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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: September 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        November 12, 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: 4,023



Form 13F Information Table Value Total: $16,617,830 (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    CUSIP    VALUE     SHARES/  SH/ PUT/ INVESTMENT OTHER     (A)       (B)       (C)
        NAME OF ISSUER                 CLASS      NUMBER  (X1000)  PRINCIPAL  PN  CALL DISCRETION MGRS     SOLE      SHARED    NONE
                                                          -------  ---------- --- ---- ---------- ----- ---------- ---------- ------
                                                                                             
1-800 CONTACTS INC                     EQUITY   681977104      60       3,959 SH        sole        1        3,959
1-800-FLOWERS. COM INC                 EQUITY   68243Q106     100      12,074 SH        sole        1       12,074
1ST SOURCE CORP.                       EQUITY   336901103     165       6,417 SH        sole        1        6,417
21ST CENTURY INSURANCE COMPANY         EQUITY   90130N103  713499  53,445,620 SH        sole        1   53,445,620
21ST CENTURY INSURANCE COMPANY         EQUITY   90130N103     161      12,058 SH        sole        1       12,058
24/7 REAL MEDIA INC                    EQUITY   901314203      45      11,842 SH        sole        1       11,842
3COM CORP.                             EQUITY   885535104    2741     649,496 SH        sole        1      649,496
3M                                     EQUITY   88579Y101    2639      33,000 SH        sole        4       33,000
3M CO                                  EQUITY   88579Y101   37056     463,374 SH        sole        1      463,374
3M CO                                  EQUITY   88579Y101     106       1,322 SH        defined     2                   1,322
4KIDS ENTERTAINMENT INC                EQUITY   350865101     152       7,533 SH        sole        1        7,533
7-ELEVEN INC.                          EQUITY   817826209      11         543 SH        sole        1          543
99 CENTS ONLY STORES                   EQUITY   65440K106    1990     139,875 SH        sole        1      139,875
A C MOORE ARTS & CRAFT                 EQUITY   00086T103     185       7,485 SH        sole        1        7,485
A.G. EDWARDS, INC.                     EQUITY   281760108    4531     130,864 SH        sole        1      130,864
A.S.V. INC                             EQUITY   001963107     159       4,247 SH        sole        1        4,247
AAON INC                               EQUITY   000360206      83       4,749 SH        sole        1        4,749
AAR CORP.                              EQUITY   000361105     219      17,567 SH        sole        1       17,567
AARON RENTS INC COM                    EQUITY   002535201       6     279,847 SH        sole        3      270,402             9,445
AARON RENTS, INC.                      EQUITY   002535201     450      20,660 SH        sole        1       20,660
ABAXIS INC                             EQUITY   002567105     124       9,512 SH        sole        1        9,512
ABBEY NATIONAL PLC                     CorpBond 002920809   30332   1,139,600 SH        sole        1        1,140
Abbey National PLC 7.375%              EQUITY   002920809    2797     105,000 SH        sole        4      105,000
ABBOTT JAPAN                           EQUITY   771340II9     700  76,000,000 SH        defined     2              76,000,000
ABBOTT LABORATORIES                    EQUITY   002824100   28215     666,069 SH        sole        1      666,069
Abbott Labs                            EQUITY   002824100    1059      25,000 SH        sole        4       25,000
ABBOTT LABS                            EQUITY   002824100   19349     456,815 SH        defined     2                 456,815
ABC BANCORP                            EQUITY   000400101     107       5,320 SH        sole        1        5,320
ABERCROMBIE AND FITCH CO.              EQUITY   002896207    4912     155,936 SH        sole        1      155,936
ABGENIX INC                            EQUITY   00339B107     986     100,000 SH        defined     2                 100,000
ABGENIX, INC.                          EQUITY   00339B107     437      44,275 SH        sole        1       44,275
ABIOMED, INC.                          EQUITY   003654100      73       8,300 SH        sole        1        8,300
ABLE LABORATORIES INC                  EQUITY   00371N407     178       9,274 SH        sole        1        9,274
ABLE LABORATORIES INC COM NEW          EQUITY   00371N407       3     168,400 SH        sole        3      168,400
ABM INDUSTRIES, INC.                   EQUITY   000957100     412      20,459 SH        sole        1       20,459
ACADIA REALTY TRUST                    EQUITY   004239109     246      16,666 SH        sole        1       16,666
ACCELRYS INC                           EQUITY   00430U103      87      13,273 SH        sole        1       13,273
ACCENTURE LTD BERMUDA                  EQUITY   G1150G111     641      23,700 SH        defined     2                  23,700
Accenture Ltd Class A USD 0.00002      EQUITY   G1150G111   19891     735,340 SH        sole        1      735,340
ACCREDITED HOME LENDERS                EQUITY   00437P107     343       8,906 SH        sole        1        8,906
ACCREDO HEALTH INC.                    EQUITY   00437V104      25       1,040 SH        sole        1        1,040
ACE CASH EXPRESS INC                   EQUITY   004403101     128       4,909 SH        sole        1        4,909
ACE LTD                                EQUITY   G0070K103    4841     120,834 SH        sole        1      120,834
ACE LTD                                EQUITY   G0070K103      13         324 SH        defined     2                     324
ACETO CORP                             EQUITY   004446100     125       8,692 SH        sole        1        8,692
ACTEL CORP.                            EQUITY   004934105     213      14,024 SH        sole        1       14,024
ACTION PERFORMANCE CO., INC.           EQUITY   004933107      85       8,430 SH        sole        1        8,430
ACTIVCARD CORP                         EQUITY   00506J107     141      22,994 SH        sole        1       22,994
ACTIVISION, INC.                       EQUITY   004930202    3166     228,267 SH        sole        1      228,267
ACTUANT CORP                           EQUITY   00508X203     532      12,916 SH        sole        1       12,916
ACTUATE CORP.                          EQUITY   00508B102      99      28,174 SH        sole        1       28,174
ACUITY BRANDS INC                      EQUITY   00508Y102     551      23,201 SH        sole        1       23,201
ACXIOM CORP.                           EQUITY   005125109    3367     141,823 SH        sole        1      141,823
ADAPTEC, INC.                          EQUITY   00651F108     452      59,433 SH        sole        1       59,433





                                                                                              
ADC TELECOMMUNICATIONS INC             EQUITY   000886101       2         922 SH        defined     2                     922
ADC TELECOMMUNICATIONS, INC            EQUITY   000886101    1000     552,460 SH        sole        1      552,460
ADE CORP.                              EQUITY   00089C107      88       5,149 SH        sole        1        5,149
ADESA INC                              EQUITY   00686U104    2569     156,348 SH        sole        1      156,348
ADMINISTAFF, INC.                      EQUITY   007094105     138      11,784 SH        sole        1       11,784
ADOBE SYS INC                          EQUITY   00724F101   13687     276,673 SH        defined     2                 276,673
ADOBE SYSTEMS INC.                     EQUITY   00724F101   16282     329,128 SH        sole        1      329,128
ADOLOR CORPORATION                     EQUITY   00724X102     238      21,140 SH        sole        1       21,140
ADTRAN INC                             EQUITY   00738A106     435      19,200 SH        defined     2                  19,200
ADTRAN, INC.                           EQUITY   00738A106    2973     131,064 SH        sole        1      131,064
ADVANCE AUTO PARTS                     EQUITY   00751Y106      52       1,523 SH        sole        1        1,523
Advance Auto Parts                     EQUITY   00751Y106    1032      30,000 SH        sole        4       30,000
ADVANCED DIGITAL INFO CORP.            EQUITY   007525108     304      34,959 SH        sole        1       34,959
ADVANCED ENERGY INDUSTRIES             EQUITY   007973100     107      11,541 SH        sole        1       11,541
ADVANCED FIBRE COMMUNICATIONS          EQUITY   00754A105    5914     371,947 SH        sole        1      371,947
ADVANCED MARKETING SERV. INC.          EQUITY   00753T105      84       7,755 SH        sole        1        7,755
ADVANCED MEDICAL OPTIC COM             EQUITY   00763M108       9     219,300 SH        sole        3      214,800             4,500
ADVANCED MEDICAL OPTICS                EQUITY   00763M108     769      19,425 SH        sole        1       19,425
ADVANCED MICRO DEVICES, INC.           EQUITY   007903107    2057     158,229 SH        sole        1      158,229
ADVANCED NEUROMODULATION S             EQUITY   00757T101    3914     129,205 SH        defined     2                 129,205
ADVANCES NEUROMODULATIONS SYS          EQUITY   00757T101     332      10,941 SH        sole        1       10,941
ADVANCIS PHARMACEUTICAL                EQUITY   00764L109      42       5,141 SH        sole        1        5,141
ADVANTA CORP [B]                       EQUITY   007942204     259      10,698 SH        sole        1       10,698
ADVENT SOFTWARE, INC.                  EQUITY   007974108    1129      67,058 SH        sole        1       67,058
ADVISORY BRD CO                        EQUITY   00762W107     324       9,637 SH        sole        1        9,637
ADVO, INC.                             EQUITY   007585102     511      16,527 SH        sole        1       16,527
AEROFLEX, INC                          EQUITY   007768104     380      35,943 SH        sole        1       35,943
AEROPOSTALE INC                        EQUITY   007865108    3186     121,597 SH        sole        1      121,597
AES CORP                               EQUITY   00130H105       7         737 SH        defined     2                     737
AES DRAX ENERGY LTD                    EQUITY   00130H105    3375     337,853 SH        sole        1      337,853
AETNA INC                              EQUITY   00817Y108   16156     161,675 SH        defined     2                 161,675
AETNA INC-NEW                          EQUITY   00817Y108   22691     227,065 SH        sole        1      227,065
AFFILIATED COMPUTER SERVICES CLASS A   EQUITY   008190100    3557      63,892 SH        sole        1       63,892
AFFILIATED COMPUTER SVCS I             EQUITY   008190100       8         146 SH        defined     2                     146
AFFILIATED MANAGERS CORP               EQUITY   008252108      11     206,840 SH        sole        3      202,600             4,240
AFFILIATED MANAGERS GROUP              EQUITY   008252108     710      13,268 SH        sole        1       13,268
AFFIRMATIVE INSURANCE HOLDIN           EQUITY   008272106      81       5,121 SH        sole        1        5,121
AFFORDABLE RESIDENTIAL COMMU           EQUITY   008273104    1145      78,453 SH        sole        1       78,453
AFFYMETRIX INC                         EQUITY   00826T108      40       1,297 SH        sole        1        1,297
AFLAC INC                              EQUITY   001055102      23         578 SH        defined     2                     578
AFLAC, INC.                            EQUITY   001055102   15112     385,408 SH        sole        1      385,408
AFTERMARKET TECHNOLOGY                 EQUITY   008318107      80       6,377 SH        sole        1        6,377
AGCO CORP.                             EQUITY   001084102    3370     149,002 SH        sole        1      149,002
AGERE SYSTEMS INC-CL B W/I             EQUITY   00845V209      35      34,697 SH        sole        1       34,697
AGILE SOFTWARE CORP.                   EQUITY   00846X105     225      28,415 SH        sole        1       28,415
AGILENT TECHNOLOGIES INC               EQUITY   00846U101      12         554 SH        defined     2                     554
AGILENT TECHNOLOGIES INC.              EQUITY   00846U101    4528     209,944 SH        sole        1      209,944
AGILYSYS INC                           EQUITY   00847J105     270      15,642 SH        sole        1       15,642
AGL RESOURCES, INC.                    EQUITY   001204106    4299     139,705 SH        sole        1      139,705
AIR PRODS + CHEMS INC                  EQUITY   009158106     400       7,359 SH        defined     2                   7,359
AIR PRODUCTS AND CHEMICALS INC         EQUITY   009158106    5513     101,379 SH        sole        1      101,379
AIRGAS, INC.                           EQUITY   009363102    3716     154,372 SH        sole        1      154,372
AIRGATE PCS INC                        EQUITY   009367301    1754      89,500 SH        defined     2                  89,500
AIRSPAN NETWORKS INC                   EQUITY   00950H102      91      16,765 SH        sole        1       16,765
AIRTRAN HOLDINGS, INC.                 EQUITY   00949P108    1847     185,432 SH        sole        1      185,432
AK STEEL CORP.                         EQUITY   001547108     483      59,222 SH        sole        1       59,222





                                                                                             
AKAMAI TECHNOLOGIES INC.               EQUITY   00971T101      32       2,290 SH        sole        1        2,290
AKSYS LTD                              EQUITY   010196103      21       4,386 SH        sole        1        4,386
ALABAMA NATIONAL BANCORP               EQUITY   010317105     426       7,119 SH        sole        1        7,119
ALADDIN KNOWLEDGE SYS ORD (F)          EQUITY   M0392N101      13     601,900 SH        sole        3      587,300            14,600
ALAMOSA HOLDINGS INC.                  EQUITY   011589108     307      40,204 SH        sole        1       40,204
ALASKA AIR GROUP, INC.                 EQUITY   011659109    1484      59,902 SH        sole        1       59,902
ALASKA COMM. SYS. HLDGS., INC.         EQUITY   01167P101      30       5,354 SH        sole        1        5,354
ALBANY INTERNATIONAL CORP. CLASS A     EQUITY   012348108     426      14,284 SH        sole        1       14,284
ALBANY MOLECULAR                       EQUITY   012423109     121      12,649 SH        sole        1       12,649
ALBEMARLE CORP.                        EQUITY   012653101    2988      85,153 SH        sole        1       85,153
ALBERTO CULVER CO                      EQUITY   013068101       4         103 SH        defined     2                     103
ALBERTO-CULVER CO. CLASS B             EQUITY   013068101    1954      44,948 SH        sole        1       44,948
ALBERTSONS INC                         EQUITY   013104104   12668     529,360 SH        defined     2                 529,360
ALBERTSON'S, INC.                      EQUITY   013104104    3925     164,007 SH        sole        1      164,007
ALCOA INC                              EQUITY   013817101     581      17,291 SH        defined     2                  17,291
ALCOA, INC.                            EQUITY   013817101   13748     409,286 SH        sole        1      409,286
ALDERWOODS GROUP INC                   EQUITY   014383103     214      21,790 SH        sole        1       21,790
ALEXANDER & BALDWIN, INC.              EQUITY   014482103    3145      92,662 SH        sole        1       92,662
ALEXANDER'S, INC.                      EQUITY   014752109     207       1,039 SH        sole        1        1,039
ALEXANDRIA REAL ESTATE EQUITIE         EQUITY   015271109     838      12,747 SH        sole        1       12,747
ALEXION PHARMACEUTICLAS, INC.          EQUITY   015351109     265      14,722 SH        sole        1       14,722
ALFA CORP.                             EQUITY   015385107     251      17,981 SH        sole        1       17,981
ALICO INC                              EQUITY   016230104      83       1,948 SH        sole        1        1,948
ALIGN TECHNOLOGY INC                   EQUITY   016255101     433      28,353 SH        sole        1       28,353
ALIGN TECHNOLOGY INC                   EQUITY   016255101    1377      90,100 SH        defined     2                  90,100
ALKERMES INC                           EQUITY   01642T108     564      48,836 SH        sole        1       48,836
ALLEGHANY CORP                         EQUITY   017175100      26          94 SH        sole        1           94
ALLEGHENY ENERGY INC                   EQUITY   017361106       2         145 SH        defined     2                     145
ALLEGHENY ENERGY, INC.                 EQUITY   017361106     904      56,627 SH        sole        1       56,627
ALLEGHENY TECHNOLOGIES INC             EQUITY   01741R102       2         109 SH        defined     2                     109
ALLEGHENY TECHNOLOGIES, INC.           EQUITY   01741R102    1684      92,249 SH        sole        1       92,249
ALLERGAN INC                           EQUITY   018490102      11         150 SH        defined     2                     150
ALLERGAN, INC.                         EQUITY   018490102   35425     488,280 SH        sole        1      488,280
ALLETE INC.                            EQUITY   018522300    5042     155,136 SH        sole        1      155,136
ALLIANCE DATA SYS CORP COM             EQUITY   018581108       9     218,228 SH        sole        3      207,500            10,728
ALLIANCE DATA SYSTEMS                  EQUITY   018581108    5377     132,561 SH        sole        1      132,561
ALLIANCE GAMING CORP                   EQUITY   01859P609     422      28,015 SH        sole        1       28,015
ALLIANCE IMAGING INC                   EQUITY   018606202      51       6,848 SH        sole        1        6,848
ALLIANCE SEMICONDUCTOR CORP.           EQUITY   01877H100      38      11,115 SH        sole        1       11,115
ALLIANT ENERGY CORP.                   EQUITY   018802108    4648     186,818 SH        sole        1      186,818
ALLIANT TECHSYSTEMS INC                EQUITY   018804104    3756      62,082 SH        sole        1       62,082
ALLIANT TECHSYSTEMS INC                EQUITY   018804104   14278     236,000 SH        defined     2                 236,000
ALLIED CAPITAL CORP                    EQUITY   01903Q108      65       2,668 SH        sole        1        2,668
ALLIED WASTE INDUSTRIES IN             EQUITY   019589308       3         363 SH        defined     2                     363
ALLIED WASTE INDUSTRIES, INC.          EQUITY   019589308    1249     141,144 SH        sole        1      141,144
ALLMERICA FINANCIAL CORP               EQUITY   019754100    2362      87,873 SH        sole        1       87,873
ALLOS THERAPEUTICS INC                 EQUITY   019777101      18       8,294 SH        sole        1        8,294
ALLOY ONLINE, INC                      EQUITY   019855105      68      17,931 SH        sole        1       17,931
ALLSCRIPTS HEALTHCARE SOLUTION         EQUITY   01988P108     134      14,909 SH        sole        1       14,909
ALLSTATE CORP                          EQUITY   020002101    4131      86,090 SH        defined     2                  86,090
ALLSTATE CORP.                         EQUITY   020002101   31294     652,098 SH        sole        1      652,098
ALLTEL CORP                            EQUITY   020039103    1958      35,651 SH        defined     2                  35,651
ALLTEL CORP.                           EQUITY   020039103    7936     144,531 SH        sole        1      144,531
ALPHARMA INC. CLASS A                  EQUITY   020813101     391      21,395 SH        sole        1       21,395
ALTERA CORP                            EQUITY   021441100     437      22,324 SH        defined     2                  22,324
ALTERA CORP.                           EQUITY   021441100    3986     203,654 SH        sole        1      203,654





