CORP                          EQUITY    589433101      1218     22,155  SH           Sole    1       22,155
MEREDITH CORP                          EQUITY    589433101         3         60  SH        DEFINED    2           60
MERGE TECHNOLOGIES INC                 EQUITY    589981109        77      5,276  SH           Sole    1        5,276
MERIDIAN RESOURCE CORP                 EQUITY    58977Q109       175     25,197  SH           Sole    1       25,197
MERISTAR HOSPITALITY CORP              EQUITY    58984Y103      1685    246,370  SH        DEFINED    2      246,370
MERISTAR HOSPITALITY CORP.             EQUITY    58984Y103      2167    316,811  SH           Sole    1      316,811
MERIT MED SYS INC                      EQUITY    589889104       180     11,271  SH           Sole    1       11,271
MERITAGE CORPORATION                   EQUITY    59001A102       350      5,089  SH           Sole    1        5,089
MERIX CORPORATION                      EQUITY    590049102        98      8,659  SH           Sole    1        8,659
MERRILL LYNCH & CO., INC.              EQUITY    590188108     25001    463,151  SH           Sole    1      463,151
MERRILL LYNCH + CO INC                 EQUITY    590188108      7931    146,926  SH        DEFINED    2      146,926
MESA AIRLINES, INC.                    EQUITY    590479101       123     15,247  SH           Sole    1       15,247
METAL MANAGEMENT INC                   EQUITY    591097209       168      8,467  SH           Sole    1        8,467
METALS USA INC                         EQUITY    591324207       173      9,701  SH           Sole    1        9,701
METHANEX CORPORATION                   EQUITY    59151K108      2761    209,100  SH          Other    1            0 209,100
METHODE ELECTRONICS, INC.              EQUITY    591520200       221     17,063  SH           Sole    1       17,063
METLIFE INC                            EQUITY    59156R108        32        906  SH        DEFINED    2          906
METLIFE, INC.                          EQUITY    59156R108     11755    327,906  SH           Sole    1      327,906
METRIS COMPANIES INC                   EQUITY    591598107       135     15,511  SH           Sole    1       15,511
METROCALL HOLDINGS INC - W/I           EQUITY    59164X105       176      2,626  SH           Sole    1        2,626
METRO-GOLDWYN-MAYER                    EQUITY    591610100        13      1,080  SH           Sole    1        1,080
METROLOGIC INSTRUMENTS INC             EQUITY    591676101       101      5,049  SH           Sole    1        5,049
METTLER-TOLEDO INTERNATIONAL           EQUITY    592688105        44        887  SH           Sole    1          887
MFS Municipal Inc                      EQUITY    552738106       130     17,700  SH        DEFINED    4       17,700
MGE ENERGY INC                         EQUITY    55277P104       292      8,951  SH           Sole    1        8,951
MGI PHARMA INC                         EQUITY    552880106        41      1,511  SH           Sole    1        1,511
MGI PHARMA INC COM                     EQUITY    552880106         4     147366  SH           Sole    3       145966          1400
MGIC INVESTMENT CORP.                  EQUITY    552848103      3321     43,781  SH           Sole    1       43,781
MGIC INVT CORP WIS                     EQUITY    552848103         9        118  SH        DEFINED    2          118
MGM GRAND INC                          EQUITY    552953101      3643     77,615  SH           Sole    1       77,615
MGM MIRAGEINC                          EQUITY    552953101      3072     65,450  SH        DEFINED    2       65,450
MGP INGREDIENTS INC                    EQUITY    55302G103        74      1,901  SH           Sole    1        1,901
MICHAELS STORES, INC.                  EQUITY    594087108      5884    106,975  SH           Sole    1      106,975
MICREL INC COM                         EQUITY    594793101         8     662440  SH           Sole    3       633700         28740
MICREL, INC.                           EQUITY    594793101      2141    176,199  SH           Sole    1      176,199
MICRO THERAPEUTICS INC                 EQUITY    59500W100        24      5,638  SH           Sole    1        5,638
MICROCHIP TECHNOLOGY COM               EQUITY    595017104         4     126100  SH           Sole    3       121700          4400
MICROCHIP TECHNOLOGY, INC.             EQUITY    595017104     10738    340,465  SH           Sole    1      340,465
MICROMUSE INC                          EQUITY    595094103       252     37,640  SH           Sole    1       37,640
MICRON TECHNOLOGY INC                  EQUITY    595112103        11        732  SH        DEFINED    2          732
MICRON TECHNOLOGY, INC.                EQUITY    595112103      4153    271,264  SH           Sole    1      271,264
MICROS SYSTEMS, INC.                   EQUITY    594901100       372      7,746  SH           Sole    1        7,746
MICROSEMI CORP COM                     EQUITY    595137100        15    1076162  SH           Sole    3      1018000         58162
MICROSEMI CORP.                        EQUITY    595137100       406     28,587  SH           Sole    1       28,587
MICROSOFT CORP                         EQUITY    594918104     54685  1,914,734  SH        DEFINED    2    1,914,734
Microsoft Corp                         EQUITY    594918104      2142     75,000  SH        DEFINED    4       75,000
MICROSOFT CORP.                        EQUITY    594918104    245326  8,589,853  SH           Sole    1    8,589,853
MICROSTRATEGY INC                      EQUITY    594972408       246      5,767  SH           Sole    1        5,767
MICROSTRATERGY INC-WT07                EQUITY    594972119                  509  SH           Sole    1            1
MICROTEK MEDICAL HOLDINGS IN           EQUITY    59515B109       106     20,657  SH           Sole    1       20,657
MICROTUNE INC                          EQUITY    59514P109       115     24,709  SH           Sole    1       24,709
MICROVISION INC.                       EQUITY    594960106        75      8,963  SH           Sole    1        8,963
MID STATE BANCSHARES                   EQUITY    595440108       267     11,340  SH           Sole    1       11,340
MID-AMERICA APT. COMMUNITIES           EQUITY    59522J103       432     11,410  SH           Sole    1       11,410





                                                                                            
MIDAS, INC.                            EQUITY    595626102       129      7,427  SH           Sole    1        7,427
MIDDLEBY CORP                          EQUITY    596278101       117      2,147  SH           Sole    1        2,147
MIDDLESEX WATER CO                     EQUITY    596680108        99      5,095  SH           Sole    1        5,095
MIDLAND CO COM                         EQUITY    597486109       129      4,362  SH           Sole    1        4,362
MIDWAY GAMES INC.                      EQUITY    598148104       207     17,977  SH           Sole    1       17,977
MIDWEST BANC HOLDINGS INC.             EQUITY    598251106       116      5,183  SH           Sole    1        5,183
MILACRON, INC.                         EQUITY    598709103        74     18,428  SH           Sole    1       18,428
MILLENNIUM CHEMICALS INC.              EQUITY    599903101       541     31,244  SH           Sole    1       31,244
MILLENNIUM PHARMACEUTICALS             EQUITY    599902103      4478    324,500  SH        DEFINED    2      324,500
MILLENNIUM PHARMACEUTICALS, IN         EQUITY    599902103      7240    524,657  SH           Sole    1      524,657
MILLER HERMAN INC                      EQUITY    600544100      1951     67,400  SH        DEFINED    2       67,400
MILLIPORE CORP                         EQUITY    601073109         3         59  SH        DEFINED    2           59
MILLIPORE CORP.                        EQUITY    601073109      1252     22,217  SH           Sole    1       22,217
MILLS CORP.                            EQUITY    601148109       382      8,186  SH           Sole    1        8,186
MINAS BUENAVENTURA-SPON ADR            EQUITY    204448104       949     42,960  SH           Sole    1       42,960
MINDSPEED TECHNOLOGIES INC             EQUITY    602682106       237     47,839  SH           Sole    1       47,839
MINE SAFETY APPLIANCES CO.             EQUITY    602720104       349     10,370  SH           Sole    1       10,370
MINE SAFETY APPLIANCES COM             EQUITY    602720104         8     223700  SH           Sole    3       221500          2200
MINERALS TECHNOLOGIES, INC.            EQUITY    603158106      2411     41,576  SH           Sole    1       41,576
MIPS TECHNOLOGIES INC                  EQUITY    604567107       121     19,699  SH           Sole    1       19,699
MISSION RESOURCES CORP                 EQUITY    605109107       111     19,515  SH           Sole    1       19,515
MISSION WEST PROPERTIES                EQUITY    605203108       134     11,079  SH           Sole    1       11,079
MKS INSTRUMENTS, INC.                  EQUITY    55306N104       356     15,593  SH           Sole    1       15,593
MOBILE MINI INC.                       EQUITY    60740F105       196      6,903  SH           Sole    1        6,903
MOBILE TELESYSTEMS-SP ADR              EQUITY    607409109     10759     88,185  SH           Sole    1       88,185
MOBILITY ELECTRONICS INC               EQUITY    60741U101       100     11,882  SH           Sole    1       11,882
MODINE MANUFACTURING CO.               EQUITY    607828100      2065     64,821  SH           Sole    1       64,821
MOHAWK INDUSTRIES, INC.                EQUITY    608190104      7673    104,636  SH           Sole    1      104,636
MOLECULAR DEVICES CORP.                EQUITY    60851C107       108      6,059  SH           Sole    1        6,059
MOLEX INC                              EQUITY    608554101         7        227  SH        DEFINED    2          227
MOLEX, INC.                            EQUITY    608554101      3058     95,331  SH           Sole    1       95,331
MOLINA HEALTHCARE INC                  EQUITY    60855R100       190      4,985  SH           Sole    1        4,985
MONACO COACH CORP                      EQUITY    60886R103       354     12,553  SH           Sole    1       12,553
MONDAVI, ROBERT CORP. CLASS A          EQUITY    609200100       174      4,701  SH           Sole    1        4,701
MONMOUTH REIT -CL A                    EQUITY    609720107        18      2,270  SH           Sole    1        2,270
MONOLITHIC SYS TECHNOL                 EQUITY    609842109        85     11,228  SH           Sole    1       11,228
MONRO MUFFLER BRAKE IN                 EQUITY    610236101       109      4,512  SH           Sole    1        4,512
MONSANTO CO                            EQUITY    61166W101      4536    117,828  SH           Sole    1      117,828
MONSANTO CO NEW                        EQUITY    61166W101        12        318  SH        DEFINED    2          318
MONSTER WORLDWIDE INC                  EQUITY    611742107      1334     51,855  SH           Sole    1       51,855
MONSTER WORLDWIDE INC                  EQUITY    611742107         4        140  SH        DEFINED    2          140
MONSTER WORLDWIDE INC COM              EQUITY    611742107         8     301600  SH           Sole    3       283500         18100
MONY GROUP, INC.                       EQUITY    615337102      3193    102,009  SH           Sole    1      102,009
MOODYS CORP                            EQUITY    615369105        12        179  SH        DEFINED    2          179
MOODY'S CORP.                          EQUITY    615369105      4279     66,184  SH           Sole    1       66,184
MOOG INC.                              EQUITY    615394202       464     12,516  SH           Sole    1       12,516
MORGAN STANLEY                         EQUITY    617446448     25002    473,787  SH           Sole    1      473,787
MORGAN STANLEY                         EQUITY    617446448     19845    376,067  SH        DEFINED    2      376,067
MORGAN STANLEY DEAN WITTER & C REPO    EQUITY    568427108        77      4,159  SH           Sole    1        4,159
MOTOROLA INC                           EQUITY    620076109     24145  1,323,009  SH        DEFINED    2    1,323,009
MOTOROLA, INC.                         EQUITY    620076109     21292  1,166,689  SH           Sole    1    1,166,689
MOVADO GROUP, INC.                     EQUITY    624580106       126      7,304  SH           Sole    1        7,304
MOVIE GALLERY, INC.                    EQUITY    624581104       250     12,791  SH           Sole    1       12,791
MPS GROUP INC                          EQUITY    553409103      2581    212,942  SH           Sole    1      212,942
MPS GROUP INC COM                      EQUITY    553409103        20    1636182  SH           Sole    3      1567390         68792
MRO SOFTWARE                           EQUITY    55347W105       128      9,403  SH           Sole    1        9,403
MRV COMMUNICATIONS, INC.               EQUITY    553477100       139     50,781  SH           Sole    1       50,781
MSC INDL DIRECT INC CL A               EQUITY    553530106         9     266600  SH           Sole    3       250200         16400
MSC INDUSTRIAL DIRECT CO.              EQUITY    553530106        23        693  SH           Sole    1          693





                                                                                            
MSC SOFTWARE CORPORATION               EQUITY    553531104       118     13,159  SH           Sole    1       13,159
MTC TECHNOLOGIES INC                   EQUITY    55377A106        90      3,481  SH           Sole    1        3,481
MTR GAMING GROUP INC                   EQUITY    553769100       122     11,158  SH           Sole    1       11,158
MTS SYSTEMS CORP.                      EQUITY    553777103       239     10,183  SH           Sole    1       10,183
MUELLER INDUSTRIES, INC.               EQUITY    624756102       602     16,821  SH           Sole    1       16,821
MULTIMEDIA GAMES INC                   EQUITY    625453105       305     11,375  SH           Sole    1       11,375
MULTIMEDIA GAMES INC COM               EQUITY    625453105        12     438200  SH           Sole    3       435300          2900
Municipal High Income Fund             EQUITY    626214100       704     98,900  SH        DEFINED    4       98,900
MURPHY OIL CORP.                       EQUITY    626717102     10634    144,284  SH           Sole    1      144,284
MYERS INDUSTRIES, INC.                 EQUITY    628464109       150     10,666  SH           Sole    1       10,666
MYKROLIS CORP                          EQUITY    62852P103       346     19,840  SH           Sole    1       19,840
MYLAN LABORATORIES INC.                EQUITY    628530107      2427    119,866  SH           Sole    1      119,866
MYLAN LABS INC                         EQUITY    628530107         7        322  SH        DEFINED    2          322
MYOGEN INC                             EQUITY    62856E104        52      6,712  SH           Sole    1        6,712
MYRIAD GENETICS INC                    EQUITY    62855J104       195     13,062  SH           Sole    1       13,062
NABI BIOPHARMACEUTICALS                EQUITY    629519109       394     27,682  SH           Sole    1       27,682
NABORS INDUSTRIES LTD                  EQUITY    G6359F103      2862     63,298  SH           Sole    1       63,298
NACCO INDUSTRIES, INC. CLASS A         EQUITY    629579103       214      2,255  SH           Sole    1        2,255
NANOGEN INC.                           EQUITY    630075109       111     16,362  SH           Sole    1       16,362
NARA BANCORP INC                       EQUITY    63080P105       151      8,836  SH           Sole    1        8,836
NASB FINL INC                          EQUITY    628968109        63      1,481  SH           Sole    1        1,481
NASDAQ-100 SHARES                      EQUITY    631100104     10143    268,700  SH           Sole    1      268,700
NASHFINCH CO.                          EQUITY    631158102       148      5,916  SH           Sole    1        5,916
NATIONAL BEVERAGE CORP.                EQUITY    635017106        34      3,466  SH           Sole    1        3,466
NATIONAL CITY CORP                     EQUITY    635405103        26        744  SH        DEFINED    2          744
NATIONAL CITY CORP.                    EQUITY    635405103     19752    348,776  SH           Sole    1      348,776
NATIONAL COMMERCE BANCORP.             EQUITY    63545P104     10478    322,403  SH           Sole    1      322,403
NATIONAL DATA CORP.                    EQUITY    639480102       402     17,319  SH           Sole    1       17,319
NATIONAL FINANCIAL PARTNERS            EQUITY    63607P208       566     16,050  SH           Sole    1       16,050
NATIONAL FUEL GAS CO.                  EQUITY    636180101     10424    416,952  SH           Sole    1      416,952
NATIONAL HEALTH INVESTORS, INC         EQUITY    63633D104       299     10,983  SH           Sole    1       10,983
NATIONAL HEALTHCARE CORP               EQUITY    635906100        90      3,228  SH           Sole    1        3,228
NATIONAL INSTRS CORP COM               EQUITY    636518102        28     914665  SH           Sole    3       869056         45609
NATIONAL INSTRUMENTS CORP.             EQUITY    636518102      3765    122,852  SH           Sole    1      122,852
NATIONAL PENN BANCSHARES, INC.         EQUITY    637138108       348     11,698  SH           Sole    1       11,698
NATIONAL PRESTO INDUSTRIES             EQUITY    637215104        93      2,260  SH           Sole    1        2,260
NATIONAL PROCESSING INC                EQUITY    637229105       121      4,220  SH           Sole    1        4,220
NATIONAL SEMICONDUCTOR COM             EQUITY    637640103         5     226400  SH           Sole    3       212300         14100
NATIONAL SEMICONDUCTOR COR             EQUITY    637640103      6925    314,930  SH        DEFINED    2      314,930
NATIONAL SEMICONDUCTOR CORP.           EQUITY    637640103      5466    248,578  SH           Sole    1      248,578
NATIONAL WESTERN LIFE INS. CO. CLASS   EQUITY    638522102       162      1,053  SH           Sole    1        1,053
NATIONAL-OILWELL, INC.                 EQUITY    637071101      4221    134,039  SH           Sole    1      134,039
NATIONWIDE FINANCIAL                   EQUITY    638612101        39      1,024  SH           Sole    1        1,024
NATIONWIDE HEALTH PROPERTIES           EQUITY    638620104       782     41,400  SH           Sole    1       41,400
NATURES SUNSHINE PRODUCTS, INC         EQUITY    639027101        71      4,983  SH           Sole    1        4,983
NAUTILUS GROUP INC                     EQUITY    63910B102       269     13,764  SH           Sole    1       13,764
NAVARRE CORP                           EQUITY    639208107       145     10,059  SH           Sole    1       10,059
NAVIGANT CONSULTING CO.                EQUITY    63935N107       473     22,074  SH           Sole    1       22,074
NAVIGANT INTERNATIONAL, INC.           EQUITY    63935R108       120      6,763  SH           Sole    1        6,763
NAVIGATORS GROUP INC                   EQUITY    638904102       119      4,121  SH           Sole    1        4,121
NAVISTAR INTERNATIONAL CORP.           EQUITY    63934E108      1198     30,921  SH           Sole    1       30,921
NAVISTAR INTL CORP INC                 EQUITY    63934E108         3         84  SH        DEFINED    2           84
NBC CAPITAL CORP                       EQUITY    628729105        90      3,326  SH           Sole    1        3,326
NBT BANCORP, INC.                      EQUITY    628778102       353     15,822  SH           Sole    1       15,822
NBTY INC COM                           EQUITY    628782104        12     413302  SH           Sole    3       374500         38802
NBTY, INC.                             EQUITY    628782104        34      1,170  SH           Sole    1        1,170
NCI BUILDING SYSTEMS, INC.             EQUITY    628852105       305      9,363  SH           Sole    1        9,363
NCO GROUP, INC.                        EQUITY    628858102       347     13,001  SH           Sole    1       13,001
NCR CORP NEW                           EQUITY    62886E108         6        113  SH        DEFINED    2          113