                                                                                             
ALTIRIS INC                            EQUITY   02148M100     358      11,323 SH        sole        1       11,323
ALTRIA GROUP INC                       EQUITY   02209S103   66648   1,416,836 SH        sole        1    1,416,836
ALTRIA GROUP INC                       EQUITY   02209S103   22306     474,200 SH        defined     2                 474,200
ALVARION LTD                           EQUITY   M0861T100    3403     263,000 SH        defined     2                 263,000
ALVARION LTD SHS (F)                   EQUITY   M0861T100       8     641,332 SH        sole        3      621,400            19,932
AMAZON COM INC                         EQUITY   023135106    3710      90,800 SH        defined     2                  90,800
AMAZON. COM, INC.                      EQUITY   023135106     801      19,610 SH        sole        1       19,610
AMB PROPERTY CORP                      EQUITY   00163T109    5397     145,785 SH        sole        1      145,785
AMBAC FINANCIAL GROUP INC.             EQUITY   023139108    3866      48,349 SH        sole        1       48,349
AMBAC FINL GROUP INC                   EQUITY   023139108    1033      12,924 SH        defined     2                  12,924
AMBASSADORS GROUP INC                  EQUITY   023177108     118       4,358 SH        sole        1        4,358
AMC ENTERTAINMENT, INC.                EQUITY   001669100    1623      84,820 SH        sole        1       84,820
AMCOL INTERNATIONAL CORP.              EQUITY   02341W103     224      11,731 SH        sole        1       11,731
AMCORE FINANCIAL, INC.                 EQUITY   023912108     388      13,666 SH        sole        1       13,666
AMDOCS LIMITED                         EQUITY   G02602103    5649     258,780 SH        sole        1      258,780
AMEDISYS INC                           EQUITY   023436108     178       5,934 SH        sole        1        5,934
AMEDISYS INC COM                       EQUITY   023436108       1      45,000 SH        sole        3       45,000
AMERADA HESS CORP                      EQUITY   023551104    4885      54,893 SH        sole        1       54,893
AMERADA HESS CORP                      EQUITY   023551104       9         104 SH        defined     2                     104
AMERCO, INC.                           EQUITY   023586100     192       5,068 SH        sole        1        5,068
Ameren                                 EQUITY   023608102    4846     105,000 SH        sole        4      105,000
AMEREN CORP                            EQUITY   023608102      10         221 SH        defined     2                     221
AMEREN CORP.                           EQUITY   023608102   12604     273,104 SH        sole        1      273,104
AMERICA MOVIL S A DEC V                EQUITY   02364W105     242       6,200 SH        defined     2                   6,200
AMERICA MOVIL SA ADR EACH R            EQUITY   02364W105    6628     174,290 SH        sole        1      174,290
AMERICA SERVICE GROUP INC              EQUITY   02364L109     158       3,860 SH        sole        1        3,860
AMERICAN AXLE & MFG HOLDINGS           EQUITY   024061103      25         852 SH        sole        1          852
AMERICAN CAMPUS COMMUNITIES            EQUITY   024835100     122       6,592 SH        sole        1        6,592
AMERICAN CAP. STRATEGIES, INC.         EQUITY   024937104      53       1,704 SH        sole        1        1,704
AMERICAN EAGLE OUTFITTERS              EQUITY   02553E106    4346     117,934 SH        sole        1      117,934
AMERICAN ELEC PWR INC                  EQUITY   025537101      14         451 SH        defined     2                     451
AMERICAN ELECTRIC POWER, INC.          EQUITY   025537101   27886     872,541 SH        sole        1      872,541
AMERICAN EQUITY INVT LIFE HL           EQUITY   025676206     111      11,714 SH        sole        1       11,714
AMERICAN EXPRESS CO                    EQUITY   025816109   27361     531,685 SH        defined     2                 531,685
AMERICAN EXPRESS CO.                   EQUITY   025816109   53980   1,048,965 SH        sole        1    1,048,965
AMERICAN FINANCIAL GROUP, INC.         EQUITY   025932104    3609     120,749 SH        sole        1      120,749
AMERICAN FINANCIAL REALTY TR           EQUITY   02607P305    1018      72,167 SH        sole        1       72,167
AMERICAN FIRST MORTGAGE INVES          EQUITY   55272X102    2993     325,020 SH        sole        1      325,020
AMERICAN GREETINGS CORP. CLASS A       EQUITY   026375105    3662     145,773 SH        sole        1      145,773
AMERICAN HEALTHWAYS INC                EQUITY   02649V104     459      15,754 SH        sole        1       15,754
AMERICAN HOME MORTGAGE INVESTMENT COR  EQUITY   02660R107     528      18,908 SH        sole        1       18,908
AMERICAN INTL GROUP INC                EQUITY   026874107     746      10,970 SH        defined     2                  10,970
AMERICAN INTL GRP INC COM              EQUITY   026874107  159571   2,346,976 SH        sole        1    2,346,976
AMERICAN ITALIAN PASTA CO. CLASS A     EQUITY   027070101     229       8,741 SH        sole        1        8,741
AMERICAN LAND LEASE INC                EQUITY   027118108      16         820 SH        sole        1          820
AMERICAN MED SEC GROUP                 EQUITY   02744P101     207       6,462 SH        sole        1        6,462
AMERICAN MEDICAL SYSTEMS HOLDI         EQUITY   02744M108     499      13,746 SH        sole        1       13,746
AMERICAN NATIONAL IN                   EQUITY   028591105      16         161 SH        sole        1          161
AMERICAN PHARMACEUTICA                 EQUITY   02886P109      11         410 SH        sole        1          410
AMERICAN PHYSICIANS CAPITAL IN         EQUITY   028884104     142       4,632 SH        sole        1        4,632
AMERICAN POWER CONVERSION              EQUITY   029066107    1800     103,512 SH        sole        1      103,512
AMERICAN PWR CONVERSION CO             EQUITY   029066107       4         228 SH        defined     2                     228
AMERICAN SCIENCE &ENGR COM             EQUITY   029429107       3      87,500 SH        sole        3       87,500
AMERICAN STANDARD COMPANIES            EQUITY   029712106    3687      94,768 SH        sole        1       94,768
AMERICAN STATES WATER CO.              EQUITY   029899101     207       8,306 SH        sole        1        8,306
AMERICAN STD COS INC DEL               EQUITY   029712106       9         244 SH        defined     2                     244





                                                                                             
AMERICAN SUPERCONDUCTOR CORP           EQUITY   030111108     165      13,285 SH        sole        1       13,285
AMERICAN TOWER CORP                    EQUITY   029912201   60711   3,955,133 SH        sole        1    3,955,133
AMERICAN TOWER CORP                    EQUITY   029912201     470      30,600 SH        defined     2                  30,600
AMERICAN VANGUARD CORP                 EQUITY   030371108      97       2,725 SH        sole        1        2,725
AMERICAN WEST HOLDINGS CORP. CLASS B   EQUITY   023657208     103      19,132 SH        sole        1       19,132
AMERICAN WOODMARK CORP.                EQUITY   030506109     216       5,834 SH        sole        1        5,834
AMERICANWEST BANCORPORATION            EQUITY   03058P109     105       5,562 SH        sole        1        5,562
AMERICA'S CAR-MART INC                 EQUITY   03062T105     103       3,061 SH        sole        1        3,061
AMERICREDIT CORP.                      EQUITY   03060R101    5426     259,865 SH        sole        1      259,865
AMERIGROUP CORP                        EQUITY   03073T102     758      13,480 SH        sole        1       13,480
AMERISOURCEBERGEN CO                   EQUITY   03073E105    4224      78,646 SH        sole        1       78,646
AMERISOURCEBERGEN CORP                 EQUITY   03073E105       7         128 SH        defined     2                     128
AMERISTAR CASINOS                      EQUITY   03070Q101     188       6,215 SH        sole        1        6,215
AMERITRADE HLDG CORP NEW               EQUITY   03074K100    5433     452,400 SH        defined     2                 452,400
AMERITRADE HOLDING CORP - CL A         EQUITY   03074K100      58       4,839 SH        sole        1        4,839
AMERN EAGLE OUTFIT NEW COM             EQUITY   02553E106      20     546,932 SH        sole        3      528,300            18,632
AMERON, INC.                           EQUITY   030710107     147       4,472 SH        sole        1        4,472
AMERUS GROUP CO.                       EQUITY   03072M108    3490      85,122 SH        sole        1       85,122
AMETEK INC NEW                         EQUITY   031100100    7665     252,800 SH        defined     2                 252,800
AMETEK, INC.                           EQUITY   031100100    3411     112,505 SH        sole        1      112,505
AMGEN INC                              EQUITY   031162100   22161     751,166 SH        defined     2                 751,166
Amgen Inc.  USD0.0001                  EQUITY   031162100   80434   1,415,834 SH        sole        1    1,415,834
AMIS HOLDINGS INC                      EQUITY   031538101     230      17,000 SH        sole        1       17,000
AMKOR TECHNOLOGY, INC                  EQUITY   031652100       8       2,076 SH        sole        1        2,076
AMLI RESIDENTIAL PROPERTIES            EQUITY   001735109     509      16,655 SH        sole        1       16,655
AMN HEALTHCARE SERVICE                 EQUITY   001744101      75       6,251 SH        sole        1        6,251
AMPHENOL CORP. CLASS A                 EQUITY   032095101    4987     145,574 SH        sole        1      145,574
AMR CORP.                              EQUITY   001765106   15363   2,095,874 SH        sole        1    2,095,874
Amsouth Bancorp                        EQUITY   032165102    1708      70,000 SH        sole        4       70,000
AMSOUTH BANCORPORATION                 EQUITY   032165102    3849     157,738 SH        sole        1      157,738
AMSOUTH BANCORPORATION                 EQUITY   032165102      10         403 SH        defined     2                     403
AMSURG CORP CL A                       EQUITY   03232P405     349      16,473 SH        sole        1       16,473
AMX CORP NEW COM                       EQUITY   00180C105      10     563,900 SH        sole        3      558,200             5,700
AMYLIN PHARMACEUTICALS, INC.           EQUITY   032346108      41       2,015 SH        sole        1        2,015
ANADARKO PETE CORP                     EQUITY   032511107     503       7,585 SH        defined     2                   7,585
ANADARKO PETROLEUM CORP.               EQUITY   032511107    8061     121,475 SH        sole        1      121,475
ANALOG DEVICES INC                     EQUITY   032654105   12097     311,931 SH        defined     2                 311,931
Analog Devices USD0.167                EQUITY   032654105   19359     499,211 SH        sole        1      499,211
ANALOGIC CORP.                         EQUITY   032657207     260       6,239 SH        sole        1        6,239
ANAREN INC                             EQUITY   032744104     152      11,270 SH        sole        1       11,270
ANCHOR BANCORP WISCONSIN, INC.         EQUITY   032839102     278      10,721 SH        sole        1       10,721
ANCHOR GLASS CONTAINER CORP            EQUITY   03304B300      44       5,357 SH        sole        1        5,357
ANDREW CORP                            EQUITY   034425108    1674     136,783 SH        defined     2                 136,783
ANDREW CORP.                           EQUITY   034425108    6705     547,784 SH        sole        1      547,784
ANDRX GROUP                            EQUITY   034553107      35       1,560 SH        sole        1        1,560
ANGELICA CORP                          EQUITY   034663104     121       4,866 SH        sole        1        4,866
ANGIOTECH PHARMACEUTICALS              EQUITY   034918102    2210     109,300 SH        defined     1            0    109,300
ANHEUSER-BUSCH COMPANIES, INC.         EQUITY   035229103   17290     346,153 SH        sole        1      346,153
ANIMAS CORP                            EQUITY   03525Y105      37       2,312 SH        sole        1        2,312
ANIXTER INTERNATIONALL, INC.           EQUITY   035290105     567      16,150 SH        sole        1       16,150
ANN TAYLOR STORES CORP.                EQUITY   036115103    2755     117,719 SH        sole        1      117,719
ANNALY MTG MGMT INC                    EQUITY   035710409      42       2,478 SH        sole        1        2,478
ANSOFT CORP                            EQUITY   036384105      58       3,626 SH        sole        1        3,626
ANSWERTHINK INC                        EQUITY   036916104     131      24,504 SH        sole        1       24,504
ANSYS INC                              EQUITY   03662Q105     416       8,369 SH        sole        1        8,369
ANTEON INTERNATIONAL CORP              EQUITY   03674E108     538      14,685 SH        sole        1       14,685





                                                                                             
ANTHEM INC                             EQUITY   03674B104    8148      30,987 SH        sole        1       30,987
ANTHEM INC                             EQUITY   03674B104    3722      42,659 SH        defined     2                  42,659
ANTHRACITE CAPITAL INC.                EQUITY   037023108    2546     228,984 SH        sole        1      228,984
ANTIGENICS INC.                        EQUITY   037032109      83      13,822 SH        sole        1       13,822
ANWORTH MORTGAGE ASSET                 EQUITY   037347101     277      24,317 SH        sole        1       24,317
AON CORP                               EQUITY   037389103      10         360 SH        defined     2                     360
AON CORP.                              EQUITY   037389103   11788     410,170 SH        sole        1      410,170
APACHE CORP                            EQUITY   037411105      19         372 SH        defined     2                     372
APACHE CORP.                           EQUITY   037411105    6947     138,632 SH        sole        1      138,632
APARTMENT INVT & MGMT CO - A           EQUITY   03748R101    1837      52,826 SH        sole        1       52,826
APARTMENT INVT. + MGMT CO              EQUITY   03748R101       4         108 SH        defined     2                     108
APOGEE ENTERPRISES, INC.               EQUITY   037598109     193      14,957 SH        sole        1       14,957
APOLLO GROUP INC                       EQUITY   037604105      16         220 SH        defined     2                     220
APOLLO GROUP, INC. CLASS A             EQUITY   037604105   10979     149,645 SH        sole        1      149,645
APOLLO INVESTMENT CORP                 EQUITY   03761U106     478      33,778 SH        sole        1       33,778
APPLE COMPUTER                         EQUITY   037833100      17         442 SH        defined     2                     442
APPLE COMPUTER, INC.                   EQUITY   037833100    9790     252,649 SH        sole        1      252,649
APPLEBEES INTERNATIONAL, INC.          EQUITY   037899101    3427     135,567 SH        sole        1      135,567
APPLEBEES INTL INC                     EQUITY   037899101    8612     340,650 SH        defined     2                 340,650
APPLERA CORP APPLIED BIOSYSTEM         EQUITY   038020103    1698      89,991 SH        sole        1       89,991
APPLERA CORP APPLIED BIOSY             EQUITY   038020103       4         230 SH        defined     2                     230
APPLICA INC.                           EQUITY   03815A106      43      10,671 SH        sole        1       10,671
APPLIED FILMS CORP                     EQUITY   038197109     145       8,034 SH        sole        1        8,034
APPLIED INDUSTRIAL TECH., INC.         EQUITY   03820C105     333       9,326 SH        sole        1        9,326
APPLIED MATERIALS INC                  EQUITY   038222105   18540   1,124,336 SH        defined     2               1,124,336
APPLIED MATERIALS, INC.                EQUITY   038222105   17707   1,073,776 SH        sole        1    1,073,776
APPLIED MICRO CIRCUITS COR             EQUITY   03822W109       1         357 SH        defined     2                     357
APPLIED MICRO CIRCUITS CORP.           EQUITY   03822W109     879     280,756 SH        sole        1      280,756
APPLIED SIGNAL TECH COM                EQUITY   038237103      18     551,312 SH        sole        3      537,400            13,912
APPLIED SIGNAL TECHNOLOGY              EQUITY   038237103     171       5,353 SH        sole        1        5,353
APRIA HEALTHCARE GROUP, INC.           EQUITY   037933108    2962     108,681 SH        sole        1      108,681
APTARGROUP, INC.                       EQUITY   038336103     876      19,912 SH        sole        1       19,912
AQUA AMERICA INC                       EQUITY   03836W103    3393     153,456 SH        sole        1      153,456
AQUANTIVE INC                          EQUITY   03839G105     250      25,859 SH        sole        1       25,859
AQUILA INC                             EQUITY   03840P102    1531     490,572 SH        sole        1      490,572
ARAID PHARAMACEUTICLAS, INC.           EQUITY   04033A100     191      28,493 SH        sole        1       28,493
ARAMARK CORP                           EQUITY   038521100      50       2,080 SH        sole        1        2,080
ARBITRON, INC.                         EQUITY   03875Q108     617      16,847 SH        sole        1       16,847
ARBOR REALTY TRUST INC                 EQUITY   038923108      85       3,819 SH        sole        1        3,819
ARCH CHEMICALS, INC.                   EQUITY   03937R102     361      12,678 SH        sole        1       12,678
ARCH COAL INC COM                      EQUITY   039380100       3      92,414 SH        sole        3       90,814             1,600
ARCH COAL, INC.                        EQUITY   039380100    3213      90,529 SH        sole        1       90,529
ARCH WIRELESS INC-CL A                 EQUITY   039392709     278       9,659 SH        sole        1        9,659
ARCHER DANIELS MIDLAND CO              EQUITY   039483102      13         742 SH        defined     2                     742
ARCHER DANIELS MIDLAND CO.             EQUITY   039483102    5662     333,436 SH        sole        1      333,436
ARCHIPELAGO HOLDINGS INC               EQUITY   03957A104      85       5,803 SH        sole        1        5,803
ARCHSTONE COMMUNITIES TRUST            EQUITY   039583109     830      26,243 SH        sole        1       26,243
ARCTIC CAT, INC.                       EQUITY   039670104     195       7,500 SH        sole        1        7,500
ARDEN GROUP INC                        EQUITY   039762109      65         763 SH        sole        1          763
ARDEN REALTY INC.                      EQUITY   039793104     287       8,798 SH        sole        1        8,798
ARGONAUT GROUP, INC.                   EQUITY   040157109     238      12,742 SH        sole        1       12,742
ARGOSY GAMING CO.                      EQUITY   040228108     557      14,201 SH        sole        1       14,201
ARIBA INC                              EQUITY   04033V203     304      32,573 SH        sole        1       32,573
ARKANSAS BEST CORP.                    EQUITY   040790107     439      12,001 SH        sole        1       12,001
ARMOR HOLDINGS, INC.                   EQUITY   042260109     647      15,553 SH        sole        1       15,553
ARRAY BIOPHARMA INC                    EQUITY   04269X105      91      13,005 SH        sole        1       13,005