                                                                                            
NCR CORP.                              EQUITY    62886E108      2096     42,268  SH           Sole    1       42,268
NDS Group Plc - ADR                    EQUITY    628891103      2751    108,300  SH           Sole    1      108,300
NECTAR THERAPEUTICS                    EQUITY    640268108        36      1,792  SH           Sole    1        1,792
NEIGHBORCARE INC                       EQUITY    64015Y104       440     14,037  SH           Sole    1       14,037
NEIMAN MARCUS GROUP INC CL A           EQUITY    640204202      4278     76,879  SH           Sole    1       76,879
NELNET INC                             EQUITY    64031N108      3211    180,900  SH        DEFINED    2      180,900
NELNET INC-CL A                        EQUITY    64031N108        69      3,895  SH           Sole    1        3,895
NEOFORMA INC                           EQUITY    640475505        54      4,433  SH           Sole    1        4,433
NEOPHARM INC                           EQUITY    640919106        85      8,274  SH           Sole    1        8,274
NEOSE TECHNOLOGIES, INC.               EQUITY    640522108        83      9,929  SH           Sole    1        9,929
NET2PHONE, INC.                        EQUITY    64108N106        78     17,153  SH           Sole    1       17,153
NETBANK INC                            EQUITY    640933107       244     22,283  SH           Sole    1       22,283
NETEGRITY, INC.                        EQUITY    64110P107       134     15,788  SH           Sole    1       15,788
NETFLIX COM INC COM                    EQUITY    64110L106        30     838248  SH           Sole    3       796576         41672
NETFLIX.COM INC                        EQUITY    64110L106        27        749  SH           Sole    1          749
NETGEAR INC                            EQUITY    64111Q104      2146    199,584  SH           Sole    1      199,584
NETIQ CORP.                            EQUITY    64115P102       362     27,431  SH           Sole    1       27,431
NETRATINGS INC                         EQUITY    64116M108        96      5,906  SH           Sole    1        5,906
NETSCOUT SYSTEMS INC                   EQUITY    64115T104        75     11,413  SH           Sole    1       11,413
NETWORK APPLIANCE INC                  EQUITY    64120L104         9        416  SH        DEFINED    2          416
NETWORK APPLIANCE, INC.                EQUITY    64120L104      3974    184,567  SH           Sole    1      184,567
Network Associates Inc                 EQUITY    640938106       453     25,000  SH        DEFINED    4       25,000
NETWORK EQUIPMENT TECH.                EQUITY    641208103        94     11,533  SH           Sole    1       11,533
NETWORKS ASSOCIATES, INC.              EQUITY    640938106      4613    254,457  SH           Sole    1      254,457
NEUROCHEM INC                          EQUITY    64125K101      1673     80,000  SH          Other    1            0  80,000
NEUROCRINE BIOSCIENCES INC             EQUITY    64125C109      1654     31,900  SH        DEFINED    2       31,900
NEUROCRINE BIOSCIENCES, INC.           EQUITY    64125C109        40        780  SH           Sole    1          780
NEUROGEN CORP.                         EQUITY    64124E106        90     12,012  SH           Sole    1       12,012
NEVADA GOLD & CASINO                   EQUITY    64126Q206        48      3,588  SH           Sole    1        3,588
NEW CENTURY FINANCIAL CORP             EQUITY    64352D101       639     13,657  SH           Sole    1       13,657
NEW JERSEY RESOURCES CORP.             EQUITY    646025106       551     13,250  SH           Sole    1       13,250
NEW PLAN EXCEL REALTY TRUST            EQUITY    648053106      9433    403,792  SH           Sole    1      403,792
NEW YORK COMMUNITY BANCORP INC         EQUITY    649445103      8339    424,798  SH           Sole    1      424,798
NEW YORK TIMES CO                      EQUITY    650111107         8        178  SH        DEFINED    2          178
NEW YORK TIMES CO. CLASS  A            EQUITY    650111107      2964     66,304  SH           Sole    1       66,304
NEWALLIANCE BANCSHARES INC             EQUITY    650203102        27      1,925  SH           Sole    1        1,925
NEWCASTLE INVESTMENT CORP              EQUITY    65105M108      3110    103,835  SH           Sole    1      103,835
NEWELL RUBBERMAID INC                  EQUITY    651229106         8        329  SH        DEFINED    2          329
NEWELL RUBBERMAID, INC.                EQUITY    651229106      2869    122,073  SH           Sole    1      122,073
NEWFIELD EXPLORATION                   EQUITY    651290108      4917     88,214  SH           Sole    1       88,214
NEWMONT MINING CORP HLDG CO            EQUITY    651639106      7403    191,001  SH           Sole    1      191,001
NEWMONT MNG CORP                       EQUITY    651639106        21        531  SH        DEFINED    2          531
NEWPARK RESOURCES, INC.                EQUITY    651718504       250     40,300  SH           Sole    1       40,300
NEWPORT CORP                           EQUITY    651824104      1286     79,524  SH           Sole    1       79,524
NEWS CORP LTD ADR                      EQUITY    652487802                    2  SH           Sole    1            2
NEWTEK BUSINESS SERVICES INC           EQUITY    652526104      2971    792,333  SH           Sole    1      792,333
NEXEN                                  EQUITY    65334H102      2832     73,000  SH          Other    1            0  73,000
NEXSTAR BROADCASTING GROUP-A           EQUITY    65336K103        54      4,842  SH           Sole    1        4,842
NEXTEL COMMUNICATIONS INC              EQUITY    65332V103     32326  1,212,530  SH        DEFINED    2    1,212,530
NEXTEL COMMUNICATIONS, INC.  CLASS A   EQUITY    65332V103     19289    723,515  SH           Sole    1      723,515
NEXTEL PARTNERS INC                    EQUITY    65333F107       838     52,630  SH           Sole    1       52,630
NIC INC                                EQUITY    62914B100       107     14,972  SH           Sole    1       14,972
NICOR INC                              EQUITY    654086107         2         53  SH        DEFINED    2           53
NICOR, INC.                            EQUITY    654086107      1358     39,971  SH           Sole    1       39,971
NII HLDGS INC                          EQUITY    62913F201      2250     66,800  SH        DEFINED    2       66,800
NII HOLDINGS INC-CL B                  EQUITY    62913F201        41      1,222  SH           Sole    1        1,222
NIKE INC                               EQUITY    654106103        24        316  SH        DEFINED    2          316
NIKE, INC. CLASS  B                    EQUITY    654106103      8737    115,346  SH           Sole    1      115,346
NISOURCE INC                           EQUITY    65473P105         7        316  SH        DEFINED    2          316





                                                                                            
NISOURCE, INC.                         EQUITY    65473P105     13443    651,937  SH           Sole    1      651,937
NITROMED INC                           EQUITY    654798503        29      4,736  SH           Sole    1        4,736
NL INDUSTRIES, INC.                    EQUITY    629156407        55      3,790  SH           Sole    1        3,790
NMS COMMUNUCATIONS CORP.               EQUITY    629248105       165     22,361  SH           Sole    1       22,361
NN INC                                 EQUITY    629337106       102      8,037  SH           Sole    1        8,037
NOBLE CORPORATION                      EQUITY    G65422100      2175     57,402  SH           Sole    1       57,402
NOBLE ENERGYINC                        EQUITY    655044105      4552     89,253  SH           Sole    1       89,253
NOBLE INTERNATIONAL LTD                EQUITY    655053106        76      3,052  SH           Sole    1        3,052
NOKIA CORP SPON-ADR                    EQUITY    654902204      4549    312,850  SH           Sole    1      312,850
NORDSON CORP.                          EQUITY    655663102      2887     66,557  SH           Sole    1       66,557
NORDSTROM INC                          EQUITY    655664100         7        167  SH        DEFINED    2          167
NORDSTROM INC COM                      EQUITY    655664100        15     363100  SH           Sole    3       343200         19900
NORDSTROM, INC.                        EQUITY    655664100      2616     61,400  SH           Sole    1       61,400
NORFOLK SOUTHERN CORP.                 EQUITY    655844108     10492    395,638  SH           Sole    1      395,638
NORFOLK SOUTHN CORP                    EQUITY    655844108        12        470  SH        DEFINED    2          470
NORTEL NETWORKS CORP                   EQUITY    656568102      4406    882,800  SH          Other    1            0 882,800
NORTH FORK BANCORPORATION              EQUITY    659424105         8        207  SH        DEFINED    2          207
NORTH FORK BANCORPORATION INC.         EQUITY    659424105      2922     76,786  SH           Sole    1       76,786
NORTH PITTSBURGH SYSTEMS               EQUITY    661562108       145      7,216  SH           Sole    1        7,216
NORTHEAST UTILITIES                    EQUITY    664397106      3900    200,323  SH           Sole    1      200,323
NORTHERN TRUST CORP                    EQUITY    665859104        11        264  SH        DEFINED    2          264
NORTHERN TRUST CORP.                   EQUITY    665859104      4128     97,641  SH           Sole    1       97,641
NORTHFIELD LABORATORIES, INC.          EQUITY    666135108       130      9,148  SH           Sole    1        9,148
NORTHROP GRUMMAN CORP                  EQUITY    666807102        23        430  SH        DEFINED    2          430
NORTHROP GRUMMAN CORP.                 EQUITY    666807102      8216    152,990  SH           Sole    1      152,990
NORTHWEST AIRLINES CORP CL-A           EQUITY    667280101       400     35,954  SH           Sole    1       35,954
NORTHWEST BANCORP INC.                 EQUITY    667328108       208      9,062  SH           Sole    1        9,062
NORTHWEST NATURAL GAS CO.              EQUITY    667655104      1567     51,378  SH           Sole    1       51,378
NOVASTAR FINL INC                      EQUITY    669947400      4628    121,912  SH           Sole    1      121,912
NOVATEL WIRELESS INC                   EQUITY    66987M604       235      8,865  SH           Sole    1        8,865
NOVELL INC                             EQUITY    670006105         4        463  SH        DEFINED    2          463
NOVELL, INC .                          EQUITY    670006105      1450    172,829  SH           Sole    1      172,829
NOVELLUS SYS INC                       EQUITY    670008101         6        177  SH        DEFINED    2          177
NOVELLUS SYSTEMS, INC.                 EQUITY    670008101      2421     76,997  SH           Sole    1       76,997
NOVEN PHARMACEUTICALS, INC.            EQUITY    670009109       248     11,245  SH           Sole    1       11,245
NPS  PHARMACEUTICALS INC.              EQUITY    62936P103       376     17,905  SH           Sole    1       17,905
NRG ENERGY INC                         EQUITY    629377508      3566    143,780  SH           Sole    1      143,780
NS GROUP, INC.                         EQUITY    628916108       145      8,809  SH           Sole    1        8,809
NSTAR                                  EQUITY    67019E107      6859    143,262  SH           Sole    1      143,262
NTL INC                                EQUITY    62940M104        72      1,251  SH           Sole    1        1,251
NTN COMMUNICATIONS INC                 EQUITY    629410309       143     45,639  SH           Sole    1       45,639
NU SKIN ENTERPRISES, INC. CLASS A      EQUITY    67018T105       640     25,265  SH           Sole    1       25,265
NUCO2 INC                              EQUITY    629428103        59      3,027  SH           Sole    1        3,027
NUCOR CORP                             EQUITY    670346105         7         95  SH        DEFINED    2           95
NUCOR CORP.                            EQUITY    670346105      2696     35,126  SH           Sole    1       35,126
NUI CORPORATION                        EQUITY    629431107       112      7,679  SH           Sole    1        7,679
NUTRACEUTICAL INTL CORP                EQUITY    67060Y101        81      3,787  SH           Sole    1        3,787
NUVASIVE INC                           EQUITY    670704105        34      3,121  SH           Sole    1        3,121
NUVEEN INVESTMENTS INC                 EQUITY    67090F106        11        399  SH           Sole    1          399
NUVELO INC                             EQUITY    67072M301       185     19,233  SH           Sole    1       19,233
NVIDIA CORP                            EQUITY    67066G104      1785     87,199  SH           Sole    1       87,199
NVIDIA CORP                            EQUITY    67066G104         4        199  SH        DEFINED    2          199
NVR, INC.                              EQUITY    62944T105        56        116  SH           Sole    1          116
NYMAGIC, INC.                          EQUITY    629484106        42      1,586  SH           Sole    1        1,586
OAK HILL FINANCIAL INC                 EQUITY    671337103        53      1,683  SH           Sole    1        1,683
OAKLEY INC.                            EQUITY    673662102       129      9,947  SH           Sole    1        9,947
OCCIDENTAL PETE CORP                   EQUITY    674599105        23        469  SH        DEFINED    2          469
OCCIDENTAL PETROLEUM CORP.             EQUITY    674599105      8061    166,509  SH           Sole    1      166,509
OCEANEERING INTERNATIONAL, INC         EQUITY    675232102       411     11,997  SH           Sole    1       11,997





                                                                                            
OCEANFIRST FINANCIAL CORP              EQUITY    675234108       108      4,498  SH           Sole    1        4,498
O'CHARLEY'S INC.                       EQUITY    670823103       175     10,201  SH           Sole    1       10,201
OCTEL CORP.                            EQUITY    675727101       158      5,982  SH           Sole    1        5,982
OCULAR SCIENCES INC COM                EQUITY    675744106         5     136200  SH           Sole    3       135200          1000
OCULAR SCIENCES, INC.                  EQUITY    675744106       356      9,359  SH           Sole    1        9,359
OCWEN FINANCIAL CORP.                  EQUITY    675746101       230     19,139  SH           Sole    1       19,139
ODYSSEY HEALTHCARE INC                 EQUITY    67611V101       331     17,602  SH           Sole    1       17,602
ODYSSEY RE HLDGS CORP                  EQUITY    67612W108         5        223  SH           Sole    1          223
OFFICE DEPOT INC                       EQUITY    676220106         7        375  SH        DEFINED    2          375
OFFICE DEPOT, INC.                     EQUITY    676220106      2486    138,833  SH           Sole    1      138,833
OFFSHORE LOGISTICS, INC.               EQUITY    676255102       273      9,711  SH           Sole    1        9,711
OGE ENERGY CORP.                       EQUITY    670837103     10213    400,980  SH           Sole    1      400,980
OHIO CASUALTY CORP.                    EQUITY    677240103      2500    124,195  SH           Sole    1      124,195
OIL STATES INTERNATIONAL INC           EQUITY    678026105       214     13,971  SH           Sole    1       13,971
OLD DOMINION FGHT LINE COM             EQUITY    679580100         5     183375  SH           Sole    3       183375
OLD DOMINION FREIGHT LINE              EQUITY    679580100       234      7,924  SH           Sole    1        7,924
OLD NATL BANCORP                       EQUITY    680033107       792     31,911  SH           Sole    1       31,911
OLD REPUBLIC INTL CORP.                EQUITY    680223104      6765    285,203  SH           Sole    1      285,203
OLD SECOND BANCORP INC                 EQUITY    680277100       170      3,225  SH           Sole    1        3,225
OLIN CORP.                             EQUITY    680665205      7607    431,731  SH           Sole    1      431,731
OM GROUP INC                           EQUITY    670872100       450     13,636  SH           Sole    1       13,636
OMEGA FINANCIAL CORP.                  EQUITY    682092101       126      3,677  SH           Sole    1        3,677
OMEGA HEALTHCARE INVESTORS             EQUITY    681936100       290     28,855  SH           Sole    1       28,855
OMEGA PROTEIN CORP                     EQUITY    68210P107        28      2,865  SH           Sole    1        2,865
OMNICARE, INC.                         EQUITY    681904108      6912    161,465  SH           Sole    1      161,465
OMNICELL INC                           EQUITY    68213N109       153     10,465  SH           Sole    1       10,465
OMNICOM GROUP                          EQUITY    681919106        17        227  SH        DEFINED    2          227
OMNICOM GROUP, INC.                    EQUITY    681919106      6088     80,217  SH           Sole    1       80,217
OMNIVISION TECHNOLOGIE                 EQUITY    682128103       427     26,749  SH           Sole    1       26,749
OMNOVA SOLUTIONS                       EQUITY    682129101       118     19,324  SH           Sole    1       19,324
ON SEMICONDUCTOR CORPORATION           EQUITY    682189105       290     57,864  SH           Sole    1       57,864
ONE LIBERTY PROPERTIES INC             EQUITY    682406103        25      1,380  SH           Sole    1        1,380
ONEOK, INC.                            EQUITY    682680103      3868    175,913  SH           Sole    1      175,913
ONYX PHARMACEUTICALS INC               EQUITY    683399109       706     16,669  SH           Sole    1       16,669
ONYX PHARMACEUTICALS INC               EQUITY    683399109       424     10,000  SH        DEFINED    2       10,000
OPEN SOLLUTIONS INC                    EQUITY    68371P102       143      5,722  SH           Sole    1        5,722
OPEN TEXT CORP                         EQUITY    683715106      5511    173,000  SH          Other    1            0 173,000
OPENWAVE SYSTEMS INC.                  EQUITY    683718308       393     30,914  SH           Sole    1       30,914
OPLINK COMMUNICATIONS INC              EQUITY    68375Q106        99     51,408  SH           Sole    1       51,408
OPNET TECHNOLOGIES                     EQUITY    683757108        74      5,664  SH           Sole    1        5,664
OPNET TECHNOLOGIES INC COM             EQUITY    683757108         7     553243  SH           Sole    3       550556          2687
OPSWARE INC                            EQUITY    68383A101       195     24,669  SH           Sole    1       24,669
OPTICAL COMMUNICATION PROD             EQUITY    68382T101        21      8,831  SH           Sole    1        8,831
OPTION CARE INC                        EQUITY    683948103        97      6,359  SH           Sole    1        6,359
ORACLE CORP                            EQUITY    68389X105      3688    309,125  SH        DEFINED    2      309,125
ORACLE CORP.                           EQUITY    68389X105     59148  4,957,900  SH           Sole    1    4,957,900
ORASURE TECHNOLOGIES INC               EQUITY    68554V108       186     19,092  SH           Sole    1       19,092
ORBITAL SCIENCES CORP.                 EQUITY    685564106       558     40,382  SH           Sole    1       40,382
ORBITZ INC                             EQUITY    68556Y100       127      5,884  SH           Sole    1        5,884
ORBITZ INC                             EQUITY    68556Y100      1308     60,500  SH        DEFINED    2       60,500
ORBITZ INC CL A                        EQUITY    68556Y100         7     304700  SH           Sole    3       301600          3100
OREGON STEEL MILLS, INC.               EQUITY    686079104       188     12,765  SH           Sole    1       12,765
O'REILLY AUTOMOTIVE, INC.              EQUITY    686091109      3862     85,445  SH           Sole    1       85,445
ORIENTAL FINANCIAL GROUP               EQUITY    68618W100       221      8,149  SH           Sole    1        8,149
ORIGEN FINANCIAL INC                   EQUITY    68619E208        31      3,959  SH           Sole    1        3,959
ORLEANS HOMEBUILDERS INC               EQUITY    686588104        23      1,170  SH           Sole    1        1,170
ORTHODONTIC CENTERS OF AMERICA         EQUITY    68750P103       166     20,310  SH           Sole    1       20,310
ORTHOLOGIC CORP                        EQUITY    68750J107       144     16,604  SH           Sole    1       16,604
ORTHOVITA INC                          EQUITY    68750U102       100     19,509  SH           Sole    1       19,509





                                                                                            
OSHKOSH B'GOSH, INC. CLASS A           EQUITY    688222207        80      3,203  SH           Sole    1        3,203
OSHKOSH TRUCK CORP CL B                EQUITY    688239201        43        744  SH           Sole    1          744
OSI PHARMACEUTICALS                    EQUITY    671040103        62        874  SH           Sole    1          874
OSI SYSTEMS INC                        EQUITY    671044105       126      6,326  SH           Sole    1        6,326
OTTER TAIL POWER CO.                   EQUITY    689648103       334     12,444  SH           Sole    1       12,444
OUTBACK STEAKHOUSE INC.                EQUITY    689899102      4865    117,623  SH           Sole    1      117,623
OVERLAND STORAGE INC                   EQUITY    690310107        87      6,574  SH           Sole    1        6,574
OVERNITE CORP                          EQUITY    690322102       396     13,467  SH           Sole    1       13,467
OVERSEAS SHIPHOLDING GROUP             EQUITY    690368105      3263     73,937  SH           Sole    1       73,937
OVERSTOCK.COM                          EQUITY    690370101       205      5,231  SH           Sole    1        5,231
OWENS & MINOR, INC.                    EQUITY    690732102       489     18,882  SH           Sole    1       18,882
OWENS-ILLINOIS, INC.                   EQUITY    690768403        34      1,999  SH           Sole    1        1,999
OXFORD HEALTH PLANS, INC.              EQUITY    691471106     10945    198,849  SH           Sole    1      198,849
OXFORD INDS INC.                       EQUITY    691497309       278      6,378  SH           Sole    1        6,378
P A M TRANSN SVCS INC                  EQUITY    693149106        59      3,069  SH           Sole    1        3,069
P G & E CORP.                          EQUITY    69331C108      5185    185,559  SH           Sole    1      185,559
P. F. CHANGS CHINA BISTRO INC.         EQUITY    69333Y108       506     12,301  SH           Sole    1       12,301
PACCAR INC                             EQUITY    693718108        12        210  SH        DEFINED    2          210
PACCAR, INC                            EQUITY    693718108      5346     92,184  SH           Sole    1       92,184
PACER INTERNATIONAL INC                EQUITY    69373H106       246     13,291  SH           Sole    1       13,291
PACIFIC CAPITAL BANCORP                EQUITY    69404P101       615     21,849  SH           Sole    1       21,849
PACIFIC SUNWEAR OF CALIFORNIA          EQUITY    694873100      2416    123,345  SH           Sole    1      123,345
PACIFICARE HEALTH SYSTEMS INC CLASS A  EQUITY    695112102      5085    131,528  SH           Sole    1      131,528
PACKAGING CORP OF AMERICA              EQUITY    695156109      3943    164,999  SH           Sole    1      164,999
PACKETEER INC COM                      EQUITY    695210104         4     238900  SH           Sole    3       238900
PACKETEER, INC                         EQUITY    695210104       255     15,782  SH           Sole    1       15,782
PACTIV CORP                            EQUITY    695257105         5        184  SH        DEFINED    2          184
PACTIV CORPORATION                     EQUITY    695257105      1703     68,277  SH           Sole    1       68,277
PAIN THERAPEUTICS INC                  EQUITY    69562K100       100     12,398  SH           Sole    1       12,398
PALATIN TECHNOLOGIES INC               EQUITY    696077304       107     25,329  SH           Sole    1       25,329
PALL CORP                              EQUITY    696429307      1456     55,609  SH           Sole    1       55,609
PALL CORP                              EQUITY    696429307         4        150  SH        DEFINED    2          150
PALM HARBOR HOMES, INC                 EQUITY    696639103        81      4,569  SH           Sole    1        4,569
PALMONE INC                            EQUITY    69713P107       699     20,101  SH           Sole    1       20,101
PALMSOURCE INC                         EQUITY    697154102       121      7,036  SH           Sole    1        7,036
PALOMAR MEDICAL TECHNOLOGIES           EQUITY    697529303        97      5,772  SH           Sole    1        5,772
PAN PACIFIC RETAIL PROPERTIES          EQUITY    69806L104       326      6,451  SH           Sole    1        6,451
PANAMSAT CORP                          EQUITY    697933109       354     15,262  SH           Sole    1       15,262
PANERA BREAD COMPANY CL A              EQUITY    69840W108       490     13,648  SH           Sole    1       13,648
PANTRY INC                             EQUITY    698657103       122      5,578  SH           Sole    1        5,578
PAPA JOHNS INTERNATIONAL, INC          EQUITY    698813102       165      5,590  SH           Sole    1        5,590
PAR PHARMACEUTICAL COMPANIES, INC      EQUITY    69888P106      2442     69,367  SH           Sole    1       69,367
PARADYNE NETWORKS INC                  EQUITY    69911G107       104     18,936  SH           Sole    1       18,936
PARAMETRIC TECHNOLOGY CORP             EQUITY    699173100      1717    343,321  SH        DEFINED    2      343,321
PARAMETRIC TECHNOLOGY CORP.            EQUITY    699173100      1214    242,830  SH           Sole    1      242,830
PAREXEL INTERNATIONAL CORP.            EQUITY    699462107       249     12,554  SH           Sole    1       12,554
PARK ELECTROCHEMICAL CORP.             EQUITY    700416209       210      8,314  SH           Sole    1        8,314
PARK NATIONAL CORP.                    EQUITY    700658107       840      6,581  SH           Sole    1        6,581
PARKER DRILLING CO.                    EQUITY    701081101       173     45,345  SH           Sole    1       45,345
PARKER HANNIFIN CORP                   EQUITY    701094104      4278     71,943  SH        DEFINED    2       71,943
PARKER HANNIFIN CORP.                  EQUITY    701094104      4354     73,233  SH           Sole    1       73,233
PARKWAY PROPERTIES, INC.               EQUITY    70159Q104       304      6,834  SH           Sole    1        6,834
PARTNERS TRUST FINCL G                 EQUITY    70213A103        62      3,167  SH           Sole    1        3,167
PARTY CITY CORP                        EQUITY    702145103        69      5,485  SH           Sole    1        5,485
PATHMARK STORES INC                    EQUITY    70322A101       110     14,462  SH           Sole    1       14,462
PATINA OIL & GAS CORP                  EQUITY    703224105        45      1,513  SH           Sole    1        1,513
PATTERSON DENTAL CO.                   EQUITY    703412106      8581    112,183  SH           Sole    1      112,183
PATTERSON UTI ENERGY INC               EQUITY    703481101      3017     90,300  SH        DEFINED    2       90,300
PATTERSON-UTI ENERGY INC               EQUITY    703481101      4565    136,624  SH           Sole    1      136,624