                                                                                             
ARRIS GROUP INC                        EQUITY   04269Q100     247      47,376 SH        sole        1       47,376
ARROW ELECTRONICS INC                  EQUITY   042735100    4302     190,525 SH        sole        1      190,525
ARROW FINANCIAL CORP                   EQUITY   042744102     142       4,722 SH        sole        1        4,722
ARROW INTERNATIONAL, INC.              EQUITY   042764100     312      10,430 SH        sole        1       10,430
ARTESYN TECHNOLOGIES, INC.             EQUITY   043127109     187      18,728 SH        sole        1       18,728
ARTHROCARE CORP.                       EQUITY   043136100     339      11,583 SH        sole        1       11,583
ARTISAN COMPONENTS INC.                EQUITY   042923102     365      12,535 SH        sole        1       12,535
ARVINMERITOR, INC                      EQUITY   043353101    2829     150,897 SH        sole        1      150,897
ASBURY AUTOMOTIVE GROUP                EQUITY   043436104      82       6,104 SH        sole        1        6,104
ASCENTIAL SOFTWARE CORP                EQUITY   04362P207    1722     127,810 SH        sole        1      127,810
ASHFORD HOSPITALITY TRUST              EQUITY   044103109     103      10,907 SH        sole        1       10,907
ASHLAND INC                            EQUITY   044204105       5          81 SH        defined     2                      81
ASHLAND OIL, INC.                      EQUITY   044204105    1775      31,643 SH        sole        1       31,643
ASIAINFO HOLDINGS INC.                 EQUITY   04518A104      94      19,228 SH        sole        1       19,228
ASK JEEVES INC                         EQUITY   045174109      40       1,210 SH        sole        1        1,210
ASK JEEVES INC                         EQUITY   045174109    3376     103,200 SH        defined     2                 103,200
ASPECT COMMUNICATIONS INC.             EQUITY   04523Q102     220      22,146 SH        sole        1       22,146
ASPECT MED SYS INC COM                 EQUITY   045235108       5     255,600 SH        sole        3      239,000            16,600
ASPECT MEDICAL SYSTEMS, INC.           EQUITY   045235108     121       6,692 SH        sole        1        6,692
ASPEN TECHNOLOGY, INC.                 EQUITY   045327103     157      22,489 SH        sole        1       22,489
ASSET ACCEPTANCE CAPITAL               EQUITY   04543P100      73       4,279 SH        sole        1        4,279
ASSOCIATED BANC-CORP.                  EQUITY   045487105    5830     181,780 SH        sole        1      181,780
ASSOCIATED ESTATES REALTY              EQUITY   045604105     616      61,630 SH        sole        1       61,630
ASSURANT INC                           EQUITY   04621X108      44       1,680 SH        sole        1        1,680
ASTA FUNDING INC                       EQUITY   046220109      82       5,058 SH        sole        1        5,058
ASTEC INDS INC COM                     EQUITY   046224101     143       7,487 SH        sole        1        7,487
ASTORIA FINANCIAL CORP.                EQUITY   046265104    4483     126,325 SH        sole        1      126,325
ASYST TECHNOLOGIES, INC.               EQUITY   04648X107     131      25,585 SH        sole        1       25,585
AT & T CORP                            EQUITY   001957505    4912     343,016 SH        sole        1      343,016
AT + T WIRELESS SVCS INC               EQUITY   00209A106      57       3,831 SH        defined     2                   3,831
AT RD INC                              EQUITY   04648K105      79      18,602 SH        sole        1       18,602
AT&T WIRELESS (USD)                    EQUITY   00209A106   24977   1,689,950 SH        sole        1    1,689,950
AT+T CORP                              EQUITY   001957505    8512     594,448 SH        defined     2                 594,448
ATARI INC                              EQUITY   04651M105       8       5,019 SH        sole        1        5,019
ATHEROGENICS INC                       EQUITY   047439104     664      20,163 SH        sole        1       20,163
ATHEROS COMMUNICATIONS                 EQUITY   04743P108      52       5,058 SH        sole        1        5,058
ATLAS AMERICA INC                      EQUITY   049167109      27       1,253 SH        sole        1        1,253
ATMEL CORP.                            EQUITY   049513104    2837     783,703 SH        sole        1      783,703
ATMI INC                               EQUITY   00207R101     520      25,400 SH        defined     2                  25,400
ATMI, INC.                             EQUITY   00207R101     348      17,002 SH        sole        1       17,002
ATMOS ENERGY CORP.                     EQUITY   049560105    3073     121,973 SH        sole        1      121,973
ATRIX LABS INC                         EQUITY   04962L101    1800      58,662 SH        sole        1       58,662
ATWOOD OCEANICS INC                    EQUITY   050095108    2272      47,800 SH        defined     2                  47,800
ATWOOD OCEANICS INC COM                EQUITY   050095108       6     131,300 SH        sole        3      129,000             2,300
ATWOOD OCEANICS, INC.                  EQUITY   050095108     281       5,911 SH        sole        1        5,911
AUDIO CODES LTD                        EQUITY   M15342104     828      65,800 SH        defined     2                  65,800
AUDIOVOX COPR.                         EQUITY   050757103     158       9,373 SH        sole        1        9,373
AUGUST TECHNOLOGY CORP.                EQUITY   05106U105      66       9,673 SH        sole        1        9,673
AUTHENTIDATE HOLDING CORP              EQUITY   052666104      95      15,754 SH        sole        1       15,754
AUTOBYTEL.COM INC                      EQUITY   05275N106     203      22,623 SH        sole        1       22,623
AUTODESK INCORPORATED                  EQUITY   052769106       6         129 SH        defined     2                     129
AUTODESK, INC.                         EQUITY   052769106    2520      51,823 SH        sole        1       51,823
AUTOLIV, INC.                          EQUITY   052800109      79       1,956 SH        sole        1        1,956
AUTOMATIC DATA PROCESSING              EQUITY   053015103   12553     303,789 SH        defined     2                 303,789
AUTOMATIC DATA PROCESSING INC.         EQUITY   053015103   19750     477,966 SH        sole        1      477,966
AUTONATION INC                         EQUITY   05329W102    2002     117,209 SH        sole        1      117,209





                                                                                              
AUTONATION INC DEL                     EQUITY   05329W102       5         304 SH        defined     2                     304
AUTOZONE INC                           EQUITY   053332102       7          95 SH        defined     2                      95
AUTOZONE, INC.                         EQUITY   053332102    2821      36,519 SH        sole        1       36,519
AUXILIUM PHARMACEUTICALS I             EQUITY   05334D107     230      27,000 SH        defined     2                  27,000
AVALONBAY COMMUNITIE                   EQUITY   053484101     578       9,594 SH        sole        1        9,594
AVANEX CORP                            EQUITY   05348W109      89      43,397 SH        sole        1       43,397
AVANT IMMUNOTHERAPEUTICS INC           EQUITY   053491106      69      40,474 SH        sole        1       40,474
AVATAR HOLDINGS, INC.                  EQUITY   053494100     106       2,507 SH        sole        1        2,507
AVAYA INC                              EQUITY   053499109    5519     395,935 SH        defined     2                 395,935
AVAYA INC.                             EQUITY   053499109   15052   1,079,806 SH        sole        1    1,079,806
AVERY DENNISON CORP                    EQUITY   053611109   14072     213,922 SH        defined     2                 213,922
AVERY DENNISON CORP.                   EQUITY   053611109    3762      57,195 SH        sole        1       57,195
AVIALL, INC.                           EQUITY   05366B102     262      12,861 SH        sole        1       12,861
AVID TECHNOLOGY, INC.                  EQUITY   05367P100      32         678 SH        sole        1          678
AVISTA CORP                            EQUITY   05379B107     477      26,356 SH        sole        1       26,356
AVNET, INC.                            EQUITY   053807103    3402     198,735 SH        sole        1      198,735
AVOCENT CORP                           EQUITY   053893103    3225     123,900 SH        defined     2                 123,900
AVOCENT CORPORATION                    EQUITY   053893103    2114      81,230 SH        sole        1       81,230
AVON PRODS INC                         EQUITY   054303102      24         539 SH        defined     2                     539
Avon Products Inc USD0.25              EQUITY   054303102   58838   1,347,015 SH        sole        1    1,347,015
AVX CORP                               EQUITY   002444107      13       1,072 SH        sole        1        1,072
AXCELIS TECHNOLOGIES INC               EQUITY   054540109     448      54,158 SH        sole        1       54,158
AXONYX INC                             EQUITY   05461R101     158      27,912 SH        sole        1       27,912
AZTAR CORP.                            EQUITY   054802103     499      18,816 SH        sole        1       18,816
BAKER HUGHES INC                       EQUITY   057224107   11550     264,180 SH        defined     2                 264,180
BAKER HUGHES, INC.                     EQUITY   057224107    8283     189,451 SH        sole        1      189,451
BALDOR ELECTRIC CO.                    EQUITY   057741100     424      17,939 SH        sole        1       17,939
BALDWIN & LYONS, INC., CLASS B         EQUITY   057755209     110       4,365 SH        sole        1        4,365
BALL CORP                              EQUITY   058498106       5         128 SH        defined     2                     128
BALL CORP.                             EQUITY   058498106    1877      50,144 SH        sole        1       50,144
BANCFIRST CORP.                        EQUITY   05945F103     112       1,747 SH        sole        1        1,747
BANCORP BANK/THE                       EQUITY   05969F104      76       3,744 SH        sole        1        3,744
BANCORPSOUTH, INC.                     EQUITY   059692103     967      42,065 SH        sole        1       42,065
BANCTRUST FINANCIAL GROUP IN           EQUITY   05978R107      87       4,654 SH        sole        1        4,654
BANDAG, INC.                           EQUITY   059815100    1652      37,713 SH        sole        1       37,713
BANK AMER CORP                         EQUITY   060505104   27636     637,792 SH        defined     2                 637,792
Bank America Corp                      EQUITY   060505104    2167      50,000 SH        sole        4       50,000
BANK ATLANTIC BANCORP CLASS A          EQUITY   065908501     425      23,179 SH        sole        1       23,179
BANK MUTUAL CORP                       EQUITY   063750103     515      42,922 SH        sole        1       42,922
BANK NEW YORK INC                      EQUITY   064057102     527      17,187 SH        defined     2                  17,187
BANK OF AMERICA CORP                   EQUITY   060505104   82994   1,915,390 SH        sole        1    1,915,390
BANK OF GRANITE CORP.                  EQUITY   062401104     143       7,377 SH        sole        1        7,377
BANK OF HAWAII CORP                    EQUITY   062540109    4102      86,814 SH        sole        1       86,814
BANK OF MONTREAL                       EQUITY   063671101    7337     167,700 SH        defined     1            0    167,700
BANK OF NEW YORK CO., INC.             EQUITY   064057102    9893     339,137 SH        sole        1      339,137
BANK OF NOVA SCOTIA                    EQUITY   064149107    6698     229,100 SH        defined     1            0    229,100
BANK OF THE OZARKS INC                 EQUITY   063904106     172       5,801 SH        sole        1        5,801
BANK UNITED CORP-CPR WI                EQUITY   065416117      30     506,802 SH        sole        1      506,802
BANKNORTH GROUP INC.                   EQUITY   06646R107    9987     285,329 SH        sole        1      285,329
BANKUNITED FINANCIAL CORP CLASS A      EQUITY   06652B103     422      14,489 SH        sole        1       14,489
BANNER CORPORATION                     EQUITY   06652V109     162       5,510 SH        sole        1        5,510
BANTA CORP.                            EQUITY   066821109    2153      54,160 SH        sole        1       54,160
BARD C R INC                           EQUITY   067383109     386       6,819 SH        defined     2                   6,819
BARNES & NOBLE, INC.                   EQUITY   067774109    4264     115,230 SH        sole        1      115,230
BARNES GROUP, INC.                     EQUITY   067806109     223       8,132 SH        sole        1        8,132
BARR PHARMACEUTICALS INC               EQUITY   068306109    7127     172,028 SH        sole        1      172,028





                                                                                             
BARRIER THERAPEUTICS INC               EQUITY   06850R108      43       3,563 SH        sole        1        3,563
BASSETT FURNITURE INDUSTRIES           EQUITY   070203104     106       5,615 SH        sole        1        5,615
BAUSCH & LOMB INC COM                  EQUITY   071707103       7     101,400 SH        sole        3       97,300             4,100
BAUSCH & LOMB, INC.                    EQUITY   071707103    1571      23,644 SH        sole        1       23,644
BAUSCH + LOMB INC                      EQUITY   071707103       4          61 SH        defined     2                      61
BAXTER INTERNATIONAL, INC.             EQUITY   071813109    8386     260,751 SH        sole        1      260,751
BAXTER INTL INC                        EQUITY   071813109      23         701 SH        defined     2                     701
BB+T CORP                              EQUITY   054937107      25         632 SH        defined     2                     632
BBT CORP.                              EQUITY   054937107    9542     240,402 SH        sole        1      240,402
BCE INC COM                            EQUITY   05534B109    2165     100,405 SH        defined     1            0    100,405
BE AEROSPACE, INC.                     EQUITY   073302101     183      20,163 SH        sole        1       20,163
BEA SYSTEMS, INC.                      EQUITY   073325102     241      34,873 SH        sole        1       34,873
BEAR STEARNS COS                       EQUITY   073902108    4436      46,124 SH        sole        1       46,124
BEAR STEARNS COS INC                   EQUITY   073902108      11         117 SH        defined     2                     117
BEARINGPOINT INC                       EQUITY   074002106      29       3,233 SH        sole        1        3,233
BEASLEY BROADCAST GROUP, INC.          EQUITY   074014101      46       2,936 SH        sole        1        2,936
BEAZER HOMES USA, INC.                 EQUITY   07556Q105     797       7,459 SH        sole        1        7,459
BEBE STORES, INC.                      EQUITY   075571109      69       3,273 SH        sole        1        3,273
BECKMAN COULTER, INC.                  EQUITY   075811109    5667     100,978 SH        sole        1      100,978
BECTON DICKINSON + CO                  EQUITY   075887109   65870     658,888 SH        defined     2                 658,888
BECTON, DICKINSON AND CO.              EQUITY   075887109    5600     108,316 SH        sole        1      108,316
BED BATH & BEYOND, INC.                EQUITY   075896100    7417     199,862 SH        sole        1      199,862
BED BATH + BEYOND INC                  EQUITY   075896100      13         343 SH        defined     2                     343
BEDFORD PRPTY INVESTORS, INC.          EQUITY   076446301     296       9,749 SH        sole        1        9,749
BEI TECHNOLOGIES INC                   EQUITY   05538P104     166       6,044 SH        sole        1        6,044
BEI TECHNOLOGIES INC COM               EQUITY   05538P104       2      57,900 SH        sole        3       57,900
BEL FUSE INC. CLASS B                  EQUITY   077347300     203       6,148 SH        sole        1        6,148
BELDEN CDT INC                         EQUITY   077454106     556      25,520 SH        sole        1       25,520
BELL TEL CO PA                         EQUITY   078167BA0      92      70,000 SH        defined     2                  70,000
Bellsouth Corp                         EQUITY   079860102    1085      40,000 SH        sole        4       40,000
BELLSOUTH CORP.                        EQUITY   079860102   21180     780,957 SH        sole        1      780,957
BELO CORP.                             EQUITY   080555105    4268     189,349 SH        sole        1      189,349
BEMIS CO INC                           EQUITY   081437105   12847     483,337 SH        defined     2                 483,337
BEMIS CO., INC.                        EQUITY   081437105    1267      47,680 SH        sole        1       47,680
BENCHMARK ELECTRONICS, INC.            EQUITY   08160H101     666      22,361 SH        sole        1       22,361
BENCHMARK ELECTRS INC COM              EQUITY   08160H101       8     262,400 SH        sole        3      250,600            11,800
BENTLEY PHARMACEUTICAL                 EQUITY   082657107      89       8,362 SH        sole        1        8,362
BERKSHIRE HATHAWAY INC DEL             EQUITY   084670207    4335       1,510 SH        defined     2                   1,510
BERKSHIRE HILLS BANCOR                 EQUITY   084680107     107       2,902 SH        sole        1        2,902
BERRY PETROLEUM CO. CLASS A            EQUITY   085789105     362       9,857 SH        sole        1        9,857
BEST BUY CO INC                        EQUITY   086516101    5634     103,870 SH        defined     2                 103,870
BEST BUY CO., INC.                     EQUITY   086516101   24470     451,152 SH        sole        1      451,152
BEVERLY ENTERPRISES, INC.              EQUITY   087851309     442      58,427 SH        sole        1       58,427
BEVERY HILLS BANCORP INC               EQUITY   087866109      75       7,200 SH        sole        1        7,200
BFC FINANCIAL CORPORATION-A            EQUITY   055384200      41       3,766 SH        sole        1        3,766
BIG 5 SPORTING GOODS CORP              EQUITY   08915P101     252      11,065 SH        sole        1       11,065
BIG LOTS INC                           EQUITY   089302103       2         131 SH        defined     2                     131
BIG LOTS INC.                          EQUITY   089302103     628      51,381 SH        sole        1       51,381
BIOCRYST PHARMACEUTICALS INC           EQUITY   09058V103      45       8,904 SH        sole        1        8,904
BIOENVISION INC                        EQUITY   09059N100      92      11,508 SH        sole        1       11,508
BIOGEN IDEC INC                        EQUITY   09062X103   10445     170,756 SH        sole        1      170,756
BIOGEN IDEC INC                        EQUITY   09062X103    9988     163,286 SH        defined     2                 163,286
BIOLASE TECHNOLOGY INC                 EQUITY   090911108      96      11,712 SH        sole        1       11,712
BIOMARIN PHARMACEUTICAL IN             EQUITY   09061G101     519     100,000 SH        defined     2                 100,000
BIOMARIN PHARMACEUTICAL INC.           EQUITY   09061G101     182      35,066 SH        sole        1       35,066
BIOMED REALTY TRUST INC                EQUITY   09063H107     262      14,892 SH        sole        1       14,892