                                                                                            
PAXAR CORP.                            EQUITY    704227107       325     16,625  SH           Sole    1       16,625
PAXSON COMMUNICATIONS CORP.            EQUITY    704231109        71     21,804  SH           Sole    1       21,804
PAYCHEX INC                            EQUITY    704326107     12803    377,903  SH        DEFINED    2      377,903
PAYCHEX, INC.                          EQUITY    704326107      6315    186,393  SH           Sole    1      186,393
PAYLESS SHOESOURCE, INC.               EQUITY    704379106      2065    138,515  SH           Sole    1      138,515
PC CONNECTION INC                      EQUITY    69318J100        23      3,464  SH           Sole    1        3,464
PC MALL INC                            EQUITY    69323K100        71      3,741  SH           Sole    1        3,741
PC-TEL  INC.                           EQUITY    69325Q105       119     10,068  SH           Sole    1       10,068
PDF SOLUTIONS INC                      EQUITY    693282105        60      7,018  SH           Sole    1        7,018
PEABODY ENERGY CORP                    EQUITY    704549104      5412     96,661  SH           Sole    1       96,661
PEABODY ENERGY CORP COM                EQUITY    704549104        12     221812  SH           Sole    3       199800         22012
PEAPACK-GLADSTONE FINL                 EQUITY    704699107       103      3,197  SH           Sole    1        3,197
PEC SOLUTIONS INC                      EQUITY    705107100        66      5,550  SH           Sole    1        5,550
PEDIATRIX MEDICAL GROUP                EQUITY    705324101       823     11,780  SH           Sole    1       11,780
PEETS COFFEE & TEA INC                 EQUITY    705560100       141      5,648  SH           Sole    1        5,648
PEGASUS COMMUNICATIONS CORP            EQUITY    705904605         1         33  SH           Sole    1           33
PEGASUS SOLUTIONS INC.                 EQUITY    705906105       147     11,182  SH           Sole    1       11,182
PEGASYSTEMS INC                        EQUITY    705573103        47      5,435  SH           Sole    1        5,435
PENN ENGINERRING & MFG CORP            EQUITY    707389300       111      5,164  SH           Sole    1        5,164
PENN NATIONAL GAMING, INC.             EQUITY    707569109       511     15,393  SH           Sole    1       15,393
PENN NATL GAMING INC                   EQUITY    707569109      1912     57,600  SH        DEFINED    2       57,600
PENN VIRGINIA CORPORATION              EQUITY    707882106       317      8,767  SH           Sole    1        8,767
PENN-AMERICA GROUP INC                 EQUITY    707247102        65      4,616  SH           Sole    1        4,616
PENNEY J C INC                         EQUITY    708160106      1345  1,300,338  SH        DEFINED    2    1,300,338
PENNFED FINANCIAL SVCS INC             EQUITY    708167101        73      2,183  SH           Sole    1        2,183
PENNROCK FINL SVCS COR                 EQUITY    708352109       111      3,684  SH           Sole    1        3,684
PENNSYLVANIA REAL ESTATE INV.          EQUITY    709102107       691     20,182  SH           Sole    1       20,182
PENTAIR INC COM                        EQUITY    709631105         9     261786  SH           Sole    3       233500         28286
PENTAIR INC.                           EQUITY    709631105      5225    155,320  SH           Sole    1      155,320
PENWEST PHARMACEUTICALS CO             EQUITY    709754105       102      7,984  SH           Sole    1        7,984
PEOPLES BANCORP INC                    EQUITY    709789101       138      5,108  SH           Sole    1        5,108
PEOPLES BANK                           EQUITY    710198102        22        700  SH           Sole    1          700
PEOPLES ENERGY CORP                    EQUITY    711030106         2         45  SH        DEFINED    2           45
PEOPLES ENERGY CORP.                   EQUITY    711030106      6260    148,512  SH           Sole    1      148,512
PEOPLES HOLDING COMPANY                EQUITY    711148106       136      3,937  SH           Sole    1        3,937
PEOPLESOFT INC                         EQUITY    712713106         8        437  SH        DEFINED    2          437
PEOPLESOFT, INC.                       EQUITY    712713106      3720    201,108  SH           Sole    1      201,108
PEP BOYS-MANNY, MOE & JACK             EQUITY    713278109       704     27,760  SH           Sole    1       27,760
PEPCO HOLDINGS INC                     EQUITY    713291102      4929    269,625  SH           Sole    1      269,625
PEPSI BOTTLING                         EQUITY    713409100      3554    116,371  SH           Sole    1      116,371
PEPSI BOTTLING GROUP INC               EQUITY    713409100         9        309  SH        DEFINED    2          309
PEPSIAMERICAS INC                      EQUITY    71343P200      4562    214,791  SH           Sole    1      214,791
Pepsico                                EQUITY    713448108      1616     30,000  SH        DEFINED    4       30,000
PEPSICO INC                            EQUITY    713448108       110      2,045  SH        DEFINED    2        2,045
PEPSICO, INC.                          EQUITY    713448108     39063    724,995  SH           Sole    1      724,995
PEREGRINE PHARMACEUTICALS INC          EQUITY    713661106        88     60,464  SH           Sole    1       60,464
PERFORMANCE FOOD GROUP CO.             EQUITY    713755106       592     22,291  SH           Sole    1       22,291
PERICOM SEMICONDUCTOR CORP             EQUITY    713831105       114     10,651  SH           Sole    1       10,651
PERINI CORP                            EQUITY    713839108     28414  2,662,936  SH           Sole    1    2,662,936
PERKINELMER INC                        EQUITY    714046109         3        153  SH        DEFINED    2          153
PERKINELMER INC.                       EQUITY    714046109      1199     59,809  SH           Sole    1       59,809
PEROT SYSTEM CORP.                     EQUITY    714265105       485     36,562  SH           Sole    1       36,562
PERRIGO CO.                            EQUITY    714290103      2643    139,346  SH           Sole    1      139,346
PERRY ELLIS INTERNATIONAL              EQUITY    288853104        66      2,604  SH           Sole    1        2,604
PER-SE TECHNOLOGIES                    EQUITY    713569309       164     11,280  SH           Sole    1       11,280
PETCO ANIMAL SUPPLIES                  EQUITY    716016209        28        884  SH           Sole    1          884
PETMED EXPRESS INC                     EQUITY    716382106        36      4,500  SH           Sole    1        4,500
PETRO-CANADA                           EQUITY    71644E102      4697    109,200  SH          Other    1            0 109,200
PETROCHINA CO LTD ADR                  EQUITY    71646E100       583     12,600  SH           Sole    1       12,600





                                                                                            
PETROL BRASILEIROS SPONS AD            EQUITY    71654V101       227     12,100  SH           Sole    1       12,100
PETROLEO BRASILEIRO S.A. ADR           EQUITY    71654V408      4999    179,800  SH           Sole    1      179,800
PETROLEUM DEVELOPMENT CORP             EQUITY    716578109       214      7,812  SH           Sole    1        7,812
PETSMART, INC                          EQUITY    716768106      7655    235,897  SH           Sole    1      235,897
PFF BANCORP, INC.                      EQUITY    69331W104       222      5,958  SH           Sole    1        5,958
PFIZER INC                             EQUITY    717081103     59650  1,740,073  SH        DEFINED    2    1,740,073
Pfizer Inc                             EQUITY    717081103       343     10,000  SH        DEFINED    4       10,000
PFIZER, INC.                           EQUITY    717081103    233148  6,801,297  SH           Sole    1    6,801,297
PG+E CORP                              EQUITY    69331C108        14        502  SH        DEFINED    2          502
PHARMACEUTICAL PRODUCT DEVELOPMENT     EQUITY    717124101        33      1,026  SH           Sole    1        1,026
PHARMACYCLICS INC.                     EQUITY    716933106        96      9,430  SH           Sole    1        9,430
PHARMION CORP                          EQUITY    71715B409       289      5,912  SH           Sole    1        5,912
PHARMOS CORP                           EQUITY    717139208       174     42,296  SH           Sole    1       42,296
PHELPS DODGE CORP                      EQUITY    717265102         9        112  SH        DEFINED    2          112
PHELPS DODGE CORP.                     EQUITY    717265102      3215     41,479  SH           Sole    1       41,479
PHILADELPHIA CONS. HLDG. CO.           EQUITY    717528103       515      8,572  SH           Sole    1        8,572
PHILLIPINES LONG DISTANCE TELE ADR     EQUITY    718252604       365     17,500  SH           Sole    1       17,500
PHILLIPS-VAN HEUSEN CORP.              EQUITY    718592108       224     11,656  SH           Sole    1       11,656
PHOENIX COMPANIES INC                  EQUITY    71902E109       557     45,494  SH           Sole    1       45,494
PHOTON DYNAMICS                        EQUITY    719364101       281      8,004  SH           Sole    1        8,004
PHOTRONICS INC.                        EQUITY    719405102       296     15,639  SH           Sole    1       15,639
PICO HOLDINGS INC                      EQUITY    693366205        72      3,837  SH           Sole    1        3,837
PIEDMONT NATURAL GAS CO., INC.         EQUITY    720186105       782     18,304  SH           Sole    1       18,304
PIER 1 IMPORTS, INC.                   EQUITY    720279108      2468    139,526  SH           Sole    1      139,526
PILGRIMS PRIDE CORP.                   EQUITY    721467108         8        274  SH           Sole    1          274
PINNACLE AIRL CORP COM                 EQUITY    723443107        10     853089  SH           Sole    3       847789          5300
PINNACLE AIRLINES CORP                 EQUITY    723443107       105      9,328  SH           Sole    1        9,328
PINNACLE SYSTEMS, INC.                 EQUITY    723481107       237     33,089  SH           Sole    1       33,089
PINNACLE WEST CAP CORP                 EQUITY    723484101         4        109  SH        DEFINED    2          109
PINNACLE WEST CAPITAL CORP.            EQUITY    723484101      1639     40,587  SH           Sole    1       40,587
PIONEER NATURAL RESOURCES CORP         EQUITY    723787107      6587    187,780  SH           Sole    1      187,780
PIPER JAFFRAY COS                      EQUITY    724078100       439      9,700  SH           Sole    1        9,700
PIPER JAFFRAY COS                      EQUITY    724078100      5247    116,000  SH        DEFINED    2      116,000
PITNEY BOWES INC                       EQUITY    724479100        12        277  SH        DEFINED    2          277
PITNEY BOWES, INC.                     EQUITY    724479100      4550    102,835  SH           Sole    1      102,835
PIXAR INC                              EQUITY    725811103       322      4,631  SH           Sole    1        4,631
PIXELWORKS INC                         EQUITY    72581M107       298     19,473  SH           Sole    1       19,473
PLAINS ALL AMER PIPELINE LP            EQUITY    726503105       751     22,500  SH           Sole    1       22,500
PLAINS EXPLORATION & PRODUCT           EQUITY    726505100      2815    153,430  SH           Sole    1      153,430
PLAINS RESOURCES, INC.                 EQUITY    726540503       199     11,734  SH           Sole    1       11,734
PLANAR SYSTEMS, INC.                   EQUITY    726900103        94      7,032  SH           Sole    1        7,032
PLANTRONICS, INC.                      EQUITY    727493108      3049     72,422  SH           Sole    1       72,422
PLATO LEARNING INC                     EQUITY    72764Y100       110     11,053  SH           Sole    1       11,053
PLAYBOY ENTERPRISES, INC.              EQUITY    728117300       109      9,393  SH           Sole    1        9,393
PLAYTEX PRODUCTS, INC.                 EQUITY    72813P100       131     16,722  SH           Sole    1       16,722
PLEXUS CORP.                           EQUITY    729132100      1181     87,504  SH           Sole    1       87,504
PLUG POWER INC                         EQUITY    72919P103       174     23,287  SH           Sole    1       23,287
PLUM CREEK TIMBER CO INC               EQUITY    729251108      2652     81,406  SH           Sole    1       81,406
PLUM CREEK TIMBER CO INC               EQUITY    729251108         7        220  SH        DEFINED    2          220
PLX TECHNOLOGY INC COM                 EQUITY    693417107         4     241400  SH           Sole    3       241400
PLX TECHNOLOGY, INC.                   EQUITY    693417107       164      9,506  SH           Sole    1        9,506
PMA CAPITAL CORP.                      EQUITY    693419202       117     12,989  SH           Sole    1       12,989
PMC SIERRA INC                         EQUITY    69344F106         3        212  SH        DEFINED    2          212
PMC-SIERRA, INC.                       EQUITY    69344F106      1132     78,851  SH           Sole    1       78,851
PMI GROUP, INC.                        EQUITY    69344M101     38683    888,847  SH           Sole    1      888,847
PNC FINANCIAL SERVICES                 EQUITY    693475105      6374    120,078  SH           Sole    1      120,078
PNC FINL SVCS GROUP INC                EQUITY    693475105        18        338  SH        DEFINED    2          338
PNM RESOURCES INC                      EQUITY    69349H107      2554    122,949  SH           Sole    1      122,949
POGO PRODUCING CO                      EQUITY    730448107      4960    100,402  SH           Sole    1      100,402





                                                                                            
POLARIS INDUSTRIES, INC.               EQUITY    731068102        44        921  SH           Sole    1          921
POLO RALPH LAUREN CO                   EQUITY    731572103        27        788  SH           Sole    1          788
POLYCOM INC COM                        EQUITY    73172K104        16     705257  SH           Sole    3       670205         35052
POLYCOM, INC.                          EQUITY    73172K104      3501    156,226  SH           Sole    1      156,226
POLYMEDICA CORP                        EQUITY    731738100       392     12,630  SH           Sole    1       12,630
POLYONE CORPORATION                    EQUITY    73179P106       328     44,039  SH           Sole    1       44,039
POPE & TALBOT, INC.                    EQUITY    732827100       150      7,582  SH           Sole    1        7,582
POPULAR INC                            EQUITY    733174106       103      2,415  SH           Sole    1        2,415
PORTAL SOFTWARE INC                    EQUITY    736126301        56     15,509  SH           Sole    1       15,509
PORTFOLIO RECOVERY ASSOCIATE           EQUITY    73640Q105       161      5,832  SH           Sole    1        5,832
POSSIS MEDICAL INC                     EQUITY    737407106       264      7,716  SH           Sole    1        7,716
POST PROPERTIES, INC.                  EQUITY    737464107       722     24,754  SH           Sole    1       24,754
POTASH CORP SASK INC COM (F)           EQUITY    73755L107         7      75900  SH           Sole    3        71100          4800
POTLATCH CORP.                         EQUITY    737628107      2451     58,869  SH           Sole    1       58,869
POWELL INDUSTRIES INC                  EQUITY    739128106        56      3,268  SH           Sole    1        3,268
POWER INTEGRATIONS, INC.               EQUITY    739276103       330     13,255  SH           Sole    1       13,255
POWER ONE INC                          EQUITY    739308104         1        100  SH        DEFINED    2          100
POWER-ONE , INC.                       EQUITY    739308104       729     66,359  SH           Sole    1       66,359
POWERWAVE TECHNOLOGIES COM             EQUITY    739363109         9    1129124  SH           Sole    3      1080000         49124
POWERWAVE TECHNOLOGIES INC             EQUITY    739363109      1482    192,431  SH           Sole    1      192,431
POZEN INC.                             EQUITY    73941U102        79     11,532  SH           Sole    1       11,532
PPG INDS INC                           EQUITY    693506107        13        206  SH        DEFINED    2          206
PPG INDUSTRIES, INC.                   EQUITY    693506107      4764     76,230  SH           Sole    1       76,230
PPL CORP                               EQUITY    69351T106        10        213  SH        DEFINED    2          213
PPL CORPORATION                        EQUITY    69351T106      3895     84,850  SH           Sole    1       84,850
PRAECIS PHARMACEUTICALS IN             EQUITY    739421105       228     60,000  SH        DEFINED    2       60,000
PRAECIS PHARMACEUTICALS INC            EQUITY    739421105        96     25,163  SH           Sole    1       25,163
PRAXAIR INC                            EQUITY    74005P104        16        389  SH        DEFINED    2          389
PRAXAIR, INC.                          EQUITY    74005P104      5760    144,326  SH           Sole    1      144,326
PRECISION CASTPARTS CORP.              EQUITY    740189105      5567    101,788  SH           Sole    1      101,788
PRECISION DRILLING CORP C              EQUITY    74022D100      2710     57,000  SH          Other    1            0  57,000
PREMCOR INC                            EQUITY    74045Q104        26        705  SH           Sole    1          705
PREMCOR INC COM                        EQUITY    74045Q104        24     627540  SH           Sole    3       597200         30340
PRENTISS PROPERTIES TRUST              EQUITY    740706106       928     27,685  SH           Sole    1       27,685
PREPAID LEGAL SERVICES, INC.           EQUITY    740065107       120      5,028  SH           Sole    1        5,028
PRESIDENTIAL LIFE CORP.                EQUITY    740884101       185     10,244  SH           Sole    1       10,244
PRESSTEK INC                           EQUITY    741113104       130     12,355  SH           Sole    1       12,355
PRG-SCHULTZ INTERNATIONAL              EQUITY    69357C107       108     19,723  SH           Sole    1       19,723
PRICE COMMUNICATIONS CO.               EQUITY    741437305       285     19,287  SH           Sole    1       19,287
PRICE LEGACY CORP                      EQUITY    74144P502       290     15,688  SH           Sole    1       15,688
PRICE T ROWE GROUP INC                 EQUITY    74144T108         8        152  SH        DEFINED    2          152
PRICELINE.COM INC                      EQUITY    741503403       309     11,477  SH           Sole    1       11,477
PRIDE INTERNATIONAL                    EQUITY    74153Q102      3647    213,122  SH           Sole    1      213,122
PRIMA ENERGY CORP                      EQUITY    741901201       177      4,476  SH           Sole    1        4,476
PRIME HOSPITALITY CORP.                EQUITY    741917108       193     18,168  SH           Sole    1       18,168
PRIMEDIA INC                           EQUITY    74157K101       176     63,453  SH           Sole    1       63,453
PRIMUS TELECOMMUNICATIONS GP           EQUITY    741929103       181     35,594  SH           Sole    1       35,594
PRINCETON REVIEW INC                   EQUITY    742352107        60      7,926  SH           Sole    1        7,926
PRINCIPAL FINANCIAL GROUP              EQUITY    74251V102      4928    141,695  SH           Sole    1      141,695
PRINCIPAL FINANCIAL GROUP              EQUITY    74251V102        13        382  SH        DEFINED    2          382
PRIORITY HEALTHCARE                    EQUITY    74264T102       316     13,753  SH           Sole    1       13,753
PRIVATEBANCORP INC                     EQUITY    742962103       217      7,896  SH           Sole    1        7,896
PROASSURANCE CORPORATION               EQUITY    74267C106       429     12,591  SH           Sole    1       12,591
PROCTER & GAMBLE CO.                   EQUITY    742718109    144058  2,646,172  SH           Sole    1    2,646,172
PROCTER AND GAMBLE CO                  EQUITY    742718109     23043    423,280  SH        DEFINED    2      423,280
PROFESSIONAL DETAILING, INC.           EQUITY    69329V100       123      4,055  SH           Sole    1        4,055
PROGENICS PHARMACEUTICALS              EQUITY    743187106        95      5,656  SH           Sole    1        5,656
Progress Energy                        EQUITY    743263105      7268    165,000  SH        DEFINED    4      165,000
PROGRESS ENERGY INC                    EQUITY    743263105        13        295  SH        DEFINED    2          295