                                                                                               
BIOMET INC                             EQUITY   090613100      14         290 SH        defined     2                     290
BIOMET, INC.                           EQUITY   090613100    6900     147,186 SH        sole        1      147,186
BIO-RAD LABORATORIES, INC., CLASS A    EQUITY   090572207     484       9,476 SH        sole        1        9,476
BIO-REFERENCE LABS INC                 EQUITY   09057G602      58       4,195 SH        sole        1        4,195
BIOSITE INC.                           EQUITY   090945106     345       7,056 SH        sole        1        7,056
BIOVERIS CORP                          EQUITY   090676107      69      11,183 SH        sole        1       11,183
BISYS GROUP, INC.                      EQUITY   055472104    3830     262,173 SH        sole        1      262,173
BJ SERVICES CO.                        EQUITY   055482103    3765      71,839 SH        sole        1       71,839
BJ SVCS CO                             EQUITY   055482103   13322     254,184 SH        defined     2                 254,184
BJ'S RESTAURANTS INC                   EQUITY   09180C106      93       5,854 SH        sole        1        5,854
BJ'S WHOLESALE CLUB INC.               EQUITY   05548J106    3141     114,877 SH        sole        1      114,877
BKF CAPITAL GROUP INC                  EQUITY   05548G102      98       3,334 SH        sole        1        3,334
BLACK & DECKER CORP.                   EQUITY   091797100    4777      61,690 SH        sole        1       61,690
BLACK + DECKER CORPORATION             EQUITY   091797100       7          91 SH        defined     2                      91
BLACK BOX CORP.                        EQUITY   091826107     325       8,798 SH        sole        1        8,798
BLACK HILLS CORP.                      EQUITY   092113109    1960      70,560 SH        sole        1       70,560
BLACKBAUD INC                          EQUITY   09227Q100      43       4,403 SH        sole        1        4,403
BLACKBOARD INC                         EQUITY   091935502      61       3,533 SH        sole        1        3,533
BLACKROCK INC                          EQUITY   09247X101      29         394 SH        sole        1          394
BLAIR CORP                             EQUITY   092828102     125       4,430 SH        sole        1        4,430
BLOCK FINANCIAL CORP                   EQUITY   093671105    3645      73,749 SH        sole        1       73,749
BLOCK H + R INC                        EQUITY   093671105       9         188 SH        defined     2                     188
BLOCKBUSTER INC -CLA                   EQUITY   093679108       5         700 SH        sole        1          700
BLOUNT INTERNATIONAL INC               EQUITY   095180105      42       3,224 SH        sole        1        3,224
BLUE COAT SYSTEMS INC                  EQUITY   09534T508      70       4,882 SH        sole        1        4,882
BLUE NILE INC                          EQUITY   09578R103      69       2,040 SH        sole        1        2,040
BLUE NILE INC                          EQUITY   09578R103    1347      40,000 SH        defined     2                  40,000
BLUEGREEN CORP                         EQUITY   096231105      99       8,859 SH        sole        1        8,859
BLYTH INC.                             EQUITY   09643P108    2541      82,241 SH        sole        1       82,241
BMC SOFTWARE INC                       EQUITY   055921100       4         254 SH        defined     2                     254
BMC SOFTWARE, INC.                     EQUITY   055921100    1575      99,649 SH        sole        1       99,649
BOB EVANS FARMS, INC.                  EQUITY   096761101    2085      76,782 SH        sole        1       76,782
BOCA RESORTS INC -CL A                 EQUITY   09688T106     220      11,839 SH        sole        1       11,839
Boeing Co                              EQUITY   097023105    2581      50,000 SH        sole        4       50,000
BOEING CO                              EQUITY   097023105    4187     139,014 SH        defined     2                 139,014
BOEING CO.                             EQUITY   097023105   19053     369,107 SH        sole        1      369,107
BOISE CASCADE CORP                     EQUITY   097383103       3         100 SH        defined     2                     100
BOISE CASCADE CORP.                    EQUITY   097383103    1305      39,225 SH        sole        1       39,225
BOK FINANCIAL CORP.                    EQUITY   05561Q201      16         358 SH        sole        1          358
BOMBAY CO INC                          EQUITY   097924104     142      19,358 SH        sole        1       19,358
BONE CARE INTERNATIONAL, INC.          EQUITY   098072101     207       8,519 SH        sole        1        8,519
BONE CARE INTL INC COM                 EQUITY   098072101       2      96,500 SH        sole        3       96,500
BON-TON STORES INC/THE                 EQUITY   09776J101      34       2,816 SH        sole        1        2,816
BORDERS GROUP, INC.                    EQUITY   099709107    3128     126,139 SH        sole        1      126,139
BORG WARNER INC                        EQUITY   099724106    3991      92,183 SH        sole        1       92,183
BORLAND SOFTWARE CORP.                 EQUITY   099849101     367      43,991 SH        sole        1       43,991
BOSTON BEER, INC. CLASS A              EQUITY   100557107     116       4,590 SH        sole        1        4,590
BOSTON COMMUNICATIONS GROUP            EQUITY   100582105      88       9,980 SH        sole        1        9,980
BOSTON PRIVATE FINANCIAL HOLDI         EQUITY   101119105     371      14,879 SH        sole        1       14,879
BOSTON PROPERTIES INC                  EQUITY   101121101     773      13,947 SH        sole        1       13,947
BOSTON SCIENTIFIC CORP                 EQUITY   101137107    4456     112,160 SH        defined     2                 112,160
BOSTON SCIENTIFIC CORP.                EQUITY   101137107   14683     369,570 SH        sole        1      369,570
BOWATER, INC.                          EQUITY   102183100    3509      91,871 SH        sole        1       91,871
BOWNE & CO., INC.                      EQUITY   103043105     248      19,054 SH        sole        1       19,054
BOYD GAMING CORP.                      EQUITY   103304101    4676     166,094 SH        sole        1      166,094
BOYKIN LODGING CO.                     EQUITY   103430104      17       1,980 SH        sole        1        1,980





                                                                                              
BP AMOCO ADS                           EQUITY   055622104     133       2,208 SH        defined     2                   2,208
BRADLEY PHARMACEUTICAL                 EQUITY   104576103     150       7,368 SH        sole        1        7,368
BRADY CORP.                            EQUITY   104674106     483       9,905 SH        sole        1        9,905
BRANDYWINE REALTY TRUST                EQUITY   105368203    9351     328,351 SH        sole        1      328,351
BRASIL DISTR PAO ACU-SP ADR            EQUITY   20440T201    2867     143,400 SH        sole        1      143,400
BRASKEM SA-SPON ADR                    EQUITY   105532105    2481      75,000 SH        sole        1       75,000
BRE PROPERTIES, INC., CLASS A          EQUITY   05564E106     259       6,748 SH        sole        1        6,748
BRIGGS & STRATTON CORP.                EQUITY   109043109      38         471 SH        sole        1          471
BRIGHAM EXPLORATION CO                 EQUITY   109178103     120      12,810 SH        sole        1       12,810
BRIGHT HORIZON FAMILY COM              EQUITY   109195107      13     232,850 SH        sole        3      225,050             7,800
BRIGHT HORIZONS FAM. SOLUTIONS         EQUITY   109195107     390       7,189 SH        sole        1        7,189
BRIGHTPOINT INC                        EQUITY   109473405     168       9,770 SH        sole        1        9,770
BRINKER INTERNATIONAL, INC.            EQUITY   109641100    4622     148,375 SH        sole        1      148,375
BRINK'S CO/THE                         EQUITY   109696104    2824      93,608 SH        sole        1       93,608
BRISTOL MYERS SQUIBB CO                EQUITY   110122108    9964     420,959 SH        defined     2                 420,959
BRISTOL MYERS SQUIBB CO.               EQUITY   110122108   57589   2,432,976 SH        sole        1    2,432,976
BRISTOL WEST HOLDINGS INC              EQUITY   11037M105     141       8,241 SH        sole        1        8,241
BROADCOM CORP                          EQUITY   111320107      10         367 SH        defined     2                     367
BROADCOM CORP CL A                     EQUITY   111320107       2      66,300 SH        sole        3       63,100             3,200
BROADCOM CORP.                         EQUITY   111320107    4585     168,017 SH        sole        1      168,017
BROCADE COMMUNICATION                  EQUITY   111621108     798     141,320 SH        sole        1      141,320
BROOKFIELD HOMES CORP                  EQUITY   112723101     214       8,126 SH        sole        1        8,126
BROOKLINE BANCORP INC                  EQUITY   11373M107     504      32,150 SH        sole        1       32,150
BROOKS AUTOMATION INC                  EQUITY   114340102     344      24,281 SH        sole        1       24,281
BROOKSTONE INC                         EQUITY   114537103     206      10,919 SH        sole        1       10,919
BROWN & BROWN INC                      EQUITY   115236101    5183     113,408 SH        sole        1      113,408
BROWN FORMAN CORP                      EQUITY   115637209   11661     254,617 SH        defined     2                 254,617
BROWN SHOE COMANY, INC.                EQUITY   115736100     247       9,853 SH        sole        1        9,853
BROWN-FORMAN CORP CLASS B              EQUITY   115637209    2415      52,730 SH        sole        1       52,730
BRUKER BIOSCIENCES CORP                EQUITY   116794108      40      11,648 SH        sole        1       11,648
BRUNSWICK CORP                         EQUITY   117043109       5         109 SH        defined     2                     109
BRUNSWICK CORP.                        EQUITY   117043109    2011      43,948 SH        sole        1       43,948
BRUSH ENGINEERED  MATERIALS            EQUITY   117421107     214      10,317 SH        sole        1       10,317
BRUSH ENGINEERED MATLS COM             EQUITY   117421107       8     379,100 SH        sole        3      374,400             4,700
BRYN MAWR BK CORP                      EQUITY   117665109      77       3,841 SH        sole        1        3,841
BUCKEYE TECHNOLOGIES INC               EQUITY   118255108     178      15,999 SH        sole        1       15,999
BUCKLE, INC.                           EQUITY   118440106     114       4,133 SH        sole        1        4,133
BUCYRUS INTERNATIONAL INC-A            EQUITY   118759109     226       6,734 SH        sole        1        6,734
BUCYRUS INTL INC NEW CL A              EQUITY   118759109      10     283,100 SH        sole        3      280,000             3,100
BUFFALO WILD WINGS INC                 EQUITY   119848109      87       3,096 SH        sole        1        3,096
BUILDING MATERIAL HOLDING CORP         EQUITY   120113105     201       7,301 SH        sole        1        7,301
BUILDING MATLS HLDG CP COM             EQUITY   120113105       2      66,800 SH        sole        3       66,800
BURLINGTON COAT FACTORY WHSE           EQUITY   121579106     212       9,969 SH        sole        1        9,969
BURLINGTON NORTHERN SANTA FE           EQUITY   12189T104    6363     166,098 SH        sole        1      166,098
BURLINGTON NORTHN SANTA FE             EQUITY   12189T104      16         424 SH        defined     2                     424
BURLINGTON RES INC                     EQUITY   122014103    6950     170,350 SH        defined     2                 170,350
BURLINGTON RESOURCES, INC.             EQUITY   122014103    6854     167,990 SH        sole        1      167,990
C & D TECHNOLOGIES, INC.               EQUITY   124661109     263      13,840 SH        sole        1       13,840
C H ROBINSON WORLDWIDE                 EQUITY   12541W100    8397     181,000 SH        defined     2                 181,000
C. H. ROBINSON WORLDWIDE, INC.         EQUITY   12541W100    6820     147,004 SH        sole        1      147,004
C. R. BARD, INC.                       EQUITY   067383109    2642      46,659 SH        sole        1       46,659
CABELA'S INC-CL A                      EQUITY   126804301       5         201 SH        sole        1          201
CABLEVISION NY GROUP CLASS             EQUITY   12686C109    1824     174,268 SH        defined     2                 174,268
CABLEVISION SYSTEMS-NY GRP-A           EQUITY   12686C109    2100     103,527 SH        sole        1      103,527
CABOT CORP.                            EQUITY   127055101    3930     101,904 SH        sole        1      101,904
CABOT MICROELECTRONICS CORP            EQUITY   12709P103    1951      53,821 SH        sole        1       53,821





                                                                                             
CABOT OIL & GAS CORP., CLASS A         EQUITY   127097103     805      17,920 SH        sole        1       17,920
CACHE INC                              EQUITY   127150308      78       5,204 SH        sole        1        5,204
CACI INTERNATIONAL                     EQUITY   127190304     838      15,873 SH        sole        1       15,873
CADENCE DESIGN SYSTEMS, INC.           EQUITY   127387108    5793     444,248 SH        sole        1      444,248
CAESARS ENTERTAINMENT INC              EQUITY   127687101    8532     510,912 SH        sole        1      510,912
CAKTRONICS INC                         EQUITY   234264109     192       7,848 SH        sole        1        7,848
CAL DIVE INTERNATIONAL, INC.           EQUITY   127914109     742      20,819 SH        sole        1       20,819
CALGON CARBON CORP.                    EQUITY   129603106     133      18,459 SH        sole        1       18,459
CALIFORNIA MICRO DEVICES CP            EQUITY   130439102      89      11,489 SH        sole        1       11,489
CALIFORNIA PIZZA KITCHEN INC           EQUITY   13054D109     228      10,416 SH        sole        1       10,416
CALIFORNIA WATER SERVICE GROUP         EQUITY   130788102     273       9,283 SH        sole        1        9,283
CALLAWAY GOLF CO.                      EQUITY   131193104    1683     159,236 SH        sole        1      159,236
CALLON PETROLEUM CO.                   EQUITY   13123X102      87       6,828 SH        sole        1        6,828
CAL-MAINE FOODS INC                    EQUITY   128030202      90       8,164 SH        sole        1        8,164
CALPINE CORP                           EQUITY   131347106       1         506 SH        defined     2                     506
CALPINE CORP.                          EQUITY   131347106    1499     517,025 SH        sole        1      517,025
CAMBREX CORP.                          EQUITY   132011107     312      14,225 SH        sole        1       14,225
CAMDEN NATL CORP                       EQUITY   133034108     145       4,212 SH        sole        1        4,212
CAMDEN POPERTY TRUST                   EQUITY   133131102     247       5,353 SH        sole        1        5,353
CAMPBELL SOUP CO                       EQUITY   134429109      12         468 SH        defined     2                     468
CAMPBELL SOUP CO.                      EQUITY   134429109    5088     193,518 SH        sole        1      193,518
CANADIAN IMPERIAL BANK OF COMMERCE     EQUITY   136069101    2806      52,400 SH        defined     1            0     52,400
CANADIAN NATURAL RESORUCES             EQUITY   136385101    6509     162,900 SH        defined     1            0    162,900
CANCERVAX CORP                         EQUITY   13738Y107      73       9,002 SH        sole        1        9,002
CANDELA CORP                           EQUITY   136907102     121      10,473 SH        sole        1       10,473
CAPITAL AUTOMOTIVE REIT                EQUITY   139733109     659      21,065 SH        sole        1       21,065
CAPITAL CITY BANK GROUP, INC.          EQUITY   139674105     187       4,831 SH        sole        1        4,831
CAPITAL CORP OF THE WEST               EQUITY   140065103     118       2,744 SH        sole        1        2,744
CAPITAL CROSSING BANK                  EQUITY   140071101      59       2,304 SH        sole        1        2,304
CAPITAL LEASE FUNDING INC              EQUITY   140288101    1020      92,414 SH        sole        1       92,414
CAPITAL ONE FINANCIAL CORP.            EQUITY   14040H105   12021     162,665 SH        sole        1      162,665
CAPITAL ONE FINL CORP                  EQUITY   14040H105   24260     328,275 SH        defined     2                 328,275
CAPITAL SOURCE INC.                    EQUITY   14055X102       8     354,798 SH        sole        3      336,600            18,198
CAPITAL SOUTHWEST CORP                 EQUITY   140501107     113       1,490 SH        sole        1        1,490
CAPITAL TRUST-CL A                     EQUITY   14052H506     154       5,283 SH        sole        1        5,283
CAPITALSOURCE INC                      EQUITY   14055X102      31       1,380 SH        sole        1        1,380
CAPITOL BANCORP LTD                    EQUITY   14056D105     163       5,540 SH        sole        1        5,540
CAPITOL FEDERAL FINANCIAL              EQUITY   14057C106      14         430 SH        sole        1          430
CAPSTEAD MORTGAGE CORP.                EQUITY   14067E506     671      53,921 SH        sole        1       53,921
CAPSTONE TURBINE COR                   EQUITY   14067D102      69      45,350 SH        sole        1       45,350
CAPTARIS INC                           EQUITY   14071N104      75      17,498 SH        sole        1       17,498
CARACO PHARM LABS INC                  EQUITY   14075T107      38       4,941 SH        sole        1        4,941
CARAUSTAR INDUSTRIES, INC.             EQUITY   140909102     260      15,496 SH        sole        1       15,496
CARBO CERAMICS INC                     EQUITY   140781105     499       6,913 SH        sole        1        6,913
CARDIAC SCIENCE INC.                   EQUITY   141410209      77      39,941 SH        sole        1       39,941
CARDINAL HEALTH INC                    EQUITY   14149Y108    8146     186,111 SH        sole        1      186,111
CARDINAL HEALTH INC                    EQUITY   14149Y108      21         491 SH        defined     2                     491
CARDIODYNAMICS INTERNATIONAL           EQUITY   141597104      90      19,607 SH        sole        1       19,607
CAREER EDUCATION CORP                  EQUITY   141665109    5013     176,345 SH        sole        1      176,345
CAREER EDUCATION CORP COM              EQUITY   141665109       5     170,532 SH        sole        3      160,500            10,032
CAREMARK RX INC                        EQUITY   141705103   10764     335,631 SH        sole        1      335,631
CAREMARK RX INC                        EQUITY   141705103    1941      60,531 SH        defined     2                  60,531
CARLISLE COS INC.                      EQUITY   142339100    3290      51,456 SH        sole        1       51,456
CARMAX INC                             EQUITY   143130102    3696     171,498 SH        sole        1      171,498
CARMIKE CINEMAS INC                    EQUITY   143436400     147       4,177 SH        sole        1        4,177
CARNIVAL CORP                          EQUITY   143658300   14154     299,292 SH        sole        1      299,292