                                                                                            
PROGRESS ENERGY INC.                   EQUITY    743263105      4821    109,450  SH           Sole    1      109,450
PROGRESS SOFTWARE CORP.                EQUITY    743312100       328     15,125  SH           Sole    1       15,125
PROGRESSIVE CORP OHIO                  EQUITY    743315103        22        261  SH        DEFINED    2          261
PROGRESSIVE CORP.                      EQUITY    743315103      7894     92,541  SH           Sole    1       92,541
PROLOGIS                               EQUITY    743410102      3571    108,463  SH           Sole    1      108,463
PROQUEST CO.                           EQUITY    74346P102       313     11,504  SH           Sole    1       11,504
PROSPERITY BANCSHARES INC              EQUITY    743606105       183      7,498  SH           Sole    1        7,498
PROTECTIVE LIFE CORP COM               EQUITY    743674103      4190    108,358  SH           Sole    1      108,358
PROTEIN DESIGN LABS, INC.              EQUITY    74369L103      2821    147,464  SH           Sole    1      147,464
PROVIDE COMMERCE INC                   EQUITY    74373W103        41      2,099  SH           Sole    1        2,099
PROVIDENT BANCORP INC                  EQUITY    74383A109       217     19,053  SH           Sole    1       19,053
PROVIDENT BANKSHARES CORP.             EQUITY    743859100       451     15,637  SH           Sole    1       15,637
PROVIDENT FINANCIAL GROUP              EQUITY    743866105      3775     95,662  SH           Sole    1       95,662
PROVIDENT FINANCIAL HLDGS              EQUITY    743868101        57      2,413  SH           Sole    1        2,413
PROVIDENT FINANCIAL SERVICES           EQUITY    74386T105       508     28,926  SH           Sole    1       28,926
PROVIDIAN FINANCIAL CORP.              EQUITY    74406A102      1899    129,432  SH           Sole    1      129,432
PROVIDIAN FINL CORP                    EQUITY    74406A102     12153    827,079  SH        DEFINED    2      827,079
PROVINCE HEALTHCARE CO.                EQUITY    743977100       407     23,730  SH           Sole    1       23,730
PROXIM CORP CL-A                       EQUITY    744283102                    1  SH           Sole    1            1
PROXYMED PHARMACY INC                  EQUITY    744290305        49      2,884  SH           Sole    1        2,884
PRUDENTIAL FINANCIAL INC               EQUITY    744320102     10404    223,890  SH           Sole    1      223,890
PS BUSINESS PARKS, INC.                EQUITY    69360J107       429     10,652  SH           Sole    1       10,652
PSEG ENERGY HOLDINGS                   EQUITY    744573106     25512    637,314  SH           Sole    1      637,314
PSS WORLD MED INC COM                  EQUITY    69366A100         8     733500  SH           Sole    3       726700          6800
PSS WORLD MEDICAL, INC                 EQUITY    69366A100       363     32,418  SH           Sole    1       32,418
PSYCHIATRIC SOLUTIONS COM              EQUITY    74439H108         2      94100  SH           Sole    3        94100
PSYCHIATRIC SOLUTIONS INC              EQUITY    74439H108       119      4,767  SH           Sole    1        4,767
PTEK HLDGS INC                         EQUITY    69366M104       284     24,658  SH           Sole    1       24,658
PTEK HLDGS INC COM                     EQUITY    69366M104        13    1119300  SH           Sole    3      1112100          7200
Public Service                         EQUITY    744573106      4203    105,000  SH        DEFINED    4      105,000
PUBLIC STORAGE INC                     EQUITY    74460D109       903     19,626  SH           Sole    1       19,626
PUBLIC SVC ENTERPRISE GROU             EQUITY    744573106        11        284  SH        DEFINED    2          284
PUGET ENEGY INC.                       EQUITY    745310102      6124    279,492  SH           Sole    1      279,492
PULITZER INC.                          EQUITY    745769109       197      4,020  SH           Sole    1        4,020
PULTE HOMES INC                        EQUITY    745867101         8        152  SH        DEFINED    2          152
PULTE HOMES INC.                       EQUITY    745867101      2913     55,989  SH           Sole    1       55,989
QAD INC                                EQUITY    74727D108        65      6,160  SH           Sole    1        6,160
QLOGIC CORP                            EQUITY    747277101         3        112  SH        DEFINED    2          112
QLOGIC CORP.                           EQUITY    747277101      1334     50,165  SH           Sole    1       50,165
QUAKER CHEM CORP COM                   EQUITY    747316107       109      3,963  SH           Sole    1        3,963
QUAKER CIRY BANCORP INC                EQUITY    74731K106       306      5,567  SH           Sole    1        5,567
QUALCOMM INC                           EQUITY    747525103     23322    319,571  SH        DEFINED    2      319,571
QUALCOMM, INC.                         EQUITY    747525103     45065    617,501  SH           Sole    1      617,501
QUALITY SYSTEMS INC                    EQUITY    747582104        80      1,621  SH           Sole    1        1,621
QUALTY DISTRIBUTION INC                EQUITY    74756M102        44      4,006  SH           Sole    1        4,006
QUANEX CORP.                           EQUITY    747620102       385      7,897  SH           Sole    1        7,897
QUANTA SERVICES, INC.                  EQUITY    74762E102      1343    215,943  SH           Sole    1      215,943
QUANTUM CORP DLT & STORAGE             EQUITY    747906204      1136    366,545  SH           Sole    1      366,545
QUEST DIAGNOSTICS INC                  EQUITY    74834L100        11        124  SH        DEFINED    2          124
QUEST DIAGNOSTICS, INC.                EQUITY    74834L100      4006     47,161  SH           Sole    1       47,161
QUEST SOFTWARE INC                     EQUITY    74834T103       308     23,910  SH           Sole    1       23,910
QUESTAR CORP.                          EQUITY    748356102      5047    130,621  SH           Sole    1      130,621
QUICKSILVER RESOURCES COM              EQUITY    74837R104        15     230016  SH           Sole    3       217800         12216
QUICKSILVER RESOURCES INC              EQUITY    74837R104       476      7,098  SH           Sole    1        7,098
QUICKSILVER, INC.                      EQUITY    74838C106       638     26,781  SH           Sole    1       26,781
QUIDEL CORPORATION                     EQUITY    74838J101        90     15,197  SH           Sole    1       15,197
QUIKSILVER INC COM                     EQUITY    74838C106        13     557443  SH           Sole    3       530913         26530
QUIMICA Y MINERA ADR-EACH R            EQUITY    833635105       214      7,000  SH           Sole    1        7,000
QUIXOTE CORP                           EQUITY    749056107        72      3,613  SH           Sole    1        3,613





                                                                                            
QWEST COMMUNICATIONS INTL              EQUITY    749121109         8      2,138  SH        DEFINED    2        2,138
QWEST COMMUNICATIONS INTL.             EQUITY    749121109      2817    784,684  SH           Sole    1      784,684
R&G FINANCIAL CO.                      EQUITY    749136107       442     13,368  SH           Sole    1       13,368
R. R. DONNELLEY AND SONS CO.           EQUITY    257867101      3186     96,473  SH           Sole    1       96,473
R.H. DONNELLEY CORP.                   EQUITY    74955W307       474     10,831  SH           Sole    1       10,831
RADIAN GROUP, INC.                     EQUITY    750236101      7080    147,814  SH           Sole    1      147,814
RADIO ONE INC -CL D                    EQUITY    75040P405        26      1,597  SH           Sole    1        1,597
RADIOSHACK CORP                        EQUITY    750438103         6        193  SH        DEFINED    2          193
RADIOSHACK CORP.                       EQUITY    750438103      2669     93,234  SH           Sole    1       93,234
RADISYS CORP.                          EQUITY    750459109       167      9,012  SH           Sole    1        9,012
RAE SYSTEMS INC                        EQUITY    75061P102        90     16,599  SH           Sole    1       16,599
RAILAMERICA INC                        EQUITY    750753105       240     16,445  SH           Sole    1       16,445
RAIT INVESTMENT TRUST                  EQUITY    749227104       275     11,166  SH           Sole    1       11,166
RALCORP HOLDINGS, INC.                 EQUITY    751028101       495     14,055  SH           Sole    1       14,055
RAMBUS INC.                            EQUITY    750917106        33      1,861  SH           Sole    1        1,861
RAMCO-GERSHENSON PROPERTIES            EQUITY    751452202       224      9,250  SH           Sole    1        9,250
RANGE RESOURCES CORP                   EQUITY    75281A109       474     32,483  SH           Sole    1       32,483
RARE HOSPITALITY INTERNATIONAL         EQUITY    753820109       407     16,342  SH           Sole    1       16,342
RAVEN INDUSTRIES INC                   EQUITY    754212108       132      3,721  SH           Sole    1        3,721
RAYMOND JAMES FINANCIAL, INC.          EQUITY    754730109      3045    115,116  SH           Sole    1      115,116
RAYONIER, INC.                         EQUITY    754907103      3418     76,900  SH           Sole    1       76,900
RAYOVAC CORP.                          EQUITY    755081106       465     16,565  SH           Sole    1       16,565
RAYTHEON CO                            EQUITY    755111507        19        536  SH        DEFINED    2          536
RAYTHEON CO.                           EQUITY    755111507      6820    190,666  SH           Sole    1      190,666
RC2 CORP                               EQUITY    749388104       242      6,828  SH           Sole    1        6,828
READER'S DIGEST ASSOC., INC.           EQUITY    755267101      3224    201,610  SH           Sole    1      201,610
READING INTERNATIONAL INC-A            EQUITY    755408101        60      6,930  SH           Sole    1        6,930
REALNETWORKS, INC.                     EQUITY    75605L104       370     54,094  SH           Sole    1       54,094
REALTY INCOME CORP.                    EQUITY    756109104      1030     24,680  SH           Sole    1       24,680
RECKSON ASSOC REALTY CORP.             EQUITY    75621K106       290     10,562  SH           Sole    1       10,562
RED HAT INC                            EQUITY    756577102      2343    102,000  SH        DEFINED    2      102,000
RED HAT, INC.                          EQUITY    756577102        80      3,473  SH           Sole    1        3,473
RED ROBIN GOURMET BURGERS              EQUITY    75689M101       158      5,756  SH           Sole    1        5,756
REDBACK NETWORKS INC                   EQUITY    757209507        96     15,008  SH           Sole    1       15,008
REDWOOD TRUST, INC.                    EQUITY    758075402       428      7,685  SH           Sole    1        7,685
REEBOK INTERNATIONAL, LTD.             EQUITY    758110100      1027     28,531  SH           Sole    1       28,531
REEBOK INTL LTD                        EQUITY    758110100         3         72  SH        DEFINED    2           72
REGAL ENTMT GROUP                      EQUITY    758766109      5602    309,496  SH           Sole    1      309,496
REGAL-BELOIT CORP.                     EQUITY    758750103       262     11,758  SH           Sole    1       11,758
REGENCY CENTERS CORPORATION            EQUITY    758849103       420      9,790  SH           Sole    1        9,790
REGENERATION TECHNOLOGIES              EQUITY    75886N100       120     11,162  SH           Sole    1       11,162
REGENERON PHARMACEUTICALS INC.         EQUITY    75886F107       192     18,250  SH           Sole    1       18,250
REGENT COMMUNICATIONS, INC             EQUITY    758865109       104     16,761  SH           Sole    1       16,761
REGIONS FINANCIAL CORP.                EQUITY    758940100      3562     97,466  SH           Sole    1       97,466
REGIONS FINL CORP                      EQUITY    758940100        10        263  SH        DEFINED    2          263
REGIS CORP.                            EQUITY    758932107      3111     69,765  SH           Sole    1       69,765
REHAB CARE GROUP                       EQUITY    759148109       208      7,793  SH           Sole    1        7,793
REINSURANCE GROUP OF                   EQUITY    759351109        22        530  SH           Sole    1          530
RELIANCE STEEL & ALUMINIUM CO.         EQUITY    759509102       547     13,556  SH           Sole    1       13,556
RELIANT ENERGY INC                     EQUITY    75952B105        58      5,379  SH           Sole    1        5,379
REMEC, INC.                            EQUITY    759543101       187     29,590  SH           Sole    1       29,590
REMINGTON OIL & GAS CORP               EQUITY    759594302       245     10,383  SH           Sole    1       10,383
RENAISSANCE LEARNING, INC.             EQUITY    75968L105        82      3,659  SH           Sole    1        3,659
RENAL CARE GROUP, INC.                 EQUITY    759930100      3559    107,433  SH           Sole    1      107,433
RENOVIS INC                            EQUITY    759885106        26      2,868  SH           Sole    1        2,868
RENT-A-CENTER INC                      EQUITY    76009N100      3807    127,187  SH           Sole    1      127,187
RENT-WAY, INC.                         EQUITY    76009U104       113     12,609  SH           Sole    1       12,609
REPUBLIC AIRWAYS HOLDINGS IN           EQUITY    760276105        34      2,399  SH           Sole    1        2,399
REPUBLIC BANCORP, INC.                 EQUITY    760281204       507     34,696  SH           Sole    1       34,696





                                                                                            
REPUBLIC SERVICES IN                   EQUITY    760759100      7209    249,098  SH           Sole    1      249,098
RES-CARE INC                           EQUITY    760943100       106      8,380  SH           Sole    1        8,380
RESMED INC                             EQUITY    761152107        37        725  SH           Sole    1          725
RESOURCE AMERICA, INC.                 EQUITY    761195205       169      7,147  SH           Sole    1        7,147
RESOURCES CONNECTION I COM             EQUITY    76122Q105        24     614550  SH           Sole    3       594086         20464
RESOURCES CONNECTION INC               EQUITY    76122Q105       435     11,119  SH           Sole    1       11,119
RESPIRONICS INC.                       EQUITY    761230101        44        747  SH           Sole    1          747
RESTORATION HARDWARE I                 EQUITY    760981100        92     12,647  SH           Sole    1       12,647
RETAIL VENTURES INC                    EQUITY    76128Y102        49      6,359  SH           Sole    1        6,359
RETEK INC.                             EQUITY    76128Q109       687    111,826  SH           Sole    1      111,826
REVLON, INC.-CL A                      EQUITY    761525500       207     70,176  SH           Sole    1       70,176
REYNOLDS AND REYNOLDS CO., CLASS A     EQUITY    761695105      2434    105,235  SH           Sole    1      105,235
REYNOLDS R J TOB HLDGS INC             EQUITY    76182K105         7        102  SH        DEFINED    2          102
RF MICRO DEVICES INC                   EQUITY    749941100      2837    378,256  SH           Sole    1      378,256
RF MONOLITHICS INC COM(OXFORD PTNRS L  EQUITY    74955F106        39      4,973  SH           Sole    1        4,973
RIGEL PHARMACEUTICALS INC              EQUITY    766559603       185     13,007  SH           Sole    1       13,007
RIGGS NATIONAL CORP.                   EQUITY    766570105       161      7,644  SH           Sole    1        7,644
RITE AID CORP                          EQUITY    767754104        47      9,089  SH           Sole    1        9,089
RIVIANA FOODS                          EQUITY    769536103        77      2,949  SH           Sole    1        2,949
RIVIERA HOLDINGS CORP                  EQUITY    769627100      3030    345,900  SH           Sole    1      345,900
RJ REYNOLDS TOBACCO HOLDINGS           EQUITY    76182K105      2558     37,839  SH           Sole    1       37,839
RLI CORP.                              EQUITY    749607107       393     10,770  SH           Sole    1       10,770
ROBBINS & MYERS, INC.                  EQUITY    770196103       117      5,229  SH           Sole    1        5,229
ROBERT HALF INTERNATIONAL INC.         EQUITY    770323103      2266     76,116  SH           Sole    1       76,116
ROBERT HALF INTL INC                   EQUITY    770323103         6        206  SH        DEFINED    2          206
ROBERT HALF INTL INC                   EQUITY    770323103        18     596692  SH           Sole    3       538100         58592
ROCK-TENN CO., CLASS A                 EQUITY    772739207       238     14,048  SH           Sole    1       14,048
ROCKWELL AUTOMATION COM                EQUITY    773903109         8     209500  SH           Sole    3       196600         12900
ROCKWELL AUTOMATION INC                EQUITY    773903109      3110     82,907  SH           Sole    1       82,907
ROCKWELL AUTOMATION INC                EQUITY    773903109      7837    208,923  SH        DEFINED    2      208,923
ROCKWELL COLLINS INC                   EQUITY    774341101      2639     79,187  SH           Sole    1       79,187
ROCKWELL COLLINS INC                   EQUITY    774341101         7        212  SH        DEFINED    2          212
ROFIN-SINAR TECHNOLOGIES INC           EQUITY    775043102       182      7,176  SH           Sole    1        7,176
ROGERS COMMUNICATIONS INC B            EQUITY    775109200      1333     74,000  SH          Other    1            0  74,000
ROGERS CORP.                           EQUITY    775133101       557      7,968  SH           Sole    1        7,968
ROHM + HAAS CO                         EQUITY    775371107     11551    277,801  SH        DEFINED    2      277,801
ROHM AND HAAS CO.                      EQUITY    775371107      4091     98,393  SH           Sole    1       98,393
ROLLINS, INC.                          EQUITY    775711104      1829     79,496  SH           Sole    1       79,496
ROPER INDUSTRIES, INC.                 EQUITY    776696106        44        776  SH           Sole    1          776
ROSS STORES, INC.                      EQUITY    778296103      6665    249,062  SH           Sole    1      249,062
ROSTELECOM-SPONSORED ADR               EQUITY    778529107      2377    184,000  SH           Sole    1      184,000
ROUSE CO                               EQUITY    779273101       778     16,389  SH           Sole    1       16,389
ROWAN COMPANIES, INC.                  EQUITY    779382100      1147     47,155  SH           Sole    1       47,155
ROWAN COS INC                          EQUITY    779382100         3        127  SH        DEFINED    2          127
ROYAL BANCSHARES OF PENN-A             EQUITY    780081105        51      2,060  SH           Sole    1        2,060
ROYAL BANK CDA COMMON                  EQUITY    780087102      6719    152,300  SH          Other    1            0 152,300
Royal Bk Scotland 8.5%                 EQUITY    780097804       534     20,000  SH        DEFINED    4       20,000
Royal Bk Scotland 8.8889%              EQUITY    780097861      3018    120,000  SH        DEFINED    4      120,000
Royal Bk Scotland 9.125%               EQUITY    780097606      1163     45,000  SH        DEFINED    4       45,000
ROYAL GOLD INC                         EQUITY    780287108       112      7,896  SH           Sole    1        7,896
RPC                                    EQUITY    749660106        72      4,587  SH           Sole    1        4,587
RPM INTERNATIONAL INC.                 EQUITY    749685103      2768    182,105  SH           Sole    1      182,105
RSA SECURITY INC.                      EQUITY    749719100      2524    123,301  SH           Sole    1      123,301
RTI INTERNATIONAL METALS, INC.         EQUITY    74973W107       163     10,191  SH           Sole    1       10,191
RUBY TUESDAY INC                       EQUITY    781182100      4296    156,500  SH        DEFINED    2      156,500
RUBY TUESDAY, INC.                     EQUITY    781182100      2853    103,928  SH           Sole    1      103,928
RUDDICK CORP.                          EQUITY    781258108      1975     87,985  SH           Sole    1       87,985
RUDOLPH TECHNOLOGIES INC.              EQUITY    781270103       112      6,180  SH           Sole    1        6,180
RUSH ENTERPRISES INC - CL B            EQUITY    781846308        36      2,804  SH           Sole    1        2,804





                                                                                            
RUSS BERRIE AND CO., INC.              EQUITY    782233100      1989    102,348  SH           Sole    1      102,348
RUSSELL CORP.                          EQUITY    782352108       247     13,745  SH           Sole    1       13,745
RYANAIR HOLDINGS PLC-SP ADR            EQUITY    783513104       187      5,702  SH           Sole    1        5,702
RYAN'S RESTAURANT GROUP INC            EQUITY    783520109       320     20,226  SH           Sole    1       20,226
RYDER SYS INC                          EQUITY    783549108         3         78  SH        DEFINED    2           78
RYDER SYSTEM, INC.                     EQUITY    783549108      1167     29,136  SH           Sole    1       29,136
RYERSON TULL, INC.                     EQUITY    78375P107       180     11,305  SH           Sole    1       11,305
RYLAND GROUP                           EQUITY    783764103      3038     38,849  SH           Sole    1       38,849
S & P 500 FUTURE                       EQUITY    84749R100        34      3,838  SH           Sole    1        3,838
S J W CORP COM                         EQUITY    784305104       105      3,102  SH           Sole    1        3,102
S&P 500 DEPOSITORY RECEIPT             EQUITY    78462F103     35915    313,585  SH           Sole    1      313,585
S&T BANCORP, INC.                      EQUITY    783859101       364     11,389  SH           Sole    1       11,389
S.Y. BANCORP INC                       EQUITY    785060104       133      5,685  SH           Sole    1        5,685
S1 CORPORATION                         EQUITY    78463B101       337     33,924  SH           Sole    1       33,924
SABRE HLDGS CORP                       EQUITY    785905100         5        167  SH        DEFINED    2          167
SABRE HOLDINGS CORP.                   EQUITY    785905100      1730     62,431  SH           Sole    1       62,431
SAFECO CORP                            EQUITY    786429100         7        167  SH        DEFINED    2          167
SAFECO CORP.                           EQUITY    786429100      2725     61,935  SH           Sole    1       61,935
SAFEGUARD SCIENTIFICS, INC.            EQUITY    786449108       132     57,567  SH           Sole    1       57,567
SAFENET INC                            EQUITY    78645R107       316     11,428  SH           Sole    1       11,428
SAFETY INSURANCE GROUP INC             EQUITY    78648T100       103      4,823  SH           Sole    1        4,823
SAFEWAY INC                            EQUITY    786514208      5018    198,025  SH           Sole    1      198,025
SAFEWAY INC                            EQUITY    786514208        14        535  SH        DEFINED    2          535
SAGA COMMUNICATIONS, INC. CLASS A      EQUITY    786598102       143      7,853  SH           Sole    1        7,853
SAKS INC.                              EQUITY    79377W108      3219    214,601  SH           Sole    1      214,601
SALEM COMMUNICATION- CLASS A           EQUITY    794093104       125      4,616  SH           Sole    1        4,616
SALIX PHARMACEUTICALS                  EQUITY    795435106       380     11,542  SH           Sole    1       11,542
SANDERS MORRIS HARRIS GRP IN           EQUITY    80000Q104        84      5,741  SH           Sole    1        5,741
SANDERSON FARMS, INC.                  EQUITY    800013104       266      4,954  SH           Sole    1        4,954
SANDISK CORP.                          EQUITY    80004C101      5673    261,546  SH           Sole    1      261,546
SANDY SPRING BANCORP, INC.             EQUITY    800363103       243      6,979  SH           Sole    1        6,979
SANMINA - SCI CORP                     EQUITY    800907107      2479    272,462  SH           Sole    1      272,462
SANMINA SCI CORP                       EQUITY    800907107         6        624  SH        DEFINED    2          624
SANTANDER BANCORP                      EQUITY    802809103        57      2,304  SH           Sole    1        2,304
SANTARUS INC                           EQUITY    802817304        49      3,335  SH           Sole    1        3,335
SAPIENT CORP.                          EQUITY    803062108       228     37,873  SH           Sole    1       37,873
SARA LEE CORP                          EQUITY    803111103        22        947  SH        DEFINED    2          947
SARA LEE CORP.                         EQUITY    803111103      7718    335,707  SH           Sole    1      335,707
SAUER-DANFOSS INC.                     EQUITY    804137107        83      4,836  SH           Sole    1        4,836
SAUL CENTERS, INC.                     EQUITY    804395101       245      7,640  SH           Sole    1        7,640
SAXON CAPITAL INC                      EQUITY    80556P302       315     13,798  SH           Sole    1       13,798
SBA COMMUNICATIONS CORPORATION         EQUITY    78388J106        87     19,574  SH           Sole    1       19,574
SBC COMMUNICATIONS INC                 EQUITY    78387G103     11078    456,812  SH        DEFINED    2      456,812
SBC Communications Inc                 EQUITY    78387G103       970     40,000  SH        DEFINED    4       40,000
SBC COMMUNICATIONS, INC.               EQUITY    78387G103     60973  2,514,338  SH           Sole    1    2,514,338
SBS TECHNOLOGIES INC                   EQUITY    78387P103       118      7,342  SH           Sole    1        7,342
SCANA CORP                             EQUITY    80589M102      6336    174,217  SH           Sole    1      174,217
SCANSOFT INC                           EQUITY    80603P107       192     38,817  SH           Sole    1       38,817
SCANSOURCE INC                         EQUITY    806037107       358      6,028  SH           Sole    1        6,028
SCBT FINANCIAL CORP                    EQUITY    78401V102       112      3,712  SH           Sole    1        3,712
SCHAWK, INC.                           EQUITY    806373106        61      4,361  SH           Sole    1        4,361
SCHERING PLOUGH CORP                   EQUITY    806605101        33      1,764  SH        DEFINED    2        1,764
SCHERING-PLOUGH CORP.                  EQUITY    806605101     11718    634,084  SH           Sole    1      634,084
SCHLUMBERGER LTD                       EQUITY    806857108        45        706  SH        DEFINED    2          706
SCHLUMBERGER, LTD.                     EQUITY    806857108     15892    250,236  SH           Sole    1      250,236
SCHNITZER STL INDS                     EQUITY    806882106       320      9,426  SH           Sole    1        9,426
SCHOLASTIC CORP.                       EQUITY    807066105      2271     75,815  SH           Sole    1       75,815
SCHOOL SPECIALTY, INC.                 EQUITY    807863105       332      9,136  SH           Sole    1        9,136
SCHULMAN, A. INC.                      EQUITY    808194104       312     14,501  SH           Sole    1       14,501