                                                                                              
CARNIVAL CORP                          EQUITY   143658300   11128     235,322 SH        defined     2                 235,322
CARPENTER TECHNOLOGY CORP.             EQUITY   144285103     593      12,426 SH        sole        1       12,426
CARRAMERICA REALTY C                   EQUITY   144418100    1170      35,778 SH        sole        1       35,778
CARREKER CORP                          EQUITY   144433109      84      11,021 SH        sole        1       11,021
CARRIER ACCESS CORP.                   EQUITY   144460102      76      10,897 SH        sole        1       10,897
CARTER INC                             EQUITY   146229109      99       3,584 SH        sole        1        3,584
CASCADE BANCORP                        EQUITY   147154108     176       9,061 SH        sole        1        9,061
CASCADE CORP                           EQUITY   147195101     161       5,796 SH        sole        1        5,796
CASCADE NAT GAS CORP COM               EQUITY   147339105     130       6,113 SH        sole        1        6,113
CASELLA WASTE SYSTEMS, INC.            EQUITY   147448104     127      10,698 SH        sole        1       10,698
CASEYS GENERAL STORES, INC.            EQUITY   147528103     506      27,236 SH        sole        1       27,236
CASH AMERICA INTERNATIONAL             EQUITY   14754D100     378      15,444 SH        sole        1       15,444
CASUAL MALE RETAIL GROUP INC           EQUITY   148711104      80      15,317 SH        sole        1       15,317
CATALINA MARKETING CORP.               EQUITY   148867104    2615     113,303 SH        sole        1      113,303
CATAPULT COMM CORP                     EQUITY   149016107      57       3,049 SH        sole        1        3,049
CATAPULT COMMUNICATNS COM              EQUITY   149016107       1      75,000 SH        sole        3       75,000
CATELLUS DEVELOPMENT                   EQUITY   149113102    8101     305,597 SH        sole        1      305,597
Caterpillar                            EQUITY   149123101    1850      23,000  SH       sole        4       23,000
CATERPILLAR INC                        EQUITY   149123101      31         391 SH        defined     2                     391
CATERPILLAR, INC.                      EQUITY   149123101   35225     437,851 SH        sole        1      437,851
CATHAY GENERAL BANCORP INC.            EQUITY   149150104     878      23,612 SH        sole        1       23,612
CATO CORP. CLASS A                     EQUITY   149205106     236      10,618 SH        sole        1       10,618
CB RICHARD ELLIS GROUP INC-A           EQUITY   12497T101     317      13,743 SH        sole        1       13,743
CBL & ASSOCIATES PROPERTIES            EQUITY   124830100    8176     134,143 SH        sole        1      134,143
CBRL GROUP, INC.                       EQUITY   12489V106    3840     106,421 SH        sole        1      106,421
CCC INFORMATION SERVICES               EQUITY   12487Q109     122       6,907 SH        sole        1        6,907
C-COR INC.                             EQUITY   125010108     198      23,433 SH        sole        1       23,433
CDI CORP.                              EQUITY   125071100     138       6,708 SH        sole        1        6,708
CDW CORP                               EQUITY   12512N105    8299     143,019 SH        sole        1      143,019
CEC ENTERTAINMENT, INC.                EQUITY   125137109     748      20,350 SH        sole        1       20,350
CEC ENTMT INC                          EQUITY   125137109     342       9,300 SH        defined     2                   9,300
CEDAR SHOPPING CENTERS INC             EQUITY   150602209     151      10,835 SH        sole        1       10,835
CELERA GENOMICS GROU                   EQUITY   038020202     465      39,746 SH        sole        1       39,746
CELGENE CORP                           EQUITY   151020104      99       1,700 SH        sole        1        1,700
CELGENE CORP                           EQUITY   151020104    2912      50,000 SH        defined     2                  50,000
CELL GENESYS, INC.                     EQUITY   150921104     218      24,333 SH        sole        1       24,333
CELL THERAPEUTICS, INC.                EQUITY   150934107     188      27,431 SH        sole        1       27,431
CEMEX SA - Sponsored ADR               EQUITY   151290889    4895     173,950 SH        sole        1      173,950
CEMIG CIA ENERG MG SPON ADR            EQUITY   204409601    1525      74,255 SH        sole        1       74,255
CENDANT CORP                           EQUITY   151313103      26       1,203 SH        defined     2                   1,203
CENDANT CORP.                          EQUITY   151313103   10228     473,533 SH        sole        1      473,533
CENTENE CORP DEL                       EQUITY   15135B101     470      11,038 SH        sole        1       11,038
CENTENE CORP DEL                       EQUITY   15135B101   11105     260,800 SH        defined     2                 260,800
CENTENNIAL CELLULAR CORP.              EQUITY   15133V208      38       6,461 SH        sole        1        6,461
CENTER FINANCIAL CORP                  EQUITY   15146E102     100       5,245 SH        sole        1        5,245
CENTERPOINT ENERGY INC                 EQUITY   15189T107    1414     136,478 SH        sole        1      136,478
CENTERPOINT ENERGY INC                 EQUITY   15189T107       4         351 SH        defined     2                     351
CENTERPOINT PROPERTIES CORP.           EQUITY   151895109     272       6,231 SH        sole        1        6,231
CENTEX CORP                            EQUITY   152312104       7         141 SH        defined     2                     141
CENTEX CORP.                           EQUITY   152312104    2782      55,141 SH        sole        1       55,141
CENTRAL COAST BANCORP                  EQUITY   153145107     100       4,882 SH        sole        1        4,882
CENTRAL EURO DISTRIBUTION CP           EQUITY   153435102     149       6,673 SH        sole        1        6,673
CENTRAL EUROPEAN DIST COM              EQUITY   153435102       2      71,100 SH        sole        3       71,100
CENTRAL FREIGHT LINES INC              EQUITY   153491105      28       4,669 SH        sole        1        4,669
CENTRAL GARDEN & PET C                 EQUITY   153527106     281       9,183 SH        sole        1        9,183
CENTRAL PACIFIC FINANCIAL CO           EQUITY   154760102     630      22,894 SH        sole        1       22,894





                                                                                              
CENTRAL PARKING CORP.                  EQUITY   154785109     133      10,073 SH        sole        1       10,073
CENTRAL VT PUB SVC CORP COM            EQUITY   155771108     133       6,594 SH        sole        1        6,594
CENTURY ALUMINUM CO.                   EQUITY   156431108     268       9,681 SH        sole        1        9,681
CENTURY BANCORP INC                    EQUITY   156432106      60       1,903 SH        sole        1        1,903
CENTURY BUSINESS SERVICES              EQUITY   156490104     155      34,421 SH        sole        1       34,421
CENTURYTEL INC                         EQUITY   156700106       5         154 SH        defined     2                     154
CENTURYTEL, INC.                       EQUITY   156700106    2067      60,379 SH        sole        1       60,379
CEPHALON INC                           EQUITY   156708109    4652      97,111 SH        sole        1       97,111
CEPHALON INC                           EQUITY   156708109    7563     157,900 SH        defined     2                 157,900
CEPHEID                                EQUITY   15670R107     196      22,724 SH        sole        1       22,724
CERADYNE INC                           EQUITY   156710105     382       8,689 SH        sole        1        8,689
CERADYNE INC COM                       EQUITY   156710105       6     128,700 SH        sole        3      127,200             1,500
CERES GROUP INC                        EQUITY   156772105      90      16,426 SH        sole        1       16,426
CERIDIAN CORP                          EQUITY   156779100    4513     245,120 SH        sole        1      245,120
CERNER CORP                            EQUITY   156782104     670      15,492 SH        sole        1       15,492
CERTEGY INC                            EQUITY   156880106    3892     104,600 SH        sole        1      104,600
CH ENERGY GROUP INC.                   EQUITY   12541M102    1023      22,347 SH        sole        1       22,347
CHAMPION ENTERPRISES, INC.             EQUITY   158496109     395      38,372 SH        sole        1       38,372
CHARLES RIV LABORATORIES I             EQUITY   159864107    6275     137,000 SH        defined     2                 137,000
CHARLES RIVER ASSOCIAT                 EQUITY   159852102     212       5,536 SH        sole        1        5,536
CHARLES RIVER LABORATORIES             EQUITY   159864107    5769      26,414 SH        sole        1       26,414
CHARLES SCHWAB                         EQUITY   808513105      19       2,050 SH        defined     2                   2,050
CHARLES SCHWAB CORP.                   EQUITY   808513105    6527     710,198 SH        sole        1      710,198
CHARLOTTE RUSSE HOLDING INC            EQUITY   161048103      73       6,321 SH        sole        1        6,321
CHARMING SHOPPES, INC.                 EQUITY   161133103     446      62,673 SH        sole        1       62,673
CHARTER COMMUNICATIONS INC CLASS A     EQUITY   16117M107     390     146,715 SH        sole        1      146,715
CHARTER FINL CORP WEST                 EQUITY   16122M100      73       2,160 SH        sole        1        2,160
CHARTER MUNICIPAL MORTGAGE ACC         EQUITY   160908109    3265     148,461 SH        sole        1      148,461
CHATTEM INC                            EQUITY   162456107     294       9,115 SH        sole        1        9,115
CHECK POINT SOFTWARE TECH              EQUITY   M22465104     313      18,470 SH        sole        1       18,470
CHECKFREE HOLDINGS CORP.               EQUITY   162813109    3957     143,008 SH        sole        1      143,008
CHECKPOINT SYSTEMS, INC.               EQUITY   162825103     319      20,469 SH        sole        1       20,469
CHEESECAKE FACTORY                     EQUITY   163072101    3711      85,512 SH        sole        1       85,512
CHELSEA PROPERTY GROUP INC.            EQUITY   163421100     388       5,788 SH        sole        1        5,788
CHEMED CORP.                           EQUITY   16359R103     368       6,608 SH        sole        1        6,608
CHEMICAL FINANCIAL CORP.               EQUITY   163731102     476      13,041 SH        sole        1       13,041
CHENIERE ENERGY INC                    EQUITY   16411R208     203      10,286 SH        sole        1       10,286
CHEROKEE INC DEL NEW                   EQUITY   16444H102      88       3,695 SH        sole        1        3,695
CHEROKEE INTERNATIONAL CORP            EQUITY   164450108      32       3,867 SH        sole        1        3,867
CHESAPEAKE CORP.                       EQUITY   165159104     255      10,626 SH        sole        1       10,626
CHESAPEAKE ENERGY CORP.                EQUITY   165167107      87       5,476 SH        sole        1        5,476
CHEVRONTEXACO CORP                     EQUITY   166764100   52619     980,968 SH        sole        1      980,968
CHEVRONTEXACO CORP                     EQUITY   166764100   20630     384,596 SH        defined     2                 384,596
CHICAGO MERCANTILE EXCHANGE            EQUITY   167760107     111         690 SH        sole        1          690
CHICOS FAS INC                         EQUITY   168615102     325       9,500 SH        defined     2                   9,500
CHICOS'S FAS INC.                      EQUITY   168615102    5043     147,451 SH        sole        1      147,451
CHILDREN'S PLACE, INC.                 EQUITY   168905107     221       9,226 SH        sole        1        9,226
CHINA MOBILE HK LTD - SPON ADR         EQUITY   16941M109     525      34,300 SH        sole        1       34,300
CHINA PETROLEUM & CHEM-ADR             EQUITY   16941R108    1850      45,060 SH        sole        1       45,060
CHIQUITA BRANDS INTL                   EQUITY   170032809     386      22,193 SH        sole        1       22,193
CHIRON CORP                            EQUITY   170040109     672      15,214 SH        defined     2                  15,214
CHIRON CORP.                           EQUITY   170040109    5202     117,686 SH        sole        1      117,686
CHITTENDEN CORP.                       EQUITY   170228100     683      25,065 SH        sole        1       25,065
CHOICE HOTELS INTL INC.                EQUITY   169905106      23         397 SH        sole        1          397
CHOICEPOINT INC.                       EQUITY   170388102    6237     146,238 SH        sole        1      146,238
CHORDIANT SOFTWARE INC                 EQUITY   170404107     114      39,050 SH        sole        1       39,050





                                                                                             
CHRISTOPHER & BANKS CORPORATIO         EQUITY   171046105     328      20,469 SH        sole        1       20,469
CHUBB CORP                             EQUITY   171232101    4000      56,918 SH        defined     2                  56,918
Chubb Corp Com Stk USD1                EQUITY   171232101    2443      34,760 SH        sole        1       34,760
CHUBB CORP.                            EQUITY   171232101   39892     567,611 SH        sole        1      567,611
CHURCH & DWIGHT CO., INC.              EQUITY   171340102    2864     102,071 SH        sole        1      102,071
CHURCHILL DOWNS, INC.                  EQUITY   171484108     163       4,165 SH        sole        1        4,165
CIA ANONIMA TELEF DE VEN-ADR (CANTV)   EQUITY   204421101     119       5,300 SH        sole        1        5,300
CIBER, INC.                            EQUITY   17163B102     209      27,780 SH        sole        1       27,780
CIENA CORP                             EQUITY   171779101       1         649 SH        defined     2                     649
CIENA CORP.                            EQUITY   171779101     502     253,630 SH        sole        1      253,630
CIGNA CORP                             EQUITY   125509109      11         157 SH        defined     2                     157
CIGNA CORP.                            EQUITY   125509109    4292      61,644 SH        sole        1       61,644
CIMAREX ENERGY CO                      EQUITY   171798101     787      22,538 SH        sole        1       22,538
CINCINNATI BELL INC                    EQUITY   171871106    3209     919,536 SH        sole        1      919,536
CINCINNATI FINANCIAL CORP.             EQUITY   172062101    3079      74,689 SH        sole        1       74,689
CINCINNATI FINL CORP                   EQUITY   172062101       8         192 SH        defined     2                     192
CINERGY CORP                           EQUITY   172474108       8         206 SH        defined     2                     206
CINERGY CORP.                          EQUITY   172474108    3187      80,477 SH        sole        1       80,477
CINTAS CORP                            EQUITY   172908105       8         195 SH        defined     2                     195
CINTAS CORP.                           EQUITY   172908105    3792      90,193 SH        sole        1       90,193
CIPHERGEN BIOSYSTEMS INC               EQUITY   17252Y104      49      12,609 SH        sole        1       12,609
CIRCLE GROUP HOLDINGS INC              EQUITY   172570103      20      10,943 SH        sole        1       10,943
CIRCOR INTERNATIONAL, INC.             EQUITY   17273K109     163       8,356 SH        sole        1        8,356
CIRCUIT CITY STORE INC COM             EQUITY   172737108       9     588,400 SH        sole        3      569,500            18,900
CIRCUIT CITY STORES INC                EQUITY   172737108       3         227 SH        defined     2                     227
CIRCUIT CITY STORES, INC.              EQUITY   172737108    1361      88,705 SH        sole        1       88,705
CIRRUS LOGIC, INC.                     EQUITY   172755100     219      45,960 SH        sole        1       45,960
CISCO SYS INC                          EQUITY   17275R102   20943   1,151,507 SH        defined     2               1,151,507
CISCO SYS INC COM                      EQUITY   17275R102       1      78,800 SH        sole        3       78,800
Cisco Systems Inc Com Stk              EQUITY   17275R102  108841   6,013,332 SH        sole        1    6,013,332
CIT GROUP INC                          EQUITY   125581108     163       4,360 SH        sole        1        4,360
CIT GROUP INC NEW                      EQUITY   125581108     239       6,400 SH        defined     2                   6,400
CITADEL BROADCASTING CORP              EQUITY   17285T106      14       1,124 SH        sole        1        1,124
CITIGOUP INC                           EQUITY   172967101  159808   3,622,129 SH        sole        1    3,622,129
CITIGROUP INC                          EQUITY   172967101   33996     770,524 SH        defined     2                 770,524
Citigroup Inc. Com Stk USD.01          EQUITY   172967101    1267      28,716 SH        sole        1       28,716
CITIZENS BANKING CORP.                 EQUITY   174420109     769      23,611 SH        sole        1       23,611
CITIZENS COMMUNICATIONS CO             EQUITY   17453B101       5         378 SH        defined     2                     378
CITIZENS COMMUNICATIONS INC            EQUITY   17453B101    1969     147,016 SH        sole        1      147,016
CITIZENS FIRST BANCORP                 EQUITY   17461R106     116       4,642 SH        sole        1        4,642
CITIZENS INC                           EQUITY   174740100      95      15,959 SH        sole        1       15,959
CITRIX SYS INC                         EQUITY   177376100       3         193 SH        defined     2                     193
CITRIX SYSTEMS, INC.                   EQUITY   177376100    1576      89,930 SH        sole        1       89,930
CITY HOLDING CO.                       EQUITY   177835105     300       9,110 SH        sole        1        9,110
CITY NATIONAL CORP.                    EQUITY   178566105    5245      80,753 SH        sole        1       80,753
CITYBANK                               EQUITY   17770A109     147       4,200 SH        sole        1        4,200
CK WITCO CORP                          EQUITY   227116100    2364     249,114 SH        sole        1      249,114
CKE RESTAURANTS INC                    EQUITY   12561E105     311      28,188 SH        sole        1       28,188
CLAIRE'S STORES, INC.                  EQUITY   179584107    4078     162,863 SH        sole        1      162,863
CLARCOR, INC.                          EQUITY   179895107     659      13,823 SH        sole        1       13,823
CLARK INC                              EQUITY   181457102     119       8,783 SH        sole        1        8,783
CLARUS CORPORATION                     EQUITY   182707109      63       7,212 SH        sole        1        7,212
CLAYTON WILLIAMS ENERGY, INC.          EQUITY   969490101      59       2,769 SH        sole        1        2,769
CLEAR CHANNEL COMMUNICATIO             EQUITY   184502102      21         673 SH        defined     2                     673
CLEAR CHANNEL COMMUNICATIONS           EQUITY   184502102    8724     279,893 SH        sole        1      279,893
CLECO CORP                             EQUITY   12561W105    2088     121,097 SH        sole        1      121,097





                                                                                              
CLEVELAND CLIFFS INC                   EQUITY   185896107    5693      70,400 SH        defined     2                  70,400
CLEVELAND-CLIFFS, INC.                 EQUITY   185896107     471       5,827 SH        sole        1        5,827
CLIFTON SAVINGS BANCORP INC            EQUITY   18712Q103      87       7,486 SH        sole        1        7,486
CLOROX CO                              EQUITY   189054109   13036     244,569 SH        defined     2                 244,569
CLOROX CO.                             EQUITY   189054109    4981      93,445 SH        sole        1       93,445
CLOSURE MEDICAL CORP.                  EQUITY   189093107      53       3,745 SH        sole        1        3,745
CMGI INC.                              EQUITY   125750109     248     205,285 SH        sole        1      205,285
CMS ENERGY CORP                        EQUITY   125896100       2         184 SH        defined     2                     184
CMS ENERGY CORP.                       EQUITY   125896100    1502     157,754 SH        sole        1      157,754
CNA FINANCIAL CORP                     EQUITY   126117100      14         570 SH        sole        1          570
CNA SURETY CORP.                       EQUITY   12612L108      90       8,479 SH        sole        1        8,479
CNET NETWORKS INC                      EQUITY   12613R104    2508     274,100 SH        defined     2                 274,100
CNET NETWORKS INC.                     EQUITY   12613R104     636      69,469 SH        sole        1       69,469
CNF INC.                               EQUITY   12612W104    3445      84,037 SH        sole        1       84,037
COACH INC                              EQUITY   189754104    3556      83,822 SH        sole        1       83,822
COACH INC                              EQUITY   189754104     730      17,214 SH        defined     2                  17,214
COACHMEN INDUSTRIES, INC.              EQUITY   189873102     121       7,673 SH        sole        1        7,673
COASTAL FINL CORP DEL                  EQUITY   19046E105     101       6,985 SH        sole        1        6,985
COBIZ INC                              EQUITY   190897108     116       7,018 SH        sole        1        7,018
COCA COLA CO                           EQUITY   191216100    4024     100,466 SH        defined     2                 100,466
COCA COLA ENTERPRISES INC              EQUITY   191219104      10         535 SH        defined     2                     535
COCA COLA ENTERPRISES, INC.            EQUITY   191219104    4458     235,880 SH        sole        1      235,880
COCA-COLA BOTTLING CO.                 EQUITY   191098102     117       2,158 SH        sole        1        2,158
COCA-COLA CO.                          EQUITY   191216100   44011   1,098,896 SH        sole        1    1,098,896
COEUR D'ALENE MINES CORP               EQUITY   192108108     553     116,755 SH        sole        1      116,755
COGNEX CORP.                           EQUITY   192422103     570      21,754 SH        sole        1       21,754
COGNIZANT TECH SOLUTION                EQUITY   192446102    6611     216,692 SH        sole        1      216,692
COGNOS INC                             EQUITY   19244C109   16435     462,700 SH        defined     2                 462,700
COHEN & STEERS INC                     EQUITY   19247A100      63       4,081 SH        sole        1        4,081
COHERENT, INC.                         EQUITY   192479103     427      16,446 SH        sole        1       16,446
COHU, INC.                             EQUITY   192576106     173      11,683 SH        sole        1       11,683
COINSTAR, INC                          EQUITY   19259P300     271      11,614 SH        sole        1       11,614
COLDWATER CREEK, INC.                  EQUITY   193068103     249      11,953 SH        sole        1       11,953
COLE NATIONAL CORP. CLASS A            EQUITY   193290103     204       7,358 SH        sole        1        7,358
COLE, K. PRODUCTIONS, INC. CLASS A     EQUITY   193294105     128       4,540 SH        sole        1        4,540
Coles Myer Ltd ADR                     EQUITY   193870409      89       1,650 SH        sole        1        1,650
Colgate                                EQUITY   194162103    1807      40,000 SH        sole        4       40,000
COLGATE PALMOLIVE CO                   EQUITY   194162103   12356     273,482 SH        defined     2                 273,482
Colgate-Palmolive Co Com Stk USD1      EQUITY   194162103   32259     714,015 SH        sole        1      714,015
COLLEGIATE FUNDING SERVICES            EQUITY   19458M108      55       4,354 SH        sole        1        4,354
COLLINS & AIKMAN CORP                  EQUITY   194830204      87      20,868 SH        sole        1       20,868
COLONIAL BANCGROUP, INC.               EQUITY   195493309    4505     220,304 SH        sole        1      220,304
COLONIAL PROPERTIES TRUST              EQUITY   195872106     538      13,388 SH        sole        1       13,388
COLOR KINETICS INC                     EQUITY   19624P100      28       2,181 SH        sole        1        2,181
COLUMBIA BANCORP                       EQUITY   197227101      92       3,165 SH        sole        1        3,165
COLUMBIA BANKING SYSTEM, INC           EQUITY   197236102     182       7,644 SH        sole        1        7,644
COLUMBIA SPORTSWEAR                    EQUITY   198516106      18         328 SH        sole        1          328
COMCAST CORP NEW                       EQUITY   20030N101    3517     124,541 SH        defined     2                 124,541
COMCAST CORP NEW                       EQUITY   20030N200     436      15,600 SH        defined     2                  15,600
COMCAST CORP-CL A                      EQUITY   20030N101   37652   1,333,287 SH        sole        1    1,333,287
COMERICA INC                           EQUITY   200340107    5596      94,295 SH        defined     2                  94,295
COMERICA, INC.                         EQUITY   200340107    8344     140,588 SH        sole        1      140,588
COMFORT SYS USA INC                    EQUITY   199908104     138      20,949 SH        sole        1       20,949
COMMERCE BANCORP INC                   EQUITY   200519106    7145     129,433 SH        sole        1      129,433
COMMERCE BANCSHARES                    EQUITY   200525103      58       1,212 SH        sole        1        1,212
COMMERCE GROUP, INC.                   EQUITY   200641108     640      13,219 SH        sole        1       13,219





                                                                                                
COMMERCIAL CAPITAL BANCORP             EQUITY   20162L105     449      19,788 SH        sole        1       19,788
COMMERCIAL FEDERAL CORP.               EQUITY   201647104     599      22,194 SH        sole        1       22,194
COMMERCIAL METALS CO.                  EQUITY   201723103     628      15,816 SH        sole        1       15,816
COMMERCIAL NET LEASE REALTY            EQUITY   202218103    1318      72,348 SH        sole        1       72,348
COMMERCIAL VEHICLE GROUP INC           EQUITY   202608105      80       5,035 SH        sole        1        5,035
COMMONWEALTH TELEPHONE ENT.            EQUITY   203349105     511      11,742 SH        sole        1       11,742
COMMSCOPE INC.                         EQUITY   203372107    2534     117,329 SH        sole        1      117,329
COMMUNITY BANK SYSTEM, INC.            EQUITY   203607106     370      14,708 SH        sole        1       14,708
COMMUNITY BANKS INC                    EQUITY   203628102     169       5,825 SH        sole        1        5,825
COMMUNITY FIRST BANKSHARES             EQUITY   203902101     644      20,088 SH        sole        1       20,088
COMMUNITY HEALTH SYS                   EQUITY   203668108    3813     142,922 SH        sole        1      142,922
COMMUNITY TRUST BANCORP                EQUITY   204149108     183       5,898 SH        sole        1        5,898
COMPANHIA DE BEBIDAS-PR ADR            EQUITY   20441W203    1477      65,930 SH        sole        1       65,930
Compania Telecomunicaciones Chile ADR  EQUITY   204449300     255      13,500 SH        sole        1       13,500
COMPASS BANCSHARES, INC.               EQUITY   20449H109    8870     202,416 SH        sole        1      202,416
COMPASS MINERALS INTERNATION           EQUITY   20451N101     182       8,218 SH        sole        1        8,218
COMPUCOM SYS INC                       EQUITY   204780100      61      13,319 SH        sole        1       13,319
COMPUCREDIT CORPORATION                EQUITY   20478N100     189      10,168 SH        sole        1       10,168
COMPUTER ASSOC INTL INC                EQUITY   204912109      18         667 SH        defined     2                     667
COMPUTER ASSOCIATES  INT'L.            EQUITY   204912109    6549     249,007 SH        sole        1      249,007
COMPUTER PROGRAMS & SY                 EQUITY   205306103      71       3,515 SH        sole        1        3,515
COMPUTER SCIENCES                      EQUITY   205363104       8     162,500 SH        sole        3      162,500
COMPUTER SCIENCES CORP                 EQUITY   205363104      10         215 SH        defined     2                     215
COMPUTER SCIENCES CORP.                EQUITY   205363104    3962      84,116 SH        sole        1       84,116
COMPUWARE CORP                         EQUITY   205638109       2         440 SH        defined     2                     440
COMPUWARE CORP.                        EQUITY   205638109     977     189,702 SH        sole        1      189,702
COMPX INTERNATIONAL INC.               EQUITY   20563P101      30       1,845 SH        sole        1        1,845
COMSTOCK RESOURCES, INC.               EQUITY   205768203     395      18,893 SH        sole        1       18,893
COMTECH TELECOMMUNICATIONS             EQUITY   205826209     210       7,744 SH        sole        1        7,744
COMVERSE TECHNOLOGY INC                EQUITY   205862402       4         223 SH        defined     2                     223
COMVERSE TECHNOLOGY, INC.              EQUITY   205862402    1921     102,024 SH        sole        1      102,024
CONAGRA INC                            EQUITY   205887102   11664     453,684 SH        defined     2                 453,684
CONAGRA, INC.                          EQUITY   205887102   23637     919,352 SH        sole        1      919,352
CONCEPTUS INC                          EQUITY   206016107     129      13,893 SH        sole        1       13,893
CONCORD COMMUNICATIONS                 EQUITY   206186108      89       9,957 SH        sole        1        9,957
CONCUR TECHNOLOGIES INC                EQUITY   206708109     150      14,255 SH        sole        1       14,255
CONEXANT SYSTEMS INC.                  EQUITY   207142100      15       9,514 SH        sole        1        9,514
CONMED CORP.                           EQUITY   207410101     426      16,194 SH        sole        1       16,194
CONNECTICUT WATER SVC INC              EQUITY   207797101     115       4,351 SH        sole        1        4,351
CONNETICS CORP                         EQUITY   208192104     462      17,115 SH        sole        1       17,115
CONNETICS CORP                         EQUITY   208192104     967      35,800 SH        defined     2                  35,800
CONN'S INC                             EQUITY   208242107      53       3,771 SH        sole        1        3,771
CONOCOPHILLIPS                         EQUITY   20825C104     778       9,385 SH        defined     2                   9,385
CONOCOPHILLIPS PETROLEUM CO            EQUITY   20825C104   39015     470,910 SH        sole        1      470,910
CONS TOMOKA LAND CO-FLORIDA            EQUITY   210226106     107       3,071 SH        sole        1        3,071
CONSECO INC                            EQUITY   208464883      56       3,183 SH        sole        1        3,183
CONSOL ENERGY INC                      EQUITY   20854P109      66       1,888 SH        sole        1        1,888
CONSOLIDATED EDISON INC                EQUITY   209115104      12         275 SH        defined     2                     275
CONSOLIDATED EDISON, INC.              EQUITY   209115104    4585     109,053 SH        sole        1      109,053
CONSOLIDATED GRAPHICS, INC.            EQUITY   209341106     257       6,145 SH        sole        1        6,145
CONSTELLATION BRANDS                   EQUITY   21036P108    6725     176,695 SH        sole        1      176,695
CONSTELLATION ENERGY GROUP             EQUITY   210371100       8         200 SH        defined     2                     200
CONSTELLATION ENERGY GRUOP INC         EQUITY   210371100    3108      78,018 SH        sole        1       78,018
CONTINENTAL AIRLS INC COM CL B         EQUITY   210795308     312      36,629 SH        sole        1       36,629
CONVERGYS CORP                         EQUITY   212485106    1079      80,366 SH        sole        1       80,366
CONVERGYS CORP                         EQUITY   212485106       2         162 SH        defined     2                     162





                                                                                             
COOPER CAMERON CORP.                   EQUITY   216640102    6598     120,318 SH        sole        1      120,318
COOPER COS INC COM NEW                 EQUITY   216648402      22     321,852 SH        sole        3      311,666            10,186
COOPER INDUSTRIES INC CL A             EQUITY   G24182100    2374      40,238 SH        sole        1       40,238
COOPER INDUSTRIES LTD                  EQUITY   G24182100     449       7,608 SH        defined     2                   7,608
COOPER TIRE & RUBBER CO                EQUITY   216831107    1366      67,717 SH        sole        1       67,717
COOPER TIRE + RUBR CO                  EQUITY   216831107       2          85 SH        defined     2                      85
COORS ADOLPH CLASS B                   EQUITY   217016104    1118      16,462 SH        sole        1       16,462
COORS ADOLPH CO                        EQUITY   217016104       3          43 SH        defined     2                      43
COPART, INC.                           EQUITY   217204106    2800     147,918 SH        sole        1      147,918
CORCEPT THERAPEUTICS INC               EQUITY   218352102      19       2,455 SH        sole        1        2,455
CORGENTECH INC                         EQUITY   21872P105      57       3,354 SH        sole        1        3,354
CORILLIAN CORP                         EQUITY   218725109      81      17,671 SH        sole        1       17,671
CORINTHIAN COLLEGES COM                EQUITY   218868107       9     668,586 SH        sole        3      639,600            28,986
CORINTHIAN COLLEGES INC                EQUITY   218868107    2006     148,835 SH        sole        1      148,835
CORIXA CORP.                           EQUITY   21887F100     126      30,338 SH        sole        1       30,338
CORN PRODUCTS INTERNATIONAL            EQUITY   219023108     916      19,863 SH        sole        1       19,863
CORNELL COMPANIES INC                  EQUITY   219141108      90       7,246 SH        sole        1        7,246
CORNERSTONE REALITY INCOME             EQUITY   21922V102     328      33,652 SH        sole        1       33,652
CORNING INC                            EQUITY   219350105    3590     323,989 SH        defined     2                 323,989
CORNING, INC.                          EQUITY   219350105    6648     600,039 SH        sole        1      600,039
CORP EXEC BOARD CO.                    EQUITY   21988R102      51         835 SH        sole        1          835
CORPORATE EXEC BRD CO COM              EQUITY   21988R102      22     360,226 SH        sole        3      348,990            11,236
CORPORATE OFFICE PROPERTIES TR         EQUITY   22002T108     573      22,353 SH        sole        1       22,353
CORRECTIONAL PROPERTIES TRUST          EQUITY   22025E104     197       7,230 SH        sole        1        7,230
CORRECTIONS CORP. OF AMERICA           EQUITY   22025Y407     677      19,146 SH        sole        1       19,146
CORUS BANKSHARES, INC.                 EQUITY   220873103     366       8,482 SH        sole        1        8,482
CORVEL CORP.                           EQUITY   221006109     103       3,454 SH        sole        1        3,454
CORVIS CORP                            EQUITY   221009103     170     212,043 SH        sole        1      212,043
COSI INC                               EQUITY   22122P101      60      11,205 SH        sole        1       11,205
COST PLUS, INC.                        EQUITY   221485105     421      11,897 SH        sole        1       11,897
COSTAR GROUP INC COM                   EQUITY   22160N109      12     251,400 SH        sole        3      249,000             2,400
COSTAR GROUP, INC.                     EQUITY   22160N109     430       8,737 SH        sole        1        8,737
COSTCO WHOLESALE CORPORATION           EQUITY   22160K105    8971     216,126 SH        sole        1      216,126
COSTCO WHSL CORP NEW                   EQUITY   22160K105      22         526 SH        defined     2                     526
COUNTRYWIDE FINANCIAL                  EQUITY   222372104    9437     239,578 SH        sole        1      239,578
COUNTRYWIDE FINL CORP                  EQUITY   222372104    9881     250,840 SH        defined     2                 250,840
COURIER CORP                           EQUITY   222660102     147       3,512 SH        sole        1        3,512
COURTYARD BY MARRIOTT II               EQUITY   44107P104     652      46,498 SH        sole        1       46,498
COUSINS PROPERTIES, INC.               EQUITY   222795106     862      25,117 SH        sole        1       25,117
COVANCE INC                            EQUITY   222816100    1015      25,400 SH        defined     2                  25,400
COVANCE INC COM                        EQUITY   222816100      19     481,124 SH        sole        3      465,000            16,124
COVANCE INC.                           EQUITY   222816100    4128     103,280 SH        sole        1      103,280
COVANSYS CORP.                         EQUITY   22281W103     126      10,927 SH        sole        1       10,927
COVENANT TRANSPORT INC CLASS A         EQUITY   22284P105      92       4,750 SH        sole        1        4,750
COVENTRY HEALTH CARE, INC.             EQUITY   222862104    8175     153,172 SH        sole        1      153,172
COX RADIO INC-CL A                     EQUITY   224051102      12         791 SH        sole        1          791
CRANE CO                               EQUITY   224399105       2          67 SH        defined     2                      67
CRANE CO.                              EQUITY   224399105     760      26,271 SH        sole        1       26,271
CRAWFORD & CO. CLASS B                 EQUITY   224633107      47       7,008 SH        sole        1        7,008
CRAY INC                               EQUITY   225223106     165      46,684 SH        sole        1       46,684
CREDENCE SYSTEMS CORP.                 EQUITY   225302108    1495     207,631 SH        sole        1      207,631
CREDIT ACCEPTANCE CORP.                EQUITY   225310101     110       5,815 SH        sole        1        5,815
CREE INC                               EQUITY   225447101    3687     120,892 SH        sole        1      120,892
CRESCENT REAL ESTATE EQUITIES, INC.    EQUITY   225756105     202      12,838 SH        sole        1       12,838
CRITICAL THERAPEUTICS INC              EQUITY   22674T105    2183     373,200 SH        defined     2                 373,200
CROSS COUNTRY HEALTHCARE INC           EQUITY   227483104     194      12,502 SH        sole        1       12,502