                                                                                            
SCHWAB CHARLES CORP                    EQUITY    808513105        16      1,635  SH        DEFINED    2        1,635
SCHWEITZER-MAUDUIT INC.                EQUITY    808541106       221      7,223  SH           Sole    1        7,223
SCICLONE PHARMACEUTICALS, INC.         EQUITY    80862K104       109     21,441  SH           Sole    1       21,441
SCIENTIFIC ATLANTA INC                 EQUITY    808655104     21772    631,084  SH        DEFINED    2      631,084
SCIENTIFIC GAMES CORP A                EQUITY    80874P109       511     26,672  SH           Sole    1       26,672
SCIENTIFIC-ATLANTA INC COM             EQUITY    808655104         5     151400  SH           Sole    3       143600          7800
SCIENTIFIC-ATLANTA, INC.               EQUITY    808655104      2342     67,884  SH           Sole    1       67,884
SCOTTS CO.                             EQUITY    810186106      3245     50,805  SH           Sole    1       50,805
SCP POOL CORPORATION                   EQUITY    784028102       769     17,095  SH           Sole    1       17,095
SCRIPPS CO                             EQUITY    811054204        71        676  SH           Sole    1          676
SCS TRANSPORTATION INC                 EQUITY    81111T102       189      7,147  SH           Sole    1        7,147
Scudder Strategic Muni Inc             EQUITY    811234103       233     20,000  SH        DEFINED    4       20,000
SEABOARD CORP.                         EQUITY    811543107        85        170  SH           Sole    1          170
SEABULK INTERNATIONAL INC              EQUITY    81169P101        23      2,791  SH           Sole    1        2,791
SEACHANGE INTERNATIONAL, INC.          EQUITY    811699107       199     11,760  SH           Sole    1       11,760
SEACOAST BANKING CORP FL               EQUITY    811707306       116      5,562  SH           Sole    1        5,562
SEACOAST FINANCIAL SERVICES CO         EQUITY    81170Q106       503     14,530  SH           Sole    1       14,530
SEACOR HOLDINGS INC                    EQUITY    811904101       392      8,923  SH           Sole    1        8,923
SEALED AIR CORP                        EQUITY    81211K100      2006     37,665  SH           Sole    1       37,665
SEALED AIR CORP NEW                    EQUITY    81211K100         5        101  SH        DEFINED    2          101
SEARS ROEBUCK & CO                     EQUITY    812387108      3564     94,397  SH           Sole    1       94,397
SEARS ROEBUCK + CO                     EQUITY    812387108        10        255  SH        DEFINED    2          255
SEATTLE GENETICS INC WA                EQUITY    812578102       105     15,005  SH           Sole    1       15,005
SECOND BANCORP, INC.                   EQUITY    813114105       136      4,357  SH           Sole    1        4,357
SECURE COMPUTING CORP                  EQUITY    813705100       199     17,110  SH           Sole    1       17,110
SECURE COMPUTING CORP                  EQUITY    813705100      4599    394,800  SH        DEFINED    2      394,800
SECURITY BANK CORP                     EQUITY    814047106        78      2,247  SH           Sole    1        2,247
SEEBEYOND TECHNOLOGY CORP.             EQUITY    815704101        90     23,849  SH           Sole    1       23,849
SEI INVESTMENTS CO.                    EQUITY    784117103      4800    165,273  SH           Sole    1      165,273
SELECT COMFORT CORP                    EQUITY    81616X103       497     17,502  SH           Sole    1       17,502
SELECT COMFORT CORP COM                EQUITY    81616X103         5     160868  SH           Sole    3       153600          7268
SELECT MEDICAL CORP                    EQUITY    816196109       594     44,257  SH           Sole    1       44,257
SELECTIVE INSURANCE GROUP, INC         EQUITY    816300107       532     13,330  SH           Sole    1       13,330
SEMITOOL, INC.                         EQUITY    816909105        89      7,825  SH           Sole    1        7,825
SEMPRA ENERGY                          EQUITY    816851109      3496    101,529  SH           Sole    1      101,529
SEMPRA ENERGY                          EQUITY    816851109         9        275  SH        DEFINED    2          275
SEMTECH CORP COM                       EQUITY    816850101         9     383948  SH           Sole    3       367500         16448
SEMTECH CORP.                          EQUITY    816850101      2740    116,395  SH           Sole    1      116,395
SENIOR HOUSING PROP TRUST              EQUITY    81721M109       584     34,791  SH           Sole    1       34,791
SENSIENT TECHNOLOGIES CORP.            EQUITY    81725T100      2043     95,100  SH           Sole    1       95,100
SEPRACOR, INC.                         EQUITY    817315104      7080    133,836  SH           Sole    1      133,836
SEQUA CORP CLASS A                     EQUITY    817320104      1123     19,198  SH           Sole    1       19,198
SERENA SOFTWARE, INC.                  EQUITY    817492101       230     12,070  SH           Sole    1       12,070
SEROLOGICALS CORP.                     EQUITY    817523103       240     12,005  SH           Sole    1       12,005
SERVICE CORP INTERNATIONAL             EQUITY    817565104        41      5,528  SH           Sole    1        5,528
SERVICEMASTER COMPAN                   EQUITY    81760N109        72      5,834  SH           Sole    1        5,834
SFBC INTERNATIONAL INC                 EQUITY    784121105       188      5,997  SH           Sole    1        5,997
SHARPER IMAGE CORP                     EQUITY    820013100       177      5,635  SH           Sole    1        5,635
SHAW GROUP INC                         EQUITY    820280105       308     30,404  SH           Sole    1       30,404
SHENANDOAH TELECOMMUNI                 EQUITY    82312B106        84      3,156  SH           Sole    1        3,156
SHERWIN WILLIAMS CO                    EQUITY    824348106     14340    345,123  SH        DEFINED    2      345,123
SHERWIN-WILLIAMS CO.                   EQUITY    824348106      2620     63,052  SH           Sole    1       63,052
SHOE CARNIVAL INC                      EQUITY    824889109        53      3,541  SH           Sole    1        3,541
SHOPKO STORES, INC.                    EQUITY    824911101       200     14,113  SH           Sole    1       14,113
SHUFFLE MASTER INC                     EQUITY    825549108         8     213900  SH           Sole    3       211750          2150
SHUFFLE MASTER, INC.                   EQUITY    825549108       405     11,156  SH           Sole    1       11,156
SHURGARD STORAGE CENTERS, INC. CLASS   EQUITY    82567D104       273      7,303  SH           Sole    1        7,303
SI INTERNATIONAL INC                   EQUITY    78427V102        49      2,415  SH           Sole    1        2,415
SIDER NACIONAL CIA SPONS AD            EQUITY    20440W105       301     33,200  SH           Sole    1       33,200





                                                                                            
SIEBEL SYS INC                         EQUITY    826170102      3210    300,602  SH        DEFINED    2      300,602
SIEBEL SYSTEMS, INC.                   EQUITY    826170102      2839    265,554  SH           Sole    1      265,554
SIERRA HEALTH SERVICES, INC.           EQUITY    826322109       494     11,060  SH           Sole    1       11,060
SIERRA PACIFIC RESOURCES               EQUITY    826428104      1840    238,591  SH           Sole    1      238,591
SIGMA ALDRICH                          EQUITY    826552101         5         83  SH        DEFINED    2           83
SIGMA ALDRICH CORP.                    EQUITY    826552101      2117     35,511  SH           Sole    1       35,511
SIGMATEL INC                           EQUITY    82661W107       344     11,827  SH           Sole    1       11,827
SIGNATURE BANK                         EQUITY    82669G104        64      2,685  SH           Sole    1        2,685
SIGNATURE BK NEW YORK NY               EQUITY    82669G104      5291    222,700  SH        DEFINED    2      222,700
SILGAN HOLDINGS, INC.                  EQUITY    827048109       212      5,270  SH           Sole    1        5,270
SILICON GRAPHICS, INC.                 EQUITY    827056102       276    125,536  SH           Sole    1      125,536
SILICON IMAGE  INC                     EQUITY    82705T102       467     35,596  SH           Sole    1       35,596
SILICON LABORATORIES COM               EQUITY    826919102         6     118800  SH           Sole    3       111500          7300
SILICON LABORATORIES INC               EQUITY    826919102      3731     80,490  SH           Sole    1       80,490
SILICON STORAGE TECHNOLOGY             EQUITY    827057100       402     39,040  SH           Sole    1       39,040
SILICON VALLEY BANCSHARES              EQUITY    827064106      2815     70,985  SH           Sole    1       70,985
SILICONIX, INC.                        EQUITY    827079203       140      2,816  SH           Sole    1        2,816
SIMMONS FIRST NATIONAL CORP.           EQUITY    828730200       184      7,055  SH           Sole    1        7,055
SIMON PPTY GROUP INC NEW               EQUITY    828806109        13        249  SH        DEFINED    2          249
SIMON PROPERTY GROUP INC               EQUITY    828806109      6178    120,155  SH           Sole    1      120,155
SIMPLETECH INC                         EQUITY    828823104        33      9,692  SH           Sole    1        9,692
SIMPSON MANUFACTURING CO.              EQUITY    829073105       495      8,826  SH           Sole    1        8,826
SINA CORP (F)                          EQUITY    G81477104         3      97900  SH           Sole    3        89800          8100
SINCLAIR BROADCAST GROUP, INC.         EQUITY    829226109       221     21,527  SH           Sole    1       21,527
SIPEX CORP.                            EQUITY    829909100        54      9,511  SH           Sole    1        9,511
SIRF TECHNOLOGY HOLDINGS INC           EQUITY    82967H101        69      5,271  SH           Sole    1        5,271
SIRIUS SATELLITE RADIO INC.            EQUITY    82966U103      1276    414,168  SH           Sole    1      414,168
SIRVA INC                              EQUITY    82967Y104        10        434  SH           Sole    1          434
SITEL CORP.                            EQUITY    82980K107       118     28,017  SH           Sole    1       28,017
SIX FLAGS, INC                         EQUITY    83001P109      1370    188,744  SH           Sole    1      188,744
SIZELER PPTY INVS INC                  EQUITY    830137105        17      1,870  SH           Sole    1        1,870
SKECHERS USA INC. CL-A                 EQUITY    830566105       124      9,535  SH           Sole    1        9,535
SKILLSOFT CORP COM (ADR)               EQUITY    830928107        11    1414418  SH           Sole    3      1404318         10100
SKY FINANCIAL GROUP                    EQUITY    83080P103        42      1,690  SH           Sole    1        1,690
SKYLINE CORP.                          EQUITY    830830105       133      3,281  SH           Sole    1        3,281
SKYWEST INC                            EQUITY    830879102     67331  3,867,367  SH           Sole    1    3,867,367
SKYWEST INC COM                        EQUITY    830879102        10     584654  SH           Sole    3       547996         36658
SKYWORKS SOLUTIONS INC                 EQUITY    83088M102       628     71,984  SH           Sole    1       71,984
SL GREEN REALTY CORP.                  EQUITY    78440X101       286      6,121  SH           Sole    1        6,121
SLM CORP                               EQUITY    78442P106     33677  1,324,640  SH           Sole    1      245,121
SLM CORP                               EQUITY    78442P106      3148     77,826  SH        DEFINED    2       77,826
SMART & FINAL, INC.,                   EQUITY    831683107        72      6,004  SH           Sole    1        6,004
SMITH INTERNATIONAL, INC.              EQUITY    832110100      8807    157,940  SH           Sole    1      157,940
SMITH INTL INC                         EQUITY    832110100      2827     50,700  SH        DEFINED    2       50,700
SMITH, A.O. CORP.                      EQUITY    831865209       260      8,185  SH           Sole    1        8,185
SMITHFIELD FOODS INC                   EQUITY    832248108      5105    173,640  SH           Sole    1      173,640
SMITHTOWN BANCORP INC                  EQUITY    832449102       102      2,506  SH           Sole    1        2,506
SMURFIT STONE CONTAINER CO             EQUITY    832727101       485     24,300  SH        DEFINED    2       24,300
SMURFIT-STONE CONTAINER CORP.          EQUITY    832727101     64427  3,229,428  SH           Sole    1    3,229,428
SNAP ON INC                            EQUITY    833034101         2         70  SH        DEFINED    2           70
SNAP-ON, INC.                          EQUITY    833034101       867     25,845  SH           Sole    1       25,845
SOHU.COM INC                           EQUITY    83408W103       211     10,614  SH           Sole    1       10,614
SOLA INTERNATIONAL, INC.               EQUITY    834092108       265     15,372  SH           Sole    1       15,372
SOLECTRON CORP                         EQUITY    834182107       987    152,552  SH        DEFINED    2      152,552
SOLECTRON CORP.                        EQUITY    834182107      2758    426,228  SH           Sole    1      426,228
SONIC AUTOMOTIVE INC                   EQUITY    83545G102       295     13,312  SH           Sole    1       13,312
SONIC CORP.                            EQUITY    835451105       649     28,545  SH           Sole    1       28,545
SONIC INNOVATIONS INC                  EQUITY    83545M109        50      8,857  SH           Sole    1        8,857
SONIC SOLUTIONS                        EQUITY    835460106       178      8,389  SH           Sole    1        8,389





                                                                                            
SONICWALL INC                          EQUITY    835470105       246     28,589  SH           Sole    1       28,589
SONOCO PRODUCTS CO.                    EQUITY    835495102      3916    153,576  SH           Sole    1      153,576
SONOSIGHT, INC.                        EQUITY    83568G104       170      7,081  SH           Sole    1        7,081
SONUS NETWORKS INC                     EQUITY    835916107       497    103,904  SH           Sole    1      103,904
SOTHEBY'S HOLDINGS, INC. CLASS A       EQUITY    835898107      1881    117,859  SH           Sole    1      117,859
SOURCE INTERLINK COS INC               EQUITY    836151209       105      9,452  SH           Sole    1        9,452
SOURCECORP                             EQUITY    836167106       213      7,744  SH           Sole    1        7,744
SOUTH FINANCIAL GROUP INC.             EQUITY    837841105        31      1,083  SH           Sole    1        1,083
SOUTH JERSEY INDUSTRIES, INC.          EQUITY    838518108       291      6,604  SH           Sole    1        6,604
SOUTHERN CO                            EQUITY    842587107      9756    334,689  SH           Sole    1      334,689
SOUTHERN CO                            EQUITY    842587107        26        884  SH        DEFINED    2          884
SOUTHERN COMMUNITY FINANCIAL           EQUITY    842632101        74      7,158  SH           Sole    1        7,158
SOUTHERN PERU COPPER CORP.             EQUITY    843611104        12        280  SH           Sole    1          280
SOUTHERN UNION CO.                     EQUITY    844030106       600     28,452  SH           Sole    1       28,452
SOUTHSIDE BANCSHARES INC               EQUITY    84470P109        90      4,267  SH           Sole    1        4,267
SOUTHTRUST CORP                        EQUITY    844730101        15        395  SH        DEFINED    2          395
SOUTHTRUST CORP.                       EQUITY    844730101      5687    146,540  SH           Sole    1      146,540
SOUTHWEST AIRLINES CO.                 EQUITY    844741108      5916    352,784  SH           Sole    1      352,784
SOUTHWEST AIRLS CO                     EQUITY    844741108        16        947  SH        DEFINED    2          947
SOUTHWEST BANCORP INC                  EQUITY    844767103        94      5,152  SH           Sole    1        5,152
SOUTHWEST BANCORPORATION OF TX         EQUITY    84476R109       728     16,503  SH           Sole    1       16,503
SOUTHWEST GAS CORP                     EQUITY    844895102       402     16,677  SH           Sole    1       16,677
SOUTHWEST WTR CO                       EQUITY    845331107        99      7,934  SH           Sole    1        7,934
SOUTHWESTERN ENERGY CO.                EQUITY    845467109       497     17,350  SH           Sole    1       17,350
SOVEREIGN BANCORP, INC.                EQUITY    845905108      3054    138,206  SH           Sole    1      138,206
SOVRAN SELF STORAGE, INC.              EQUITY    84610H108       353      9,241  SH           Sole    1        9,241
SPANISH BROADCASTING SYS, INC. CLASS   EQUITY    846425882       166     17,768  SH           Sole    1       17,768
SPARTAN MTRS INC COM                   EQUITY    846819100         3     219800  SH           Sole    3       219800
SPARTECH CORP.                         EQUITY    847220209       313     12,063  SH           Sole    1       12,063
SPATIALIGHT INC                        EQUITY    847248101        68     11,288  SH           Sole    1       11,288
SPECTRALINK CORP                       EQUITY    847580107       136      9,157  SH           Sole    1        9,157
SPECTRASITE INC                        EQUITY    84761M104        36        839  SH           Sole    1          839
SPEEDWAY MOTORSPORTS                   EQUITY    847788106       238      7,115  SH           Sole    1        7,115
SPHERION CORPORATION                   EQUITY    848420105       294     29,030  SH           Sole    1       29,030
SPINNAKER EXPLORATION CO               EQUITY    84855W109       475     12,062  SH           Sole    1       12,062
SPORTS AUTHORITY INC                   EQUITY    84917U109       384     10,707  SH           Sole    1       10,707
SPORTS RESORTS INTL INC                EQUITY    84918U108         3        674  SH           Sole    1          674
SPRINT CORP                            EQUITY    852061100        30      1,709  SH        DEFINED    2        1,709
SPRINT CORP. FON GROUP                 EQUITY    852061100     13444    763,869  SH           Sole    1      763,869
SPSS, INC.                             EQUITY    78462K102       122      6,806  SH           Sole    1        6,806
SPX CORP.                              EQUITY    784635104      5512    118,694  SH           Sole    1      118,694
SRA INTERNATIONAL CL A                 EQUITY    78464R105       265      6,261  SH           Sole    1        6,261
SRA INTL INC CL A                      EQUITY    78464R105         7     176362  SH           Sole    3       168300          8062
SS&C TECHNOLOGIES INC                  EQUITY    85227Q100       122      6,532  SH           Sole    1        6,532
ST JUDE MED INC                        EQUITY    790849103     17090    225,911  SH        DEFINED    2      225,911
ST JUDE MEDICAL, INC.                  EQUITY    790849103      5655     74,751  SH           Sole    1       74,751
ST. MARY LAND & EXPLORATION            EQUITY    792228108       489     13,725  SH           Sole    1       13,725
ST. PAUL TRAVELERS COMPANIES, INC.     EQUITY    792860108     13678    337,390  SH           Sole    1      337,390
STAGE STORES INC                       EQUITY    85254C305       339      9,012  SH           Sole    1        9,012
STAKTEK HOLDINGS INC                   EQUITY    85256P106        26      4,916  SH           Sole    1        4,916
STAMPS.COM INC                         EQUITY    852857200        82      8,073  SH           Sole    1        8,073
STANCORP FINANCIAL GROUP, INC.         EQUITY    852891100      3077     45,924  SH           Sole    1       45,924
STANDARD COML CORP. COM                EQUITY    853258101        88      4,855  SH           Sole    1        4,855
STANDARD MICROSYSTEMS CORP.            EQUITY    853626109       206      8,848  SH           Sole    1        8,848
STANDARD MOTOR PRODUCTS, INC.          EQUITY    853666105        89      6,043  SH           Sole    1        6,043
STANDARD PACIFIC CORP.                 EQUITY    85375C101        31        625  SH           Sole    1          625
STANDARD REGISTER CO.                  EQUITY    853887107        67      5,635  SH           Sole    1        5,635
STANDEX INTERNATIONAL CORP.            EQUITY    854231107       160      5,864  SH           Sole    1        5,864
STANLEY FURNITURE CO INC               EQUITY    854305208       113      2,689  SH           Sole    1        2,689