                                                                                              
CROSS TIMBERS RLTY TR                  EQUITY   22757R109      15         442 SH        defined     2                     442
CROSSTEX ENERGY INC                    EQUITY   22765Y104      53       1,291 SH        sole        1        1,291
CROSSTEX ENERGY INC COM                EQUITY   22765Y104       2      57,800 SH        sole        3       57,800
CROWN CASTLE INTERNATIONAL             EQUITY   228227104      59       3,977 SH        sole        1        3,977
CROWN HOLDINGS INC                     EQUITY   228368106     928      89,972 SH        sole        1       89,972
CROWN MEDIA HOLDINGS-CLASS A           EQUITY   228411104      66       7,916 SH        sole        1        7,916
CRT PROPERTIES INC                     EQUITY   22876P109     379      17,672 SH        sole        1       17,672
CSG SYSTEMS INTERNATIONAL, INC         EQUITY   126349109    1761     114,283 SH        sole        1      114,283
CSK AUTO CORP                          EQUITY   125965103     338      25,343 SH        sole        1       25,343
CSS INDUSTRIES, INC.                   EQUITY   125906107     117       3,787 SH        sole        1        3,787
CSX CORP.                              EQUITY   126408103    3181      95,822 SH        sole        1       95,822
CSX CORP                               EQUITY   126408103       8         245 SH        defined     2                     245
CT COMMUNICATION                       EQUITY   126426402     142      10,284 SH        sole        1       10,284
CTI MOLECULAR IMAGING INC              EQUITY   22943D105     137      16,947 SH        sole        1       16,947
CTS CORP.                              EQUITY   126501105     248      19,653 SH        sole        1       19,653
CUBIC CORP.                            EQUITY   229669106     195       8,516 SH        sole        1        8,516
CUBIST PHARMA INC                      EQUITY   229678107     217      21,913 SH        sole        1       21,913
CUBIST PHARMACEUTICALS INC             EQUITY   229678107    2318     234,600 SH        defined     2                 234,600
CULLEN/FROST BANKERS                   EQUITY   229899109    3953      85,076 SH        sole        1       85,076
CUMMINS INC                            EQUITY   231021106       4          50 SH        defined     2                      50
CUMMINS INC.                           EQUITY   231021106    1453      19,661 SH        sole        1       19,661
CUMULUS MEDIA, INC.                    EQUITY   231082108     386      26,835 SH        sole        1       26,835
CUNO, INC.                             EQUITY   126583103     533       9,228 SH        sole        1        9,228
CURAGEN CORP                           EQUITY   23126R101     129      23,456 SH        sole        1       23,456
CURIS INC.                             EQUITY   231269101     100      22,576 SH        sole        1       22,576
CURTISS-WRIGHT CORP.                   EQUITY   231561101     654      11,434 SH        sole        1       11,434
CV THERAPEUTICS, INC.                  EQUITY   126667104     214      17,150 SH        sole        1       17,150
CVB FINANCIAL CORP                     EQUITY   126600105     444      19,963 SH        sole        1       19,963
CVS CORP                               EQUITY   126650100      19         455 SH        defined     2                     455
CVS CORP.                              EQUITY   126650100   12565     298,255 SH        sole        1      298,255
CYBERGUARD CORP                        EQUITY   231910100      52       8,764 SH        sole        1        8,764
CYBERONICS                             EQUITY   23251P102     193       9,437 SH        sole        1        9,437
CYBEROPTICS CORP                       EQUITY   232517102      62       4,035 SH        sole        1        4,035
CYBERSOURCE CORP                       EQUITY   23251J106      72      14,882 SH        sole        1       14,882
CYMER INC                              EQUITY   232572107    5262     183,600 SH        defined     2                 183,600
CYMER, INC.                            EQUITY   232572107     574      20,024 SH        sole        1       20,024
CYPRESS BIOSCIENCE INC                 EQUITY   232674507     187      15,999 SH        sole        1       15,999
CYPRESS BIOSCIENCES INC                EQUITY   232674507    3234     277,100 SH        defined     2                 277,100
CYPRESS SEMICONDUCTOR CORP.            EQUITY   232806109    1828     206,747 SH        sole        1      206,747
CYTEC INDUSTRIES, INC.                 EQUITY   232820100    4160      84,983 SH        sole        1       84,983
CYTOGEN CORP                           EQUITY   232824300      89       8,449 SH        sole        1        8,449
CYTOKINETICS INC                       EQUITY   23282W100      55       4,120 SH        sole        1        4,120
CYTYC CORP                             EQUITY   232946103    5938     245,900 SH        defined     2                 245,900
CYTYC CORPORATION                      EQUITY   232946103    4423     183,165 SH        sole        1      183,165
D & E COMMUNICATIONS INC               EQUITY   232860106      81       7,079 SH        sole        1        7,079
D R HORTON INC COM                     EQUITY   23331A109       6     182,300 SH        sole        3      176,000             6,300
D.R. HORTON INC                        EQUITY   23331A109   12741     384,820 SH        sole        1      384,820
DADE BEHRING HOLDINGS INC              EQUITY   23342J206      50         906 SH        sole        1          906
DANA CORP                              EQUITY   235811106    1487      84,048 SH        sole        1       84,048
DANA CORP                              EQUITY   235811106       3         170 SH        defined     2                     170
DANAHER CORP                           EQUITY   235851102   20981     409,151 SH        defined     2                 409,151
DANAHER CORP.                          EQUITY   235851102   16616     324,029 SH        sole        1      324,029
DANIELSON HOLDING CORP                 EQUITY   236274106     152      24,977 SH        sole        1       24,977
DARDEN RESTAURANTS INC                 EQUITY   237194105       4         180 SH        defined     2                     180
DARDEN RESTAURANTS, INC.               EQUITY   237194105    1646      70,595 SH        sole        1       70,595
DARLING INTERNATIONAL INC              EQUITY   237266101     150      34,776 SH        sole        1       34,776





                                                                                             
DATASCOPE CORP.                        EQUITY   238113104     237       6,349 SH        sole        1        6,349
DAVE & BUSTERS INC                     EQUITY   23833N104     115       6,051 SH        sole        1        6,051
DAVITA INC                             EQUITY   23918K108      64       2,047 SH        sole        1        2,047
DDI CORP                               EQUITY   233162304      72      14,209 SH        sole        1       14,209
DEAN FOODS CO                          EQUITY   242370104    7812     260,228 SH        sole        1      260,228
DEB SHOPS, INC                         EQUITY   242728103      56       2,311 SH        sole        1        2,311
DECKERS OUTDOOR CORP                   EQUITY   243537107     166       4,880 SH        sole        1        4,880
DECKERS OUTDOOR CORP COM               EQUITY   243537107       4     115,900 SH        sole        3      115,900
DECODE GENETICS, INC                   EQUITY   243586104     197      26,159 SH        sole        1       26,159
DEERE & CO.                            EQUITY   244199105    6815     105,583 SH        sole        1      105,583
DEERE + CO                             EQUITY   244199105     717      11,108 SH        defined     2                  11,108
DEL LABS INC                           EQUITY   245091103      88       2,668 SH        sole        1        2,668
DEL MONTE                              EQUITY   24522P103      40       3,855 SH        sole        1        3,855
DELL INC                               EQUITY   24702R101   92625   2,601,823 SH        sole        1    2,601,823
DELL INC                               EQUITY   24702R101   26799     752,771 SH        defined     2                 752,771
DELPHI CORP                            EQUITY   247126105    2303     247,903 SH        sole        1      247,903
DELPHI CORP                            EQUITY   247126105       6         640 SH        defined     2                     640
DELPHI FINANCIAL GROUP, INC., CLASS A  EQUITY   247131105     540      13,454 SH        sole        1       13,454
DELTA & PINE LAND CO.                  EQUITY   247357106     551      20,590 SH        sole        1       20,590
DELTA AIR LINES INC                    EQUITY   247361108                 143 SH        defined     2                     143
DELTA AIR LINES, INC.                  EQUITY   247361108     367     111,563 SH        sole        1      111,563
DELTA PETROLEUM CORP                   EQUITY   247907207     134      10,264 SH        sole        1       10,264
DELTIC TIMBER CORP.                    EQUITY   247850100     214       5,390 SH        sole        1        5,390
DELUXE CORP                            EQUITY   248019101       2          57 SH        defined     2                      57
DELUXE CORP.                           EQUITY   248019101    1103      26,878 SH        sole        1       26,878
DENBURY RESOURCES INC                  EQUITY   247916208     757      29,786 SH        sole        1       29,786
DENDREAN CORP COM                      EQUITY   24823Q107       5     585,000 SH        sole        3      561,700            23,300
DENDREON CORP                          EQUITY   24823Q107    1444     171,715 SH        sole        1      171,715
DENDRITE INTERNATIONAL, INC.           EQUITY   248239105     317      19,665 SH        sole        1       19,665
DENTSPLY INTERNATIONAL INC.            EQUITY   249030107    7194     138,498 SH        sole        1      138,498
DEPARTMENT 56 INC                      EQUITY   249509100     117       7,207 SH        sole        1        7,207
DEPOMED INC                            EQUITY   249908104      60      11,490 SH        sole        1       11,490
DESIGN WITHIN REACH INC                EQUITY   250557105      39       2,278 SH        sole        1        2,278
DEVELOPERS DIVERSIFIED REALTY          EQUITY   251591103    7100     181,341 SH        sole        1      181,341
DEVON ENERGY CORP.                     EQUITY   25179M103    8252     116,206 SH        sole        1      116,206
DEVON ENERGY CORPORATION N             EQUITY   25179M103      20         276 SH        defined     2                     276
DEVRY, INC.                            EQUITY   251893103    2396     115,676 SH        sole        1      115,676
DEX MEDIA INC                          EQUITY   25212E100      23       1,106 SH        sole        1        1,106
DHB INDS INC                           EQUITY   23321E103     158      11,117 SH        sole        1       11,117
DIAGEO PLC                             EQUITY   25243Q205    9632     125,500 SH        defined     2                 125,500
DIAGNOSTIC PRODUCTS CORP.              EQUITY   252450101     504      12,333 SH        sole        1       12,333
DIAMOND OFFSHORE DRILLING              EQUITY   25271C102     797      24,144 SH        sole        1       24,144
DIAMONDCLUSTER INT'L INC CL A          EQUITY   25278P106     155      12,678 SH        sole        1       12,678
DICK'S SPORTING GOODS INC              EQUITY   253393102     585      16,414 SH        sole        1       16,414
DIEBOLD, INC.                          EQUITY   253651103    5529     118,402 SH        sole        1      118,402
DIGENE CORP                            EQUITY   253752109     198       7,642 SH        sole        1        7,642
DIGI INTERNATIONAL INC                 EQUITY   253798102     134      11,680 SH        sole        1       11,680
DIGIMARC CORP                          EQUITY   253807101      76       8,417 SH        sole        1        8,417
DIGITAL INSIGHT                        EQUITY   25385P106     260      19,108 SH        sole        1       19,108
DIGITAL INSIGHT CORP                   EQUITY   25385P106    2723     199,800 SH        defined     2                 199,800
DIGITAL RIV INC                        EQUITY   25388B104     517      17,363 SH        sole        1       17,363
DIGITAL THEATER SYSTEMS INC            EQUITY   25389G102     167       9,154 SH        sole        1        9,154
DIGITALNET HLDGS INC COM               EQUITY   25389B103       4     128,500 SH        sole        3      117,100            11,400
DIGITALNET HOLDINGS INC                EQUITY   25389B103    2240      74,140 SH        sole        1       74,140
DIGITAS INC                            EQUITY   25388K104     226      29,238 SH        sole        1       29,238
DILLARDS INC                           EQUITY   254067101       2          95 SH        defined     2                      95





                                                                                              
DILLARDS, INC. CLASS A                 EQUITY   254067101     725      36,706 SH        sole        1       36,706
DIME CMNTY BANCORP INC                 EQUITY   253922108    1914     113,900 SH        defined     2                 113,900
DIME COMMUNITY BANCSHARES              EQUITY   253922108     283      16,846 SH        sole        1       16,846
DIMON, INC.                            EQUITY   254394109     145      24,581 SH        sole        1       24,581
DIODES INC                             EQUITY   254543101     100       3,895 SH        sole        1        3,895
DIONEX CORP.                           EQUITY   254546104     553      10,111 SH        sole        1       10,111
DIRECT GENERAL CORP                    EQUITY   25456W204     249       8,626 SH        sole        1        8,626
DIRECTV GROUP INC                      EQUITY   25459L106    2162     122,883 SH        defined     2                 122,883
DISCOVERY LABORATORIES INC             EQUITY   254668106     171      25,463 SH        sole        1       25,463
DISNEY WALT CO                         EQUITY   254687106    7916     351,045 SH        defined     2                 351,045
DITECH COMMUNICATIONS COM              EQUITY   25500M103       3     123,900 SH        sole        3      123,900
DITECH COMMUNICATIONS CORP             EQUITY   25500M103     347      15,486 SH        sole        1       15,486
DIVERSA CORP                           EQUITY   255064107     107      12,869 SH        sole        1       12,869
DJ ORTHOPEDICS INC                     EQUITY   23325G104     172       9,733 SH        sole        1        9,733
DOBSON COMMUNICATIONS                  EQUITY   256069105    2931   1,731,281 SH        sole        1    1,729,782
DOBSON COMMUNICATIONS CORP             EQUITY   256069105     235     176,316 SH        defined     2                 176,316
DOLLAR GEN CORP                        EQUITY   256669102       8         374 SH        defined     2                     374
DOLLAR GENERAL CORP.                   EQUITY   256669102    2934     145,616 SH        sole        1      145,616
DOLLAR THRIFTY AUTOMOTIVE              EQUITY   256743105     334      13,746 SH        sole        1       13,746
DOLLAR TREE STORES INC.                EQUITY   256747106    5260     195,160 SH        sole        1      195,160
DOMINION HOMES INC                     EQUITY   257386102      52       2,174 SH        sole        1        2,174
DOMINION RES INC VA NEW                EQUITY   25746U109     553       8,476 SH        defined     2                   8,476
DOMINION RESOURCES, INC.               EQUITY   25746U109    9164     140,446 SH        sole        1      140,446
DOMINO'S PIZZA INC                     EQUITY   25754A201     194      13,203 SH        sole        1       13,203
DONALDSON CO., INC.                    EQUITY   257651109    4042     142,361 SH        sole        1      142,361
DONEGAL GROUP INC-CL A                 EQUITY   257701201      66       3,412 SH        sole        1        3,412
DONNELLEY R R + SONS CO                EQUITY   257867101       8         250 SH        defined     2                     250
DORAL FINANCIAL CORP.                  EQUITY   25811P100      74       1,788 SH        sole        1        1,788
DORCHESTER MINERALS LP                 EQUITY   25820R105      85       4,200 SH        sole        1        4,200
DOT HILL SYSTEMS CORP                  EQUITY   25848T109     190      23,630 SH        sole        1       23,630
DOUBLECLICK INC                        EQUITY   258609304     364      61,518 SH        sole        1       61,518
DOV PHARMACEUTICAL INC                 EQUITY   259858108    2427      66,734 SH        sole        1       66,734
DOVER CORP                             EQUITY   260003108    8580     220,732 SH        defined     2                 220,732
DOVER CORP.                            EQUITY   260003108   14099     362,733 SH        sole        1      362,733
DOVER DOWNS GAMING & ENTERTA           EQUITY   260095104      57       5,525 SH        sole        1        5,525
DOVER MOTORSPORTS INC                  EQUITY   260174107      36       8,498 SH        sole        1        8,498
DOW CHEM CO                            EQUITY   260543103    9536     211,071 SH        defined     2                 211,071
Dow Chemical                           EQUITY   260543103    1355      30,000 SH        sole        4       30,000
DOW CHEMICAL CO.                       EQUITY   260543103   19211     425,201 SH        sole        1      425,201
DOW JONES & CO., INC.                  EQUITY   260561105    1748      43,038 SH        sole        1       43,038
DOW JONES + CO INC                     EQUITY   260561105       4          93 SH        defined     2                      93
DOWNEY FINANCIAL CORP.                 EQUITY   261018105     587      10,676 SH        sole        1       10,676
DPL, INC.                              EQUITY   233293109    4296     208,742 SH        sole        1      208,742
DRESS BARN, INC.                       EQUITY   261570105     195      11,173 SH        sole        1       11,173
DREW INDUSTRIES INC                    EQUITY   26168L205     139       3,891 SH        sole        1        3,891
DREXLER TECHNOLOGY COR                 COM    z 261876106      49       5,305 SH        sole        1        5,305
DREYERS GRAND ICE CREAM                EQUITY   261877104     555       6,940 SH        sole        1        6,940
DRILL QUIP                             EQUITY   262037104      79       3,542 SH        sole        1        3,542
DRS TECHNOLOGIES INC                   EQUITY   23330X100     483      12,894 SH        sole        1       12,894
DRS TECHNOLOGIES INC COM               EQUITY   23330X100       5     146,346 SH        sole        3      139,700             6,646
DRUGSTORE.COM                          EQUITY   262241102      82      24,119 SH        sole        1       24,119
DSP GROUP, INC. COM                    EQUITY   23332B106     334      15,885 SH        sole        1       15,885
DST SYS INC DEL COM                    EQUITY   233326107       2      35,400 SH        sole        3       28,200             7,200
DST SYSTEMS INC                        EQUITY   233326107    6157     138,450 SH        sole        1      138,450
DTE ENERGY CO                          EQUITY   233331107       8         198 SH        defined     2                     198
DTE ENERGY CO.                         EQUITY   233331107   16365     387,892 SH        sole        1      387,892