                                                                                            
STANLEY WORKS                          EQUITY    854616109      2481     54,426  SH           Sole    1       54,426
STANLEY WORKS                          EQUITY    854616109         4         98  SH        DEFINED    2           98
STAPLES INC                            EQUITY    855030102        17        596  SH        DEFINED    2          596
STAPLES, INC.                          EQUITY    855030102     46056  1,565,996  SH           Sole    1    1,565,996
STAR SCIENTIFIC INC                    EQUITY    85517P101        48     12,328  SH           Sole    1       12,328
STARBUCKS CORP                         EQUITY    855244109        21        475  SH        DEFINED    2          475
STARBUCKS CORP.                        EQUITY    855244109      9064    208,405  SH           Sole    1      208,405
STARTEK INC                            EQUITY    85569C107       187      5,226  SH           Sole    1        5,226
STARWOOD HOTELS & RESORTS  WW          EQUITY    85590A203      4136     92,210  SH           Sole    1       92,210
STATE AUTO FINANCIAL CORP.             EQUITY    855707105       199      6,477  SH           Sole    1        6,477
STATE BANCORP INC                      EQUITY    855716106        95      3,887  SH           Sole    1        3,887
STATE FINL SERVICES CORP-A             EQUITY    856855101        82      2,767  SH           Sole    1        2,767
STATE STREET CORP.                     EQUITY    857477103      7016    143,073  SH           Sole    1      143,073
STATE STREET CORPORATION               EQUITY    857477103        20        403  SH        DEFINED    2          403
STATION CASINOS, INC.                  EQUITY    857689103        44        909  SH           Sole    1          909
Statoil ASA - ADR                      EQUITY    85771P102       400     31,430  SH           Sole    1       31,430
STEEL DYNAMICS, INC.                   EQUITY    858119100       515     17,996  SH           Sole    1       17,996
STEEL TECHNOLOGIES INC                 EQUITY    858147101       107      4,824  SH           Sole    1        4,824
STEELCASE INC-CL A                     EQUITY    858155203        13        896  SH           Sole    1          896
STEIN MART INC COM                     EQUITY    858375108        10     594800  SH           Sole    3       594800
STEIN MART, INC.                       EQUITY    858375108       194     11,901  SH           Sole    1       11,901
STEINWAY MUSICAL INSTRUMENTS           EQUITY    858495104     17658    503,212  SH           Sole    1      503,212
STELLENT INC                           EQUITY    85856W105        83      9,758  SH           Sole    1        9,758
STEPAN CO.                             EQUITY    858586100        66      2,538  SH           Sole    1        2,538
STERICYCLE INC                         EQUITY    858912108      4641     89,700  SH        DEFINED    2       89,700
STERICYCLE INC COM                     EQUITY    858912108        18     347803  SH           Sole    3       332819         14984
STERICYCLE, INC.                       EQUITY    858912108      3544     68,496  SH           Sole    1       68,496
STERIS CORP COM                        EQUITY    859152100      3208    142,177  SH           Sole    1      142,177
STERLING BANCORP                       EQUITY    859158107       179      6,470  SH           Sole    1        6,470
STERLING BANCSHARES, INC.              EQUITY    858907108       305     21,524  SH           Sole    1       21,524
STERLING FINANCIAL CORP                EQUITY    859317109       269     10,332  SH           Sole    1       10,332
STERLING FINL CORP WAS                 EQUITY    859319105       346     10,866  SH           Sole    1       10,866
STEVEN MADDEN, LTD.                    EQUITY    556269108       111      5,579  SH           Sole    1        5,579
STEWART & STEVENSON SERVICES           EQUITY    860342104       248     13,816  SH           Sole    1       13,816
STEWART ENTERPRISES, INC.              EQUITY    860370105       420     51,637  SH           Sole    1       51,637
STEWART INFORMATION SERVICES COM       EQUITY    860372101       276      8,182  SH           Sole    1        8,182
STIFEL FINANCIAL CORP                  EQUITY    860630102        71      2,602  SH           Sole    1        2,602
STILLWATER MINING CO.                  EQUITY    86074Q102       290     19,325  SH           Sole    1       19,325
STONE ENERGY CORP.                     EQUITY    861642106       506     11,082  SH           Sole    1       11,082
STONERIDGE, INC.                       EQUITY    86183P102       127      7,476  SH           Sole    1        7,476
STORAGE TECHNOLOGY CORP.               EQUITY    862111200      5049    174,115  SH           Sole    1      174,115
STRATASYS INC                          EQUITY    862685104       109      4,412  SH           Sole    1        4,412
STRATEX NETWORKS INC                   EQUITY    86279T109       119     40,478  SH           Sole    1       40,478
STRATTEC SEC CORP                      EQUITY    863111100       126      1,837  SH           Sole    1        1,837
STRAYER ED INC COM                     EQUITY    863236105        10      87523  SH           Sole    3        84839          2684
STRAYER EDUCATION, INC                 EQUITY    863236105       747      6,694  SH           Sole    1        6,694
STRIDE RITE CORP.                      EQUITY    863314100       207     18,788  SH           Sole    1       18,788
STRYKER CORP                           EQUITY    863667101        26        480  SH        DEFINED    2          480
STRYKER CORP.                          EQUITY    863667101      9345    169,900  SH           Sole    1      169,900
STUDENT LOAN CORP.                     EQUITY    863902102        10         73  SH           Sole    1           73
STURM, RUGER & CO., INC.               EQUITY    864159108       123     10,185  SH           Sole    1       10,185
SUBURBAN PROPANE PARTNERS LP           EQUITY    864482104      1094     34,000  SH           Sole    1       34,000
SUFFOLK BANCORP                        EQUITY    864739107       170      5,235  SH           Sole    1        5,235
SUMMIT PROPERTIES, INC.                EQUITY    866239106       461     17,971  SH           Sole    1       17,971
SUN BANCORP INC                        EQUITY    86663B102        81      3,826  SH           Sole    1        3,826
SUN COMMUNITIES, INC.                  EQUITY    866674104       393     10,450  SH           Sole    1       10,450
SUN HEALTHCARE GROUP INC - W/I         EQUITY    866933401        25      2,793  SH           Sole    1        2,793
SUN MICROSYSTEMS INC                   EQUITY    866810104        17      3,985  SH        DEFINED    2        3,985
SUN MICROSYSTEMS, INC.                 EQUITY    866810104      6742  1,557,096  SH           Sole    1    1,557,096





                                                                                            
SUNGARD DATA SYS INC                   EQUITY    867363103         9        348  SH        DEFINED    2          348
SUNGARD DATA SYSTEMS, INC.             EQUITY    867363103      3457    132,963  SH           Sole    1      132,963
SUNOCO INC                             EQUITY    86764P109         6         91  SH        DEFINED    2           91
SUNOCO, INC.                           EQUITY    86764P109      2135     33,553  SH           Sole    1       33,553
SUNOPTA INC                            EQUITY    8676EP108      1380    161,600  SH        DEFINED    2      161,600
SUNRISE SENIOR LIVING INC              EQUITY    86768K106       306      7,807  SH           Sole    1        7,807
SUNTERRA CORP                          EQUITY    86787D208       112      8,918  SH           Sole    1        8,918
SUNTRON CORP                           EQUITY    86789P100         7      1,173  SH           Sole    1        1,173
SUNTRUST BANKS, INC.                   EQUITY    867914103      7818    120,288  SH           Sole    1      120,288
SUNTRUST BKS INC                       EQUITY    867914103        22        338  SH        DEFINED    2          338
SUPERGEN, INC.                         EQUITY    868059106       137     21,300  SH           Sole    1       21,300
SUPERIOR ENERGY SERVICES, INC.         EQUITY    868157108       262     26,080  SH           Sole    1       26,080
SUPERIOR INDUSTRIES INTL, INC.         EQUITY    868168105      1751     52,332  SH           Sole    1       52,332
SUPERTEX INC                           EQUITY    868532102        70      4,291  SH           Sole    1        4,291
SUPERVALU INC                          EQUITY    868536103         5        162  SH        DEFINED    2          162
SUPERVALU, INC.                        EQUITY    868536103      1832     59,858  SH           Sole    1       59,858
SUPPORTSOFT INC                        EQUITY    868587106       151     17,450  SH           Sole    1       17,450
SUPPORTSOFT INC                        EQUITY    868587106      4175    481,000  SH        DEFINED    2      481,000
SUREWEST COMMUNICATION                 EQUITY    868733106       221      7,009  SH           Sole    1        7,009
SURMODICS INC                          EQUITY    868873100       168      6,821  SH           Sole    1        6,821
SUSQUEHANNA BANCSHARES, INC.           EQUITY    869099101       557     22,151  SH           Sole    1       22,151
SWIFT ENERGY CO.                       EQUITY    870738101       294     13,328  SH           Sole    1       13,328
SWIFT TRANSPORTATION CO., INC.         EQUITY    870756103      2762    153,858  SH           Sole    1      153,858
SWS GROUP INC                          EQUITY    78503N107       111      7,259  SH           Sole    1        7,259
SYBASE, INC.                           EQUITY    871130100      2737    152,059  SH           Sole    1      152,059
SYBRON DENTAL SPECIALTIES INC.         EQUITY    871142105       553     18,536  SH           Sole    1       18,536
SYCAMORE NETWORKS, INC                 EQUITY    871206108       355     83,946  SH           Sole    1       83,946
SYKES ENTERPRISES, INC.                EQUITY    871237103        91     12,030  SH           Sole    1       12,030
SYMANTEC CORP                          EQUITY    871503108        16        374  SH        DEFINED    2          374
SYMANTEC CORP COM                      EQUITY    871503108        11     258500  SH           Sole    3       241300         17200
SYMANTEC CORP.                         EQUITY    871503108     10333    236,029  SH           Sole    1      236,029
SYMBION INC                            EQUITY    871507109        70      3,979  SH           Sole    1        3,979
SYMBION INC DEL COM                    EQUITY    871507109         2     130000  SH           Sole    3       130000
SYMBOL TECHNOLOGIES INC                EQUITY    871508107         4        281  SH        DEFINED    2          281
SYMBOL TECHNOLOGIES, INC.              EQUITY    871508107      1542    104,622  SH           Sole    1      104,622
SYMMETRICOM, INC.                      EQUITY    871543104       192     21,581  SH           Sole    1       21,581
SYMX TECHNOLOGIES INC.                 EQUITY    87155S108       326     13,531  SH           Sole    1       13,531
SYNAPTICS INC                          EQUITY    87157D109       204     10,582  SH           Sole    1       10,582
SYNNEX CORP                            EQUITY    87162W100        49      3,151  SH           Sole    1        3,151
SYNOPSYS INC.                          EQUITY    871607107      7310    257,132  SH           Sole    1      257,132
SYNOVUS FINANCIAL CORP.                EQUITY    87161C105      3444    136,014  SH           Sole    1      136,014
SYNOVUS FINL CORP                      EQUITY    87161C105         9        365  SH        DEFINED    2          365
SYNTEL, INC.                           EQUITY    87162H103        58      3,523  SH           Sole    1        3,523
SYNTROLEUM CORPORATION                 EQUITY    871630109        89     13,498  SH           Sole    1       13,498
SYPRIS SOLUTIONS INC                   EQUITY    871655106        62      3,247  SH           Sole    1        3,247
SYPRIS SOLUTIONS INC COM               EQUITY    871655106         5     285700  SH           Sole    3       285700
SYSCO CORP                             EQUITY    871829107        27        766  SH        DEFINED    2          766
SYSCO CORP.                            EQUITY    871829107      9739    271,506  SH           Sole    1      271,506
SYSTEMAX INC                           EQUITY    871851101        31      4,627  SH           Sole    1        4,627
T ROWE PRICE GROUP INC.                EQUITY    74144T108      2835     56,247  SH           Sole    1       56,247
TAKE-TWO INTERACTIVE SOFTWARE          EQUITY    874054109       657     21,449  SH           Sole    1       21,449
TALBOTS INC                            EQUITY    874161102        16        417  SH           Sole    1          417
TALISMAN ENERGY INC.                   EQUITY    87425E103      6472    298,100  SH          Other    1            0 298,100
TALK AMERICA HOLDINGS INC              EQUITY    87426R202        98     12,833  SH           Sole    1       12,833
TALX CORP                              EQUITY    874918105       160      6,560  SH           Sole    1        6,560
TANGER FACTORY OUTLET CTRS             EQUITY    875465106       330      8,429  SH           Sole    1        8,429
TANOX INC                              EQUITY    87588Q109       218     11,412  SH           Sole    1       11,412
TANOX INC                              EQUITY    87588Q109      1907    100,000  SH        DEFINED    2      100,000
TARGET CORP                            EQUITY    87612E106     14270    335,995  SH        DEFINED    2      335,995





                                                                                            
TARGET CORPORATION                     EQUITY    87612E106     20955    493,415  SH           Sole    1      493,415
TARRAGON CORP                          EQUITY    876287103        47      3,214  SH           Sole    1        3,214
TASER INTERNATIONAL INC                EQUITY    87651B104       501     11,580  SH           Sole    1       11,580
TAUBMAN CENTERS, INC.                  EQUITY    876664103       711     31,054  SH           Sole    1       31,054
TAYLOR CAPITAL GROUP INC               EQUITY    876851106        41      1,868  SH           Sole    1        1,868
TBC CORP.                              EQUITY    872180104       226      9,514  SH           Sole    1        9,514
TCF FINANCIAL CORP.                    EQUITY    872275102      6489    111,786  SH           Sole    1      111,786
TECH DATA CORP                         EQUITY    878237106      2782     71,100  SH        DEFINED    2       71,100
TECH DATA CORP.                        EQUITY    878237106      3508     89,652  SH           Sole    1       89,652
TECHE CORP.                            EQUITY    878377100       859     19,765  SH           Sole    1       19,765
TECHNICAL OLYMPIC USA INC              EQUITY    878483106        99      4,421  SH           Sole    1        4,421
TECHNITROL, INC.                       EQUITY    878555101       425     19,400  SH           Sole    1       19,400
TECO ENERGY INC                        EQUITY    872375100         3        226  SH        DEFINED    2          226
TECO ENERGY, INC.                      EQUITY    872375100      1363    113,695  SH           Sole    1      113,695
TECUMSEH PRODUCTS CO. CLASS A          EQUITY    878895200      1508     36,610  SH           Sole    1       36,610
TEJON RANCH CO.                        EQUITY    879080109       127      3,642  SH           Sole    1        3,642
TEKELEC                                EQUITY    879101103       434     23,858  SH           Sole    1       23,858
TEKELEC INC                            EQUITY    879101103      4283    235,700  SH        DEFINED    2      235,700
TEKTRONIX INC                          EQUITY    879131100         3        101  SH        DEFINED    2          101
TEKTRONIX, INC.                        EQUITY    879131100      1288     37,868  SH           Sole    1       37,868
TELE CENTRO OESTE CELULAR  S.A. ADR    EQUITY    87923P105       220     24,000  SH           Sole    1       24,000
TELE NORTE LESTE PARTICIPACOES S.A. A  EQUITY    879246106      1203     94,500  SH           Sole    1       94,500
Telebras - Spons ADR Pfd Block                   879287308       349      5,500  SH           Sole    1        5,500
TELECOM DE CHILE SPONS ADR             EQUITY    204449300       499     33,500  SH           Sole    1       33,500
TELEDYNE TECHOLOGIES INC               EQUITY    879360105       313     15,611  SH           Sole    1       15,611
TELEFLEX INC.                          EQUITY    879369106      3127     62,346  SH           Sole    1       62,346
TELEFONOS DE MEXIC ADR-EACH            EQUITY    879403780      7378    204,300  SH           Sole    1      204,300
TELEPHONE AND DATA SYSTEMS             EQUITY    879433100      6427     90,270  SH           Sole    1       90,270
TELETECH HOLDINGS                      EQUITY    879939106       159     18,093  SH           Sole    1       18,093
TELIK INC                              EQUITY    87959M109       502     21,010  SH           Sole    1       21,010
TELLABS INC                            EQUITY    879664100         4        498  SH        DEFINED    2          498
TEMPLE INLAND INC                      EQUITY    879868107         5         66  SH        DEFINED    2           66
TEMPLE-INLAND INC.                     EQUITY    879868107      1706     24,641  SH           Sole    1       24,641
TEMPUR-PEDIC INTERNATIONAL             EQUITY    88023U101       127      9,042  SH           Sole    1        9,042
TENARIS SA-ADR                         EQUITY    88031M109      1657     52,479  SH           Sole    1       52,479
TENET HEALTHCARE CORP                  EQUITY    88033G100         7        558  SH        DEFINED    2          558
TENET HEALTHCARE CORP.                 EQUITY    88033G100      2769    206,506  SH           Sole    1      206,506
TENNANT CO.                            EQUITY    880345103       151      3,652  SH           Sole    1        3,652
TENNECO AUTOMOTIVE INC                 EQUITY    880349105       267     20,146  SH           Sole    1       20,146
TERADYNE INC                           EQUITY    880770102         5        232  SH        DEFINED    2          232
TERADYNE, INC.                         EQUITY    880770102      1965     86,584  SH           Sole    1       86,584
TERAYON COMMUNICATION                  EQUITY    880775101        78     33,363  SH           Sole    1       33,363
TERCICA INC                            EQUITY    88078L105        22      2,737  SH           Sole    1        2,737
TEREX CORP.                            EQUITY    880779103       809     23,709  SH           Sole    1       23,709
TERRA INDUSTRIES, INC.                 EQUITY    880915103       106     18,765  SH           Sole    1       18,765
TERREMARK WORLDWIDE INC                EQUITY    881448104       123    144,360  SH           Sole    1      144,360
TESORO PETROLEUM CORP.                 EQUITY    881609101       870     31,507  SH           Sole    1       31,507
TESSERA TECHNOLOGIES INC               EQUITY    88164L100       209     11,585  SH           Sole    1       11,585
TETRA TECH, INC.                       EQUITY    88162G103       439     26,880  SH           Sole    1       26,880
TETRA TECHNOLOGIES, INC.               EQUITY    88162F105       288     10,730  SH           Sole    1       10,730
TEVA PHARMACEUTCL INDS (ADR)           EQUITY    881624209         7     102900  SH           Sole    3        95800          7100
TEVA PHARMACEUTICAL ADR                EQUITY    881624209      6840    101,820  SH           Sole    1      101,820
TEVA PHARMACEUTICAL INDS L             EQUITY    881624209     23733    352,700  SH        DEFINED    2      352,700
TEXAS CAPITAL BANCSHARES INC           EQUITY    88224Q107       170     10,253  SH           Sole    1       10,253
TEXAS GENCO HOLDINGS INC               EQUITY    882443104        12        276  SH           Sole    1          276
TEXAS INDUSTRIES, INC.                 EQUITY    882491103       419     10,181  SH           Sole    1       10,181
TEXAS INSTRS INC                       EQUITY    882508104     20045    828,974  SH        DEFINED    2      828,974
TEXAS INSTRUMENTS, INC.                EQUITY    882508104     19602    810,674  SH           Sole    1      810,674
TEXAS REGIONAL BANCSHARES, INC CLASS   EQUITY    882673106       604     13,163  SH           Sole    1       13,163





                                                                                            
TEXTRON FINANCIAL CORP                 EQUITY    883203101      3609     60,805  SH           Sole    1       60,805
TEXTRON INC                            EQUITY    883203101        10        165  SH        DEFINED    2          165
THE GENLYTE GROUP, INC.                EQUITY    372302109       367      5,842  SH           Sole    1        5,842
THE ST JOE COMPANY                     EQUITY    790148100        47      1,187  SH           Sole    1        1,187
THE ST PAUL TRAVELERS COS              EQUITY    792860108        32        799  SH        DEFINED    2          799
THE STEAK N SHAKE COMPANY              EQUITY    857873103       213     11,685  SH           Sole    1       11,685
THE TITAN CORPORATION                  EQUITY    888266103      2225    171,421  SH           Sole    1      171,421
THE YANKEE CANDLE CO.                  EQUITY    984757104       699     23,904  SH           Sole    1       23,904
THERMO ELECTRON CORP                   EQUITY    883556102         6        199  SH        DEFINED    2          199
THERMO ELECTRON CORP.                  EQUITY    883556102      5037    163,865  SH           Sole    1      163,865
THERMOGENESIS CORP                     EQUITY    883623209       101     21,452  SH           Sole    1       21,452
THIRD WAVE TECHNOLOGIES                EQUITY    88428W108        60     13,500  SH           Sole    1       13,500
THOMAS & BETTS CORP.                   EQUITY    884315102      1456     53,455  SH           Sole    1       53,455
THOMAS + BETTS CORP                    EQUITY    884315102         2         70  SH        DEFINED    2           70
THOMAS INDUSTRIES, INC.                EQUITY    884425109       232      6,976  SH           Sole    1        6,976
THOMAS NELSON                          EQUITY    640376109       110      4,825  SH           Sole    1        4,825
THOR INDUSTRIES, INC.                  EQUITY    885160101      3554    106,216  SH           Sole    1      106,216
THORATEC LABORATORIES CORP.            EQUITY    885175307       261     24,273  SH           Sole    1       24,273
THORNBURG MORTGAGE INC.                EQUITY    885218107        40      1,473  SH           Sole    1        1,473
THQ INC                                EQUITY    872443403       419     18,304  SH           Sole    1       18,304
TIBCO SOFTWARE INC                     EQUITY    88632Q103        35      4,131  SH           Sole    1        4,131
TIDEWATER, INC.                        EQUITY    886423102      4230    141,958  SH           Sole    1      141,958
TIER TECHNOLOGIES INC                  EQUITY    88650Q100        78      7,976  SH           Sole    1        7,976
TIERONE CORP                           EQUITY    88650R108       201      9,350  SH           Sole    1        9,350
TIFFANY & CO.                          EQUITY    886547108      2410     65,397  SH           Sole    1       65,397
TIFFANY + CO NEW                       EQUITY    886547108     11806    320,375  SH        DEFINED    2      320,375
TIMBERLAND COMPANY                     EQUITY    887100105      3529     54,631  SH           Sole    1       54,631
TIME WARNER INC                        EQUITY    887317105     77268  4,395,198  SH           Sole    1    4,395,198
TIME WARNER INC NEW                    EQUITY    887317105     24327  1,383,763  SH        DEFINED    2    1,383,763
TIME WARNER TELECOM                    EQUITY    887319101       100     23,864  SH           Sole    1       23,864
TIMKEN CO.                             EQUITY    887389104        36      1,343  SH           Sole    1        1,343
TIPPINGPOINT TECHNOLOGIES              EQUITY    888011103        40      1,573  SH           Sole    1        1,573
TITANIUM METALS CORPORATION            EQUITY    888339207        58        630  SH           Sole    1          630
TIVO INC                               EQUITY    888706108       156     21,947  SH           Sole    1       21,947
TJX COMPANIES, INC.                    EQUITY    872540109      5072    210,123  SH           Sole    1      210,123
TJX COS INC NEW                        EQUITY    872540109        14        593  SH        DEFINED    2          593
TLC VISION CORP                        EQUITY    872549100      2997    259,300  SH          Other    1            0 259,300
TNS INC                                EQUITY    872960109        47      2,138  SH           Sole    1        2,138
TODCO-CL A                             EQUITY    88889T107        90      5,798  SH           Sole    1        5,798
TOLL BROTHERS, INC.                    EQUITY    889478103      4865    114,961  SH           Sole    1      114,961
TOMPKINS TRUSTCO INC                   EQUITY    890110109       165      3,480  SH           Sole    1        3,480
TOO INC                                EQUITY    890333107       276     16,552  SH           Sole    1       16,552
TOOTSIE ROLL INDUSTRIES, INC.          EQUITY    890516107      2699     83,048  SH           Sole    1       83,048
TOPPS CO. INC.                         EQUITY    890786106       166     17,047  SH           Sole    1       17,047
TORCHMARK CORP.                        EQUITY    891027104      2662     49,483  SH           Sole    1       49,483
TORCHMARK INC                          EQUITY    891027104         7        133  SH        DEFINED    2          133
TORO CO.                               EQUITY    891092108       816     11,643  SH           Sole    1       11,643
TORONTO DOMINION BK                    EQUITY    891160509      4779    149,400  SH          Other    1            0 149,400
TOTAL ENTMT RESTAURANT COM             EQUITY    89150E100         2     113200  SH           Sole    3       113200
TOTAL SYSTEM SERVICE                   EQUITY    891906109        17        798  SH           Sole    1          798
TOWER AUTOMOTIVE, INC.                 EQUITY    891707101       102     27,909  SH           Sole    1       27,909
TOWN & COUNTRY TRUST                   EQUITY    892081100       274     10,857  SH           Sole    1       10,857
TOYS R US INC                          EQUITY    892335100         4        256  SH        DEFINED    2          256
TOYS R US INC.                         EQUITY    892335100      1514     95,047  SH           Sole    1       95,047
TRACTOR SUPPLY CO                      EQUITY    892356106       626     14,957  SH           Sole    1       14,957
TRADESTATION GROUP INC                 EQUITY    89267P105        65      9,026  SH           Sole    1        9,026
TRAMMELL CROW CO.                      EQUITY    89288R106       222     15,732  SH           Sole    1       15,732
TRANS WORLD ENTERTAINMENT CORP         EQUITY    89336Q100       112     11,171  SH           Sole    1       11,171
TRANSACT TECHNOLOGIES INC              EQUITY    892918103       130      4,108  SH           Sole    1        4,108





                                                                                            
TRANSACTION SYSTEMS ARCHITECTS CLASS   EQUITY    893416107      1664     77,283  SH           Sole    1       77,283
TRANSATLANTIC HOLDINGS INC             EQUITY    893521104   2532892 31,274,130  SH           Sole    1    31,274,130
TRANSATLANTIC HOLDINGS INC             EQUITY    893521104        32        393  SH           Sole    1          393
TRANSKARYOTIC THERAPIES, INC.          EQUITY    893735100       211     14,088  SH           Sole    1       14,088
TRANSMETA CORP                         EQUITY    89376R109       157     71,619  SH           Sole    1       71,619
TRANSMONTAIGNE, INC.                   EQUITY    893934109        56     10,437  SH           Sole    1       10,437
TRANSOCEAN INC                         EQUITY    G90078109      5866    202,694  SH           Sole    1      202,694
TRAVELZOO INC                          EQUITY    89421Q106        22        744  SH           Sole    1          744
TRC COS INC                            EQUITY    872625108        73      4,371  SH           Sole    1        4,371
TREDEGAR CORP.                         EQUITY    894650100       215     13,320  SH           Sole    1       13,320
TREX COMPANY, INC.                     EQUITY    89531P105       187      4,941  SH           Sole    1        4,941
TRIAD GUARANTY, INC.                   EQUITY    895925105       261      4,484  SH           Sole    1        4,484
TRIAD HOSPITALS, INC.                  EQUITY    89579K109      4414    118,571  SH           Sole    1      118,571
TRIARC COS-B                           EQUITY    895927309       175     17,166  SH           Sole    1       17,166
TRIBUNE CO NEW                         EQUITY    896047107        18        393  SH        DEFINED    2          393
TRIBUNE CO.                            EQUITY    896047107     10008    219,768  SH           Sole    1      219,768
TRICO BANCSHARES                       EQUITY    896095106       100      5,385  SH           Sole    1        5,385
TRIDENT MICROSYSTEMS INC               EQUITY    895919108       102      9,010  SH           Sole    1        9,010
TRIMBLE NAVIGATION LTD.                EQUITY    896239100       677     24,362  SH           Sole    1       24,362
TRIMERIS INC                           EQUITY    896263100       108      7,503  SH           Sole    1        7,503
Trinity Biotech PLC ADR                EQUITY    896438108      1078    320,000  SH           Sole    1      320,000
TRINITY INDUSTRIES, INC.               EQUITY    896522109      2875     90,435  SH           Sole    1       90,435
TRIPATH IMAGIN INC                     EQUITY    896942109       124     13,225  SH           Sole    1       13,225
TRIPATH TECHNOLOGY                     EQUITY    89672P104        53     16,446  SH           Sole    1       16,446
TRIQUINT SEMICONDUCTOR, INC.           EQUITY    89674K103      1497    274,153  SH           Sole    1      274,153
TRITON PCS HOLDINGS                    EQUITY    89677M106        80     18,352  SH           Sole    1       18,352
TRIUMPH GROUP, INC.                    EQUITY    896818101       243      7,626  SH           Sole    1        7,626
TRIZEC PROPERTIES INC                  EQUITY    89687P107       375     23,068  SH           Sole    1       23,068
TRIZETTO GROUP INC                     EQUITY    896882107       100     15,069  SH           Sole    1       15,069
TRUSTCO BANK CORP. NY                  EQUITY    898349105       469     35,780  SH           Sole    1       35,780
TRUSTMARK CORP.                        EQUITY    898402102       654     22,622  SH           Sole    1       22,622
TRW AUTOMOTIVE HOLDINGS CORP           EQUITY    87264S106         8        438  SH           Sole    1          438
TTM TECHONOLOGIES                      EQUITY    87305R109       232     19,596  SH           Sole    1       19,596
TUESDAY MORNING CORPORATION            EQUITY    899035505       359     12,377  SH           Sole    1       12,377
TULARIK INC                            EQUITY    899165104      4672    188,384  SH           Sole    1      188,384
TUMBLEWEED COMMUNICATIONS CP           EQUITY    899690101        98     22,928  SH           Sole    1       22,928
TUPPERWARE CORP.                       EQUITY    899896104      6935    356,947  SH           Sole    1      356,947
TXU CORP                               EQUITY    873168108      5820    143,676  SH           Sole    1      143,676
TXU CORP                               EQUITY    873168108        16        388  SH        DEFINED    2          388
TYCO INTERNATIONAL, LTD.               EQUITY    902124106     28499    859,943  SH           Sole    1      859,943
TYCO INTL LTD                          EQUITY    902124106     23708    715,403  SH        DEFINED    2      715,403
TYLER TECHNOLOGIES INC                 EQUITY    902252105       167     17,654  SH           Sole    1       17,654
TYSON FOODS, INC. CLASS A              EQUITY    902494103     11568    552,170  SH           Sole    1      552,170
U S XPRESS ENTERPRISES                 EQUITY    90338N103        44      2,766  SH           Sole    1        2,766
U.S. BANCORP, INC.                     EQUITY    902973304     42992  1,559,937  SH           Sole    1    1,559,937
U.S. RESTAURANT PROPERTIES INC         EQUITY    902971100       213     14,046  SH           Sole    1       14,046
U.S.B. HOLDING CO., INC.               EQUITY    902910108       121      5,272  SH           Sole    1        5,272
UBIQUITEL INC                          EQUITY    903474302       143     33,832  SH           Sole    1       33,832
UCBH HOLDINGS INC                      EQUITY    90262T308        38        969  SH           Sole    1          969
UGI CORP.                              EQUITY    902681105        30        921  SH           Sole    1          921
UICI                                   EQUITY    902737105       432     18,151  SH           Sole    1       18,151
UIL HOLDINGS CORP.                     EQUITY    902748102       292      5,997  SH           Sole    1        5,997
ULTICOM INC                            EQUITY    903844108        58      4,975  SH           Sole    1        4,975
ULTIMATE SOFTWARE GROUP INC            EQUITY    90385D107        75      7,350  SH           Sole    1        7,350
ULTRALIFE BATTERIES INC                EQUITY    903899102       131      6,752  SH           Sole    1        6,752
ULTRATECH , INC.                       EQUITY    904034105       166     10,192  SH           Sole    1       10,192
UMB FINANCIAL CORP.                    EQUITY    902788108       375      7,255  SH           Sole    1        7,255
UMPQUA HOLDINGS CORP                   EQUITY    904214103       287     13,682  SH           Sole    1       13,682
UNIFIRST CORP.                         EQUITY    904708104       127      4,349  SH           Sole    1        4,349





                                                                                            
UNION BANKSHARES CORP                  EQUITY    905399101       116      3,674  SH           Sole    1        3,674
UNION PAC CORP                         EQUITY    907818108        18        310  SH        DEFINED    2          310
UNION PACIFIC CORP.                    EQUITY    907818108      6561    110,360  SH           Sole    1      110,360
UNION PLANTERS CORP                    EQUITY    908068109      2515     84,377  SH           Sole    1       84,377
UNION PLANTERS CORP                    EQUITY    908068109         7        228  SH        DEFINED    2          228
UNIONBANCAL CORP                       EQUITY    908906100        57      1,015  SH           Sole    1        1,015
UNISOURCE ENERGY CORP.                 EQUITY    909205106       408     16,420  SH           Sole    1       16,420
UNISYS CORP                            EQUITY    909214108         6        399  SH        DEFINED    2          399
UNISYS CORP.                           EQUITY    909214108      2054    148,016  SH           Sole    1      148,016
UNIT CORP.                             EQUITY    909218109       570     18,138  SH           Sole    1       18,138
UNITED AUTO GROUP, INC.                EQUITY    909440109       282      9,210  SH           Sole    1        9,210
UNITED BANKSHARES INC. WV              EQUITY    909907107       585     18,008  SH           Sole    1       18,008
UNITED CMNTY BKS BLAIR                 EQUITY    90984P105       344     13,678  SH           Sole    1       13,678
UNITED COMMUNITY FINANCIAL CO          EQUITY    909839102       169     12,986  SH           Sole    1       12,986
UNITED DEFENSE INDS IN                 EQUITY    91018B104        34        971  SH           Sole    1          971
UNITED DOMINION REALTY TRUST           EQUITY    910197102      4302    217,491  SH           Sole    1      217,491
UNITED FIRE & CASUALTY CO.             EQUITY    910331107       200      3,462  SH           Sole    1        3,462
UNITED INDUSTRIAL CORP                 EQUITY    910671106       119      5,105  SH           Sole    1        5,105
UNITED MICROELECTRONICS-ADR            EQUITY    910873207       349     80,913  SH           Sole    1       80,913
UNITED MOBILE HOMES INC                EQUITY    911024107        16      1,180  SH           Sole    1        1,180
UNITED NATURAL FOODS, INC.             EQUITY    911163103       551     19,044  SH           Sole    1       19,044
UNITED ONLINE INC                      EQUITY    911268100       451     25,603  SH           Sole    1       25,603
UNITED PANAM FINANCIAL CORP            EQUITY    911301109        38      2,220  SH           Sole    1        2,220
UNITED PARCEL SERVICE CLASS -B         EQUITY    911312106     39791    529,342  SH           Sole    1      529,342
UNITED PARCEL SVC INC                  EQUITY    911312106     23269    309,551  SH        DEFINED    2      309,551
UNITED RENTALS INC COM                 EQUITY    911363109        21    1174862  SH           Sole    3      1117284         57578
UNITED RENTALS, INC.                   EQUITY    911363109      2514    140,538  SH           Sole    1      140,538
UNITED STATES STEEL CORP               EQUITY    912909108      1766     50,272  SH           Sole    1       50,272
UNITED STATIONERS, INC.                EQUITY    913004107       647     16,281  SH           Sole    1       16,281
UNITED STS STL CORP NEW                EQUITY    912909108         5        136  SH        DEFINED    2          136
UNITED SURGICAL PARTNE                 EQUITY    913016309       534     13,520  SH           Sole    1       13,520
UNITED TECHNOLOGIES CORP               EQUITY    913017109     30739    336,016  SH        DEFINED    2      336,016
UNITED TECHNOLOGIES CORP.              EQUITY    913017109     19962    218,216  SH           Sole    1      218,216
UNITED THERAPEUTICS CORP.              EQUITY    91307C102       233      9,087  SH           Sole    1        9,087
UNITEDGLOBALCOM INC. CLASS A           EQUITY    913247508        52      7,208  SH           Sole    1        7,208
UNITEDHEALTH GROUP INC                 EQUITY    91324P102     20382    240,453  SH           Sole    1      240,453
UNITEDHEALTH GROUP INC                 EQUITY    91324P102        46        738  SH        DEFINED    2          738
UNITRIN, INC.                          EQUITY    913275103      4533    106,411  SH           Sole    1      106,411
UNIVERSAL AMER FINANCIAL CORP          EQUITY    913377107       140     12,713  SH           Sole    1       12,713
UNIVERSAL COMPRESSION HLDGS            EQUITY    913431102       254      8,273  SH           Sole    1        8,273
UNIVERSAL CORP.                        EQUITY    913456109      2608     51,190  SH           Sole    1       51,190
UNIVERSAL DISPLAY CORP.                EQUITY    91347P105       107     10,004  SH           Sole    1       10,004
UNIVERSAL ELECTRONICS INC.             EQUITY    913483103       113      6,487  SH           Sole    1        6,487
UNIVERSAL FOREST PRODUCTS, INC         EQUITY    913543104       243      7,580  SH           Sole    1        7,580
UNIVERSAL HEALTH REALTY INCOME         EQUITY    91359E105       210      7,316  SH           Sole    1        7,316
UNIVERSAL HEALTH SERVICES - B          EQUITY    913903100      4179     91,064  SH           Sole    1       91,064
UNIVERSAL TECH INST COM                EQUITY    913915104        10     250000  SH           Sole    3       247800          2200
UNIVERSAL TECHNICAL INSTITUT           EQUITY    913915104       272      6,796  SH           Sole    1        6,796
UNIVERSITY OF PHOENI                   EQUITY    037604204        30        343  SH           Sole    1          343
UNIVEST CORP OF PENNSYLVANIA           EQUITY    915271100       186      3,650  SH           Sole    1        3,650
UNIVISION COMMUNICATIONS I             EQUITY    914906102        12        388  SH        DEFINED    2          388
UNIVISION COMMUNICATIONS, INC.         EQUITY    914906102      4542    142,248  SH           Sole    1      142,248
UNIVISION COMMUNICATNS CL A            EQUITY    914906102         7     220400  SH           Sole    3       206700         13700
UNIZAN FINANCIAL CORP                  EQUITY    91528W101       273     10,464  SH           Sole    1       10,464
UNOCAL CORP                            EQUITY    915289102        12        316  SH        DEFINED    2          316
UNOCAL CORP.                           EQUITY    915289102      4448    117,049  SH           Sole    1      117,049
UNOVA, INC.                            EQUITY    91529B106       467     23,055  SH           Sole    1       23,055
UNUMPROVIDENT CORP                     EQUITY    91529Y106         6        355  SH        DEFINED    2          355
UNUMPROVIDENT CORP.                    EQUITY    91529Y106      2110    132,712  SH           Sole    1      132,712





                                                                                            
URBAN OUTFITTERS INC                   EQUITY    917047102      3192     52,400  SH        DEFINED    2       52,400
URBAN OUTFITTERS, INC.                 EQUITY    917047102        30        490  SH           Sole    1          490
UROLOGIX INC                           EQUITY    917273104       104      6,760  SH           Sole    1        6,760
URS CORP.                              EQUITY    903236107       413     15,082  SH           Sole    1       15,082
URSTADT BIDDLE [A]                     EQUITY    917286205       189     12,765  SH           Sole    1       12,765
US AIRWAYS GROUP INC-CL A              EQUITY    911905503        11      5,310  SH           Sole    1        5,310
US BANCORP DEL                         EQUITY    902973304     11409    413,971  SH        DEFINED    2      413,971
US CELLULAR                            EQUITY    911684108      6328    233,105  SH           Sole    1          538
US CONCRETE INC                        EQUITY    90333L102        72     10,166  SH           Sole    1       10,166
US ONCOLOGY, INC.                      EQUITY    90338W103      1294     87,879  SH           Sole    1       87,879
USANA HEALTH SCIENCES INC              EQUITY    90328M107       157      5,053  SH           Sole    1        5,053
USEC, INC                              EQUITY    90333E108       354     40,321  SH           Sole    1       40,321
USF CORP                               EQUITY    91729Q101       468     13,330  SH           Sole    1       13,330
USG CORP.                              EQUITY    903293405       272     15,494  SH           Sole    1       15,494
USI HOLDINGS CORP                      EQUITY    90333H101       268     16,952  SH           Sole    1       16,952
UST INC                                EQUITY    902911106         7        198  SH        DEFINED    2          198
UST INC.                               EQUITY    902911106     11671    324,206  SH           Sole    1      324,206
UTSTARCOM INC                          EQUITY    918076100      5409    178,798  SH           Sole    1      178,798
V F CORP                               EQUITY    918204108         6        132  SH        DEFINED    2          132
V. F. CORP.                            EQUITY    918204108      2356     48,377  SH           Sole    1       48,377
VAIL RESORTS, INC.                     EQUITY    91879Q109       181      9,439  SH           Sole    1        9,439
VALANCE TECHNOLOGY, INC                EQUITY    918914102        89     26,069  SH           Sole    1       26,069
VALASSIS COMMUNICATIONS, INC.          EQUITY    918866104      3228    105,955  SH           Sole    1      105,955
VALEANT PHARMACEUTICALS INTE           EQUITY    91911X104      3390    169,490  SH           Sole    1      169,490
VALERO ENERGY CORP                     EQUITY    91913Y100        11        154  SH        DEFINED    2          154
VALERO ENERGY CORP.                    EQUITY    91913Y100      4212     57,100  SH           Sole    1       57,100
VALHI INC                              EQUITY    918905100        56      4,884  SH           Sole    1        4,884
VALLEY NATIONAL BANC                   EQUITY    919794107        46      1,811  SH           Sole    1        1,811
VALMONT INDUSTRIES, INC.               EQUITY    920253101       158      6,917  SH           Sole    1        6,917
VALSPAR CORP.                          EQUITY    920355104      4023     79,830  SH           Sole    1       79,830
VALUE LINE, INC.                       EQUITY    920437100       390     10,849  SH           Sole    1       10,849
VALUECLICK INC.                        EQUITY    92046N102       456     38,022  SH           Sole    1       38,022
VALUEVISION MEDIA INC                  EQUITY    92047K107       113      8,641  SH           Sole    1        8,641
VANS, INC.                             EQUITY    921930103       989     48,133  SH           Sole    1       48,133
VARCO INTERNATIONAL                    EQUITY    922122106      3360    153,504  SH           Sole    1      153,504
VARIAN MEDICAL SYSTEMS INC             EQUITY    92220P105      8575    108,067  SH           Sole    1      108,067
VARIAN SEMICONDUCTOR EQUIPMENT         EQUITY    922207105       673     17,457  SH           Sole    1       17,457
VARIAN, INC.                           EQUITY    922206107      2983     70,773  SH           Sole    1       70,773
VAXGEN, INC.                           EQUITY    922390208       161     11,336  SH           Sole    1       11,336
VCA ANTECH INC                         EQUITY    918194101        30        673  SH           Sole    1          673
VECTOR GROUP LTD.                      EQUITY    92240M108       174     11,021  SH           Sole    1       11,021
VECTREN CORP                           EQUITY    92240G101      4420    176,177  SH           Sole    1      176,177
VEECO INSTRUMENTS, INC.                EQUITY    922417100       321     12,425  SH           Sole    1       12,425
VENTANA MEDICAL SYSTEMS, INC.          EQUITY    92276H106      1237     26,022  SH           Sole    1       26,022
VENTAS, INC.                           EQUITY    92276F100       316     13,525  SH           Sole    1       13,525
VENTIV HEALTH                          EQUITY    922793104       137      8,880  SH           Sole    1        8,880
VERINT SYSTEMS                         EQUITY    92343X100       192      5,621  SH           Sole    1        5,621
VERISIGN INC                           EQUITY    92343E102      4619    232,100  SH        DEFINED    2      232,100
VERISIGN, INC.                         EQUITY    92343E102       439     22,069  SH           Sole    1       22,069
VERITAS DGC, INC.                      EQUITY    92343P107       379     16,356  SH           Sole    1       16,356
VERITAS SOFTWARE CORP                  EQUITY    923436109        14        517  SH        DEFINED    2          517
VERITAS SOFTWARE CORP.                 EQUITY    923436109      6330    227,771  SH           Sole    1      227,771
VERITY INC COM                         EQUITY    92343C106       193     14,315  SH           Sole    1       14,315
VERIZON COMMUNICATIONS                 EQUITY    92343V104     83271  2,300,941  SH           Sole    1    2,300,941
VERIZON COMMUNICATIONS                 EQUITY    92343V104     12834    354,619  SH        DEFINED    2      354,619
Verizon Communications                 EQUITY    92343V104      1448     40,000  SH        DEFINED    4       40,000
VERSO TECHNOLOGIES INC                 EQUITY    925317109       109     63,917  SH           Sole    1       63,917
VERTEX PHARMACEUTICALS, INC.           EQUITY    92532F100      1720    158,689  SH           Sole    1      158,689
VESTA INSURANCE GROUP, INC.            EQUITY    925391104       112     17,345  SH           Sole    1       17,345





                                                                                            
VIACOM INC                             EQUITY    925524308        74      2,076  SH        DEFINED    2        2,076
VIACOM, INC. CLASS B                   EQUITY    925524308     72946  2,042,170  SH           Sole    1    2,042,170
VIAD CORP.                             EQUITY    92552R109      3758    139,137  SH           Sole    1      139,137
VIASAT, INC.                           EQUITY    92552V100       250     10,014  SH           Sole    1       10,014
VIASYS HEALTHCARE INC                  EQUITY    92553Q209       310     14,803  SH           Sole    1       14,803
VICOR CORP.                            EQUITY    925815102       168      9,194  SH           Sole    1        9,194
VICURON PHARMACEUTICALS                EQUITY    926471103       283     22,531  SH           Sole    1       22,531
VIGNETTE CORPORATION                   EQUITY    926734104       230    138,846  SH           Sole    1      138,846
VIISAGE TECHNOLOGY INC                 EQUITY    92675K106        96     10,995  SH           Sole    1       10,995
VIMPEL-COMMUNICATIONS-SP ADR           EQUITY    68370R109      2701     28,000  SH           Sole    1       28,000
VINTAGE PETROLEUM, INC.                EQUITY    927460105       415     24,448  SH           Sole    1       24,448
VION PHARMACEUTICALS INC               EQUITY    927624106       111     26,620  SH           Sole    1       26,620
VIRGINIA COMMERCE BANCORP              EQUITY    92778Q109        70      2,358  SH           Sole    1        2,358
VIRGINIA FINL CORP                     EQUITY    927810101       118      3,443  SH           Sole    1        3,443
VISHAY INTERTECHNOLOGY, INC.           EQUITY    928298108      4687    252,236  SH           Sole    1      252,236
VISTACARE INC-CL A                     EQUITY    92839Y109        80      4,326  SH           Sole    1        4,326
VISTEON CORP                           EQUITY    92839U107         2        155  SH        DEFINED    2          155
VISTEON CORP.                          EQUITY    92839U107      1370    117,431  SH           Sole    1      117,431
VISX, INC.                             EQUITY    92844S105      2633     98,527  SH           Sole    1       98,527
VITAL SIGNS, INC.                      EQUITY    928469105        78      2,699  SH           Sole    1        2,699
VITESSE SEMICONDUCTOR CORP             EQUITY    928497106      2222    455,400  SH        DEFINED    2      455,400
VITESSE SEMICONDUCTOR CORP.            EQUITY    928497106       509    104,380  SH           Sole    1      104,380
VOLT INFORMATION SCIENCES INC.         EQUITY    928703107       120      3,807  SH           Sole    1        3,807
Volvo AB-Sponsored ADR USD             EQUITY    928856400       398     11,370  SH           Sole    1       11,370
VORNADO                                EQUITY    929042109      1066     18,661  SH           Sole    1       18,661
VOTORANTIM CELULOSE - SPON ADR         EQUITY    92906P106      3688    115,974  SH           Sole    1      115,974
VULCAN MATERIALS CO.                   EQUITY    929160109      2155     45,325  SH           Sole    1       45,325
VULCAN MATLS CO                        EQUITY    929160109         6        122  SH        DEFINED    2          122
W HOLDING COMPANY INC.                 EQUITY    929251106        25      1,440  SH           Sole    1        1,440
W. R. BERKLEY CORP.                    EQUITY    084423102      5623    130,910  SH           Sole    1      130,910
W. W. GRAINGER, INC.                   EQUITY    384802104      2308     40,133  SH           Sole    1       40,133
Wabash National Corp                   EQUITY    929566107       276     10,000  SH        DEFINED    4       10,000
WABASH NATIONAL CORP.                  EQUITY    929566107       359     13,025  SH           Sole    1       13,025
WABTEC                                 EQUITY    929740108       345     19,100  SH           Sole    1       19,100
WACHOVIA CORP                          EQUITY    929903102     86533  1,944,565  SH           Sole    1    1,944,565
Wachovia Corp                          EQUITY    929566107      1780     40,000  SH        DEFINED    4       40,000
WACHOVIA CORP 2ND NEW                  EQUITY    929903102      3577     80,375  SH        DEFINED    2       80,375
WADDELL & REED FINANCIAL, INC.         EQUITY    930059100      2871    129,870  SH           Sole    1      129,870
WAL MART STORES INC                    EQUITY    931142103     26525    502,739  SH        DEFINED    2      502,739
WALGREEN CO                            EQUITY    931422109        44      1,228  SH        DEFINED    2        1,228
WALGREEN CO.                           EQUITY    931422109     15754    435,078  SH           Sole    1      435,078
WAL-MART STORES, INC.                  EQUITY    931142103    151970  2,880,394  SH           Sole    1    2,880,394
WALT DISNEY                            EQUITY    254687106     26113  1,024,439  SH           Sole    1    1,024,439
WALTER INDUSTRIES, INC.                EQUITY    93317Q105       170     12,462  SH           Sole    1       12,462
WARNACO GROUP INC                      EQUITY    934390402       470     22,075  SH           Sole    1       22,075
WASHINGTON FEDERAL I                   EQUITY    938824109      2962    123,424  SH           Sole    1      123,424
WASHINGTON GROUP INTL INC              EQUITY    938862208       435     12,127  SH           Sole    1       12,127
WASHINGTON MUT INC                     EQUITY    939322103        40      1,036  SH        DEFINED    2        1,036
WASHINGTON MUTUAL INC                  EQUITY    939322103     16949    438,646  SH           Sole    1      438,646
WASHINGTON POST CO. CLASS B            EQUITY    939640108     13874     14,918  SH           Sole    1       14,918
WASHINGTON REAL ESTATE INV.            EQUITY    939653101       763     25,984  SH           Sole    1       25,984
WASHINGTON TRUST BANCORP, INC.         EQUITY    940610108       165      6,361  SH           Sole    1        6,361
WASTE CONNECTIONS INC                  EQUITY    941053100      5868    197,850  SH        DEFINED    2      197,850
WASTE CONNECTIONS, INC.                EQUITY    941053100       639     21,542  SH           Sole    1       21,542
WASTE MANAGEMENT, INC.                 EQUITY    94106L109     29296    955,817  SH           Sole    1      955,817
WASTE MGMT INC DEL                     EQUITY    94106L109     13550    442,096  SH        DEFINED    2      442,096
WATCHGUARD TECH. INC.                  EQUITY    941105108       116     16,092  SH           Sole    1       16,092
WATCHGUARD TECHNOLOGIES IN             EQUITY    941105108      2885    399,600  SH        DEFINED    2      399,600
WATER PIK TECHNOLOGIES INC             EQUITY    94113U100        79      4,774  SH           Sole    1        4,774





                                                                                            
WATERS CORP                            EQUITY    941848103         7        143  SH        DEFINED    2          143
WATERS CORP.                           EQUITY    941848103      3090     64,677  SH           Sole    1       64,677
WATSCO, INC.                           EQUITY    942622200       300     10,705  SH           Sole    1       10,705
WATSON PHARMACEUTICALS INC             EQUITY    942683103         3        130  SH        DEFINED    2          130
WATSON PHARMACEUTICALS, INC            EQUITY    942683103     11163    414,986  SH           Sole    1      414,986
WATSON WYATT & CO HOLDINGS             EQUITY    942712100       413     15,486  SH           Sole    1       15,486
WATTS WATER TECHNOLOGIES INC., CLASS   EQUITY    942749102       311     11,528  SH           Sole    1       11,528
WAUSAU-MOSINEE PAPER CORP.             EQUITY    943315101       380     21,959  SH           Sole    1       21,959
WAYPOINT FINANCIAL CORP.               EQUITY    946756103       397     14,390  SH           Sole    1       14,390
WCI COMMUNITIES INC                    EQUITY    92923C104       363     16,275  SH           Sole    1       16,275
WD-40 CO.                              EQUITY    929236107       246      8,207  SH           Sole    1        8,207
WEATHERFORDNINTL LTD                   EQUITY    G95089101      9180    204,100  SH           Sole    1      204,100
WEBEX COMMUNICATIONS INC (USD)         EQUITY    94767L109       315     14,486  SH           Sole    1       14,486
WEBMD CORPORATION                      EQUITY    94769M105        59      6,287  SH           Sole    1        6,287
WEBMETHODS INC                         EQUITY    94768C108       191     22,245  SH           Sole    1       22,245
WEBSENSE INC                           EQUITY    947684106       411     11,031  SH           Sole    1       11,031
WEBSENSE INC                           EQUITY    947684106        30     800807  SH           Sole    3       776619         24188
WEBSTER FINANCIAL CORP.                EQUITY    947890109      3877     82,446  SH           Sole    1       82,446
WEIGHT WATCHERS INTL INC               EQUITY    948626106        34        875  SH           Sole    1          875
WEINGARTEN REALTY INVESTORS            EQUITY    948741103       429     13,723  SH           Sole    1       13,723
WEIS MARKETS INC                       EQUITY    948849104       189      5,401  SH           Sole    1        5,401
WELLCHOICE INC                         EQUITY    949475107        18        437  SH           Sole    1          437
WELLMAN, INC.                          EQUITY    949702104       125     15,336  SH           Sole    1       15,336
WELLPOINT HEALTH NETWORKS              EQUITY    94973H108        21        186  SH        DEFINED    2          186
WELLPOINT HEALTH NETWORKS INC.         EQUITY    94973H108     15790    140,967  SH           Sole    1      140,967
WELLS FARGO + CO NEW                   EQUITY    949746101      8534    149,122  SH        DEFINED    2      149,122
WELLS FARGO CO.                        EQUITY    949746101     49531    865,472  SH           Sole    1      865,472
WENDY'S INTERNATIONAL, INC.            EQUITY    950590109      1769     50,765  SH           Sole    1       50,765
WENDYS INTL INC                        EQUITY    950590109         5        137  SH        DEFINED    2          137
WERNER ENTERPRISES INC COM             EQUITY    950755108         8     376300  SH           Sole    3       372700          3600
WERNER ENTERPRISES, INC.               EQUITY    950755108      3097    146,758  SH           Sole    1      146,758
WESBANCO, INC.                         EQUITY    950810101       247      8,479  SH           Sole    1        8,479
WESCO FINANCIAL CORP                   EQUITY    950817106         9         24  SH           Sole    1           24
WESCO INTERNATIONAL, INC.              EQUITY    95082P105       159      8,623  SH           Sole    1        8,623
WEST BANCORPORATION                    EQUITY    95123P106       135      7,724  SH           Sole    1        7,724
WEST COAST BANCORP                     EQUITY    952145100       155      7,232  SH           Sole    1        7,232
WEST CORPORATION                       EQUITY    952355105        11        411  SH           Sole    1          411
WEST MARINE INC                        EQUITY    954235107       173      6,452  SH           Sole    1        6,452
WEST PHARMACEUTICAL SERVICES           EQUITY    955306105       302      7,129  SH           Sole    1        7,129
WESTAMERICA BANKCORPORATION            EQUITY    957090103      3465     66,067  SH           Sole    1       66,067
WESTAR ENERGY                          EQUITY    95709T100      2599    130,552  SH           Sole    1      130,552
WESTCORP                               EQUITY    957907108        20        441  SH           Sole    1          441
WESTELL TECHNOLOGIES INC-A             EQUITY    957541105       121     23,667  SH           Sole    1       23,667
WESTERN DIGITIAL CORP.                 EQUITY    958102105        34      3,976  SH           Sole    1        3,976
WESTERN GAS RES INC                    EQUITY    958259103        14     443300  SH           Sole    3       429700         13600
WESTERN GAS RESOURCES, INC.            EQUITY    958259103      3747    115,364  SH           Sole    1      115,364
WESTERN SIERRA BANCORP                 EQUITY    959522103        95      3,077  SH           Sole    1        3,077
WESTERN WIRELESS CORP. CLASS A         EQUITY    95988E204        47      1,625  SH           Sole    1        1,625
WESTFIELD FINANCIAL IN                 EQUITY    96008D101        48      2,344  SH           Sole    1        2,344
WESTWOOD ONE, INC.                     EQUITY    961815107      3737    157,023  SH           Sole    1      157,023
WEYCO GROUP INC                        EQUITY    962149100        44      1,305  SH           Sole    1        1,305
WEYERHAEUSER CO                        EQUITY    962166104        18        289  SH        DEFINED    2          289
WEYERHAEUSER CO.                       EQUITY    962166104      6480    102,660  SH           Sole    1      102,660
WFS FINANCIAL, INC.                    EQUITY    92923B106         6        129  SH           Sole    1          129
WGL HOLDINGS INC.                      EQUITY    92924F106      6499    226,305  SH           Sole    1      226,305
W-H ENERGY SERVICES INC                EQUITY    92925E108       231     11,763  SH           Sole    1       11,763
WHEELING-PITTSBURG CORP                EQUITY    963142302        60      2,886  SH           Sole    1        2,886
WHIRLPOOL CORP                         EQUITY    963320106         6         83  SH        DEFINED    2           83
WHIRLPOOL CORP.                        EQUITY    963320106      2105     30,685  SH           Sole    1       30,685





                                                                                            
WHITING PETROLEUM CORP                 EQUITY    966387102       215      8,545  SH           Sole    1        8,545
WHITNEY HOLDING CORP.                  EQUITY    966612103        33        737  SH           Sole    1          737
WHOLE FOODS MARKET I                   EQUITY    966837106      9587    100,436  SH           Sole    1      100,436
WILD OATS MARKETS, INC.                EQUITY    96808B107       205     14,586  SH           Sole    1       14,586
WILLIAMS COMPANIES, INC.               EQUITY    969457100      2745    230,687  SH           Sole    1      230,687
WILLIAMS COS INC                       EQUITY    969457100         7        623  SH        DEFINED    2          623
WILLIAMS SONOMA INC                    EQUITY    969904101     12162    369,000  SH        DEFINED    2      369,000
WILLIAMS SONOMA INC COM                EQUITY    969904101         6     176718  SH           Sole    3       155500         21218
WILLIAMS-SONOMA, INC.                  EQUITY    969904101      6084    184,602  SH           Sole    1      184,602
WILMINGTON TRUST CORP                  EQUITY    971807102      3864    103,805  SH           Sole    1      103,805
WILSHIRE FINANCIAL SVCS GRP            EQUITY    971867205        59      6,356  SH           Sole    1        6,356
WILSHIRE ST BANK-L.A. CALIF            EQUITY    97200A101        83      3,388  SH           Sole    1        3,388
WILSON GREATBATCH TECHNOLOGIES         EQUITY    972232102       287     10,276  SH           Sole    1       10,276
WIMM-BILL-DANN FOODS ADR               EQUITY    97263M109      1440    103,200  SH           Sole    1      103,200
WIND RIVER SYSTEMS INC.                EQUITY    973149107      1870    159,042  SH           Sole    1      159,042
WINN DIXIE STORES INC                  EQUITY    974280109         1        170  SH        DEFINED    2          170
WINN-DIXIE STORES, INC.                EQUITY    974280109       729    101,224  SH           Sole    1      101,224
WINNEBAGO INDUSTRIES, INC.             EQUITY    974637100       465     12,483  SH           Sole    1       12,483
WINSTON HOTELS INC                     EQUITY    97563A102       154     14,887  SH           Sole    1       14,887
WINTRUST FINANCIAL CORP                EQUITY    97650W108       492      9,733  SH           Sole    1        9,733
WIRELESS FACILITIES INC.               EQUITY    97653A103       224     22,780  SH           Sole    1       22,780
WISCONSIN ENERGY CORP.                 EQUITY    976657106      6080    186,446  SH           Sole    1      186,446
WITNESS SYSTEMS INC                    EQUITY    977424100       120      9,871  SH           Sole    1        9,871
WJ COMMUNICATIONS INC                  EQUITY    929284107        54     15,223  SH           Sole    1       15,223
WM. WRIGLEY JR. CO.                    EQUITY    982526105      6020     95,479  SH           Sole    1       95,479
WMS INDUSTRIES INC.                    EQUITY    929297109       278      9,339  SH           Sole    1        9,339
WOLVERINE WORLD WIDE, INC.             EQUITY    978097103       502     19,121  SH           Sole    1       19,121
WOODHEAD INDS INC COM                  EQUITY    979438108        89      5,822  SH           Sole    1        5,822
WOODWARD GOVERNOR CO.                  EQUITY    980745103       337      4,668  SH           Sole    1        4,668
WORLD ACCEPTANCE CORP.                 EQUITY    981419104       142      7,747  SH           Sole    1        7,747
WORLD FUEL SVCS CORP                   EQUITY    981475106       243      5,392  SH           Sole    1        5,392
WORLD WRESTLING ENTMNT                 EQUITY    98156Q108        82      6,419  SH           Sole    1        6,419
WORTHINGTON INDS IN                    EQUITY    981811102      2359    114,904  SH        DEFINED    2      114,904
WORTHINGTON INDUSTRIES, INC.           EQUITY    981811102       786     38,299  SH           Sole    1       38,299
WPS RESOURCES CORP.                    EQUITY    92931B106      2641     56,973  SH           Sole    1       56,973
WRIGHT MED GROUP INC                   EQUITY    98235T107       455     12,773  SH           Sole    1       12,773
WRIGHT MED GROUP INC COM               EQUITY    98235T107        10     277236  SH           Sole    3       266200         11036
WRIGLEY WM JR CO                       EQUITY    982526105     13398    212,504  SH        DEFINED    2      212,504
WSFS FINANCIAL CORP                    EQUITY    929328102       140      2,887  SH           Sole    1        2,887
WYETH                                  EQUITY    983024100     29435    814,011  SH           Sole    1      814,011
WYETH                                  EQUITY    983024100        58      1,598  SH        DEFINED    2        1,598
WYNDHAM INTERNATIONAL, INC.            EQUITY    983101106       200    200,000  SH           Sole    1      200,000
WYNN RESORTS LTD                       EQUITY    983134107        27        710  SH           Sole    1          710
XCEL ENERGY INC                        EQUITY    98389B100         8        478  SH        DEFINED    2          478
XCEL STATES POWER-MINES                EQUITY    98389B100      2962    177,235  SH           Sole    1      177,235
XEROX CORP                             EQUITY    984121103     14208    979,859  SH        DEFINED    2      979,859
XEROX CORP.                            EQUITY    984121103      5153    355,363  SH           Sole    1      355,363
XICOR INC                              EQUITY    984903104       214     14,148  SH           Sole    1       14,148
XILINX INC                             EQUITY    983919101        14        416  SH        DEFINED    2          416
XILINX, INC.                           EQUITY    983919101      6024    180,856  SH           Sole    1      180,856
XL CAPITAL LTD                         EQUITY    G98255105      5710    106,976  SH           Sole    1       58,924
XM SATTELLITE RADIO HOLDINGS           EQUITY    983759101        88      3,226  SH           Sole    1        3,226
X-RITE, INC.                           EQUITY    983857103       145      9,977  SH           Sole    1        9,977
XTO ENERGY CORP COM                    EQUITY    98385X106         5     180982  SH           Sole    3       167932         13050
XTO ENERGY INC                         EQUITY    98385X106     11793    395,886  SH           Sole    1      395,886
XTO ENERGY INC                         EQUITY    98385X106      6777    227,500  SH        DEFINED    2      227,500
XYBERNAUT CORP.                        EQUITY    984149104       145     85,053  SH           Sole    1       85,053
YAHOO INC                              EQUITY    984332106     27342    752,614  SH        DEFINED    2      752,614
YAHOO!, INC.                           EQUITY    984332106     22593    620,674  SH           Sole    1      620,674





                                                                                            
YANKEE CANDLE INC                      EQUITY    984757104      4306    147,200  SH        DEFINED    2      147,200
YARDVILLE NATL BANCORP                 EQUITY    985021104       101      4,039  SH           Sole    1        4,039
YELLOW ROADWAY CORP                    EQUITY    985577105        35        871  SH           Sole    1          871
YORK INTERNATIONAL CORP.               EQUITY    986670107      3375     82,176  SH           Sole    1       82,176
YOUNG BROADCASTING, INC. CLASS A       EQUITY    987434107       102      7,777  SH           Sole    1        7,777
YOUNG INNOVATIONS INC                  EQUITY    987520103        57      2,260  SH           Sole    1        2,260
YPF S.A.-Sponsored ADR                 EQUITY    984245100       265      9,000  SH           Sole    1        9,000
YUM BRANDS INC                         EQUITY    988498101        13        347  SH        DEFINED    2          347
Yum Brands Inc                         EQUITY    988498101      1861     50,000  SH        DEFINED    4       50,000
YUM! BRANDS INC                        EQUITY    988498101      4807    129,157  SH           Sole    1      129,157
ZALE CORP.                             EQUITY    988858106       695     25,508  SH           Sole    1       25,508
ZEBRA TECHNOLOGIES CORP. CLASS A       EQUITY    989207105      6501     74,721  SH           Sole    1       74,721
ZEBRA TECHNOLOGIES CP CL A             EQUITY    989207105         9     107500  SH           Sole    3       100850          6650
ZENITH NATIONAL INSURANCE CORP         EQUITY    989390109       249      5,119  SH           Sole    1        5,119
ZHONE TECHNOLOGIES INC NEW             EQUITY    98950P108        85     21,754  SH           Sole    1       21,754
ZILA INC                               EQUITY    989513205       107     21,804  SH           Sole    1       21,804
ZIMMER HOLDINGS INC                    EQUITY    98956P102      9136    103,582  SH           Sole    1      103,582
ZIMMER HOLDINGS INC                    EQUITY    98956P102        26        292  SH        DEFINED    2          292
ZIONS BANCORP                          EQUITY    989701107         7        107  SH        DEFINED    2          107
ZIONS BANCORPORATION                   EQUITY    989701107      2446     39,812  SH           Sole    1       39,812
ZIXIT CORP.                            EQUITY    98974P100        79     10,025  SH           Sole    1       10,025
ZOLL MEDICAL CORP.                     EQUITY    989922109       155      4,423  SH           Sole    1        4,423
ZORAN CORP.                            EQUITY    98975F101       377     20,547  SH           Sole    1       20,547
ZYGO CORP.                             EQUITY    989855101        96      8,592  SH           Sole    1        8,592
ZYMOGENETICS INC                       EQUITY    98985T109       177      9,332  SH           Sole    1        9,332