                                                                                             
DTE Energy Company                     EQUITY   233331107    7594     180,000 SH        sole        4      180,000
DU PONT E I DE NEMOURS + C             EQUITY   263534109   16488     385,240 SH        defined     2                 385,240
DUCOMMUN INC DEL                       EQUITY   264147109      89       3,962 SH        sole        1        3,962
DUKE ENERGY CO                         EQUITY   264399106      24       1,069 SH        defined     2                   1,069
DUKE ENERGY CORP.                      EQUITY   264399106   20293     886,539 SH        sole        1      886,539
DUKE REALTY                            EQUITY   264411505     632      19,030 SH        sole        1       19,030
DUN & BRADSTREET CORP NEW WI           EQUITY   26483E100    6808     115,980 SH        sole        1      115,980
DUPONT PHOTOMASKS                      EQUITY   26613X101     136       7,980 SH        sole        1        7,980
DUQUESNE LIGHT HOLDINGS INC            EQUITY   266233105    3772     210,044 SH        sole        1      210,044
DURATEK INC                            EQUITY   26658Q102      99       5,548 SH        sole        1        5,548
DURECT CORPORATION                     EQUITY   266605104      23      16,530 SH        sole        1       16,530
DUSA PHARAMACEUTICALS INC              EQUITY   266898105      94       8,157 SH        sole        1        8,157
DYAX CORP                              EQUITY   26746E103     109      14,262 SH        sole        1       14,262
DYAX CORP                              EQUITY   26746E103     955     125,000 SH        defined     2                 125,000
DYCOM INDUSTRIES, INC.                 EQUITY   267475101    2996     105,522 SH        sole        1      105,522
DYNAVAX TECHNOLOGIES CORP              EQUITY   268158102      18       3,392 SH        sole        1        3,392
DYNEGY INC NEW                         EQUITY   26816Q101       2         433 SH        defined     2                     433
DYNEGY INC.                            EQUITY   26816Q101     834     167,102 SH        sole        1      167,102
E TRADE FINL CORP                      EQUITY   269246104    5441     476,425 SH        defined     2                 476,425
E*TRADE FINANCIAL CORP                 EQUITY   269246104    1899     166,329 SH        sole        1      166,329
E.I. DU PONT DE NEMOURS AND CO         EQUITY   263534109   19687     459,977 SH        sole        1      459,977
E.PIHPANY, INC.                        EQUITY   26881V100     167      41,387 SH        sole        1       41,387
EAGLE BROADBAND INC                    EQUITY   269437109      79     110,031 SH        sole        1      110,031
EAGLE MATERIALS INC                    EQUITY   26969P108     731      10,254 SH        sole        1       10,254
EARTHLINK INC                          EQUITY   270321102     777      75,457 SH        sole        1       75,457
EAST WEST BANCORP                      EQUITY   27579R104     919      27,374 SH        sole        1       27,374
EAST WEST BANCORP INC COM              EQUITY   27579R104       8     241,640 SH        sole        3      229,200            12,440
EASTGROUP PROPERTIES, INC.             EQUITY   277276101     458      13,795 SH        sole        1       13,795
EASTMAN CHEM CO                        EQUITY   277432100       4          89 SH        defined     2                      89
EASTMAN CHEMICAL CO.                   EQUITY   277432100    6163     129,610 SH        sole        1      129,610
EASTMAN KODAK CO                       EQUITY   277461109      11         327 SH        defined     2                     327
EASTMAN KODAK CO.                      EQUITY   277461109    8695     269,864 SH        sole        1      269,864
EATON CORP                             EQUITY   278058102      11         173 SH        defined     2                     173
EATON CORP.                            EQUITY   278058102    4518      71,249 SH        sole        1       71,249
EATON VANCE CORP.                      EQUITY   278265103    4511     111,696 SH        sole        1      111,696
EBAY INC                               EQUITY   278642103   18485     201,053 SH        defined     2                 201,053
eBay Inc USD0.001                      EQUITY   278642103   84775     922,073 SH        sole        1      922,073
ECHELON                                EQUITY   27874N105     120      15,246 SH        sole        1       15,246
ECHOSTAR COMMUN COR                    EQUITY   278762109      38       1,225 SH        defined     2                   1,225
ECHOSTAR COMMUNICATIONS CORP. CLASS A  EQUITY   278762109     504      16,180 SH        sole        1       16,180
ECLIPSYS CORP.                         EQUITY   278856109     310      19,878 SH        sole        1       19,878
ECOLAB INC                             EQUITY   278865100       9         293 SH        defined     2                     293
ECOLAB, INC.                           EQUITY   278865100    6650     211,512 SH        sole        1      211,512
ECOLLEGE.COM INC                       EQUITY   27887E100      84       8,658 SH        sole        1        8,658
EDGE PETROLEUM CORP                    EQUITY   279862106     113       7,055 SH        sole        1        7,055
EDISON INTERNATIONAL INC               EQUITY   281020107    5031     189,782 SH        sole        1      189,782
EDISON INTL                            EQUITY   281020107      10         371 SH        defined     2                     371
EDO CORP                               EQUITY   281347104     237       8,536 SH        sole        1        8,536
EDUCATION LENDING GROUP INC            EQUITY   28140A109     101       6,809 SH        sole        1        6,809
EDUCATION MANAGEMENT CORP.             EQUITY   28139T101    3212     120,585 SH        sole        1      120,585
EDUCATION MGMT CORP                    EQUITY   28139T101     546      20,500 SH        defined     2                  20,500
EDWARDS LIFESCIENCES CORP              EQUITY   28176E108     362      10,800 SH        defined     2                  10,800
EDWARDS LIFESCIENCES CP                EQUITY   28176E108    3302      98,575 SH        sole        1       98,575
EFUNDS CORP                            EQUITY   28224R101     485      26,069 SH        sole        1       26,069
EGL INC.                               EQUITY   268484102     589      19,474 SH        sole        1       19,474
EL PASO CORP                           EQUITY   28336L109    3026     329,246 SH        sole        1      329,246





                                                                                             
EL PASO CORP                           EQUITY   28336L109       7         731 SH        defined     2                     731
EL PASO ELECTRIC CO.                   EQUITY   283677854     417      25,927 SH        sole        1       25,927
ELAN PLC                               EQUITY   284131208     438      18,700 SH        defined     2                  18,700
ELDORADO GOLD CORPORATION              EQUITY   284902103    2955     913,100 SH        defined     1            0    913,100
ELECTRO RENT CORP.                     EQUITY   285218103     108       9,815 SH        sole        1        9,815
ELECTRO SCIENTIFIC INDUSTRIES,         EQUITY   285229100     266      15,305 SH        sole        1       15,305
ELECTRONIC ARTS                        EQUITY   285512109    7051     153,316 SH        sole        1      153,316
ELECTRONIC ARTS INC                    EQUITY   285512109      16         346 SH        defined     2                     346
ELECTRONIC DATA SYS CORP N             EQUITY   285661104      11         584 SH        defined     2                     584
ELECTRONIC DATA SYSTEMS CORP.          EQUITY   285661104    4429     228,424 SH        sole        1      228,424
ELECTRONICS BOUTIQUE HLDGS. CO         EQUITY   286045109     216       6,327 SH        sole        1        6,327
ELECTRONICS FOR IMAGING, INC.          EQUITY   286082102     474      29,193 SH        sole        1       29,193
ELI LILLY AND CO.                      EQUITY   532457108   44128     734,860 SH        sole        1      734,860
ELIZABETH ARDEN INC                    EQUITY   28660G106     257      12,216 SH        sole        1       12,216
ELKCORP                                EQUITY   287456107     298      10,739 SH        sole        1       10,739
EMBARCADERO TECHNOLOGIES INC           EQUITY   290787100      98      11,559 SH        sole        1       11,559
EMC CORP                               EQUITY   268648102    6754     585,251 SH        defined     2                 585,251
EMC CORP.                              EQUITY   268648102   12154   1,053,171 SH        sole        1    1,053,171
EMC INS GROUP INC                      EQUITY   268664109      25       1,209 SH        sole        1        1,209
EMCOR GROUP, INC.                      EQUITY   29084Q100     310       8,246 SH        sole        1        8,246
EMERSON ELEC CO                        EQUITY   291011104   11373     183,763 SH        defined     2                 183,763
Emerson Electric                       EQUITY   291011104    1857      30,000 SH        sole        4       30,000
EMERSON ELECTRIC CO.                   EQUITY   291011104   35760     577,799 SH        sole        1      577,799
EMMIS COMMUNICATIONS CORP. CLASS A     EQUITY   291525103    2131     117,994 SH        sole        1      117,994
EMPIRE DISTRICT ELECTRIC CO.           EQUITY   291641108     284      13,824 SH        sole        1       13,824
EMPIRE RESORTS INC                     EQUITY   292052107      35       4,667 SH        sole        1        4,667
EMPRESA NACIONAL DE ELEC ADR           EQUITY   29244T101    2411     155,051 SH        sole        1      155,051
EMS TECHNOLOGIES INC                   EQUITY   26873N108     104       6,036 SH        sole        1        6,036
EMULEX CORP                            EQUITY   292475209     516      44,770 SH        sole        1       44,770
ENCANA CORP                            EQUITY   292505104    2668      57,800 SH        defined     1            0     57,800
ENCORE ACQUISITION CO                  EQUITY   29255W100    1106      32,068 SH        sole        1       32,068
ENCORE ACQUISITION CO                  EQUITY   29255W100               6,800 SH        sole        3        6,800
ENCORE CAPITAL GROUP INC               EQUITY   292554102     125       6,606 SH        sole        1        6,606
ENCORE MED CORP                        EQUITY   29256E109    1047     210,200 SH        defined     2                 210,200
ENCORE MEDICAL CORP                    EQUITY   29256E109      83      16,755 SH        sole        1       16,755
ENCORE WIRE CORP                       EQUITY   292562105     114       8,637 SH        sole        1        8,637
ENCYSIVE PHARMA INC COM                EQUITY   29256X107       6     708,300 SH        sole        3      681,700            26,600
ENCYSIVE PHARMACEUTICALS INC           EQUITY   29256X107     260      28,764 SH        sole        1       28,764
ENDO PHARMACEUTICALS                   EQUITY   29264F205      18       1,007 SH        sole        1        1,007
ENDOCARDIAL SOLUTIONS                  EQUITY   292962107     138      11,957 SH        sole        1       11,957
ENERGEN CORP.                          EQUITY   29265N108    1021      19,799 SH        sole        1       19,799
ENERGIZER HOLDINGS INC                 EQUITY   29266R108    5935     128,742 SH        sole        1      128,742
ENERGY CONVERSION DEVICES, INC         EQUITY   292659109     145      10,971 SH        sole        1       10,971
ENERGY EAST CORP                       EQUITY   29266M109   13756     546,299 SH        sole        1      546,299
ENERGY PARTNERS LTD                    EQUITY   29270U105     214      13,160 SH        sole        1       13,160
ENERGYSOUTH INC                        EQUITY   292970100     101       3,694 SH        sole        1        3,694
Enersis S.A.-ADR                       EQUITY   29274F104     332      13,500 SH        sole        1       13,500
ENERSYS                                EQUITY   29275Y102      87       6,808 SH        sole        1        6,808
ENGELHARD CORP                         EQUITY   292845104       4         142 SH        defined     2                     142
ENGELHARD CORP.                        EQUITY   292845104    1610      56,775 SH        sole        1       56,775
ENGINEERED SUPPORT SYS COM             EQUITY   292866100      10     216,874 SH        sole        3      208,900             7,974
ENGINEERED SUPPORT SYSTEMS             EQUITY   292866100     554      12,134 SH        sole        1       12,134
ENNIS INC                              EQUITY   293389102     191       8,931 SH        sole        1        8,931
ENPRO INDUSTRIES INC                   EQUITY   29355X107     273      11,293 SH        sole        1       11,293
ENSCO INTERNATIONAL, INC.              EQUITY   26874Q100    8137     249,069 SH        sole        1      249,069
ENSCO INTL INC                         EQUITY   26874Q100      47       1,450 SH        defined     2                   1,450





                                                                                               
ENSTAR GROUP INC                       EQUITY   29358R107      86       1,736 SH        sole        1        1,736
ENTEGRIS INC                           EQUITY   29362U104     198      23,748 SH        sole        1       23,748
ENTERASYS NETWORKS INC                 EQUITY   293637104     183     114,449 SH        sole        1      114,449
ENTERCOM COMMUNICATIONS CORP.          EQUITY   293639100    2682      82,116 SH        sole        1       82,116
ENTERGY ARKANSAS INC                   EQUITY   29364G103   17390     286,919 SH        sole        1      286,919
ENTERGY CORP                           EQUITY   29364G103      16         259 SH        defined     2                     259
ENTERTAINMENT PROPERTIES TRUST         EQUITY   29380T105     590      15,609 SH        sole        1       15,609
ENTRAVISION COMMUNIC                   EQUITY   29382R107     200      26,265 SH        sole        1       26,265
ENTRUST TECHNOLOGIES INC.              EQUITY   293848107      88      34,632 SH        sole        1       34,632
ENZO BIOCHEM, INC.                     EQUITY   294100102     197      13,142 SH        sole        1       13,142
ENZON PHARMACEUTICALS INC              EQUITY   293904108     381      23,889 SH        sole        1       23,889
EOG RESOURCES INC                      EQUITY   26875P101    3456      52,489 SH        sole        1       52,489
EOG RESOURCES INC                      EQUITY   26875P101   15642     237,534 SH        defined     2                 237,534
EON LABS INC                           EQUITY   29412E100      13         602 SH        sole        1          602
EPICOR SOFTWARE CORPORATION            EQUITY   29426L108     272      22,618 SH        sole        1       22,618
EPIQ SYSTEMS INC                       EQUITY   26882D109     116       7,432 SH        sole        1        7,432
EPIX PHARMACEUTICAL INC                EQUITY   26881Q101     240      12,413 SH        sole        1       12,413
EQUIFAX INC                            EQUITY   294429105       4         155 SH        defined     2                     155
EQUIFAX, INC.                          EQUITY   294429105    2015      76,423 SH        sole        1       76,423
EQUINIX INC                            EQUITY   29444U502     163       5,288 SH        sole        1        5,288
EQUITABLE RESOURCES, INC.              EQUITY   294549100    5550     102,194 SH        sole        1      102,194
EQUITY INNS, INC.                      EQUITY   294703103     296      29,919 SH        sole        1       29,919
EQUITY OFFICE PPTYS TR                 EQUITY   294741103      13         459 SH        defined     2                     459
EQUITY OFFICE PROPERTIES TRUST         EQUITY   294741103    6147     225,594 SH        sole        1      225,594
EQUITY ONE INC                         EQUITY   294752100     520      26,482 SH        sole        1       26,482
EQUITY RESIDENTIAL                     EQUITY   29476L107    4864     156,906 SH        sole        1      156,906
ERESEARCHTECHNOLOGY IN                 EQUITY   29481V108     323      24,219 SH        sole        1       24,219
ERICCSON 9LM0 TEL-SP ADR               EQUITY   294821608    9284     297,170 SH        sole        1      297,170
ERIE INDEMNITY COMPA                   EQUITY   29530P102      29         569 SH        sole        1          569
ESCALADE INC                           EQUITY   296056104      59       4,279 SH        sole        1        4,279
ESCO ELECTRONICS CORP                  EQUITY   296315104     478       7,048 SH        sole        1        7,048
ESPEED INC                             EQUITY   296643109     129      13,121 SH        sole        1       13,121
ESS TECHNOLOGY, INC.                   EQUITY   269151106     125      18,252 SH        sole        1       18,252
ESSEX CORP COM                         EQUITY   296744105       3     222,700 SH        sole        3      222,700
ESSEX PROPERTY TRUST, INC.             EQUITY   297178105    1082      15,057 SH        sole        1       15,057
ESTEE LAUDER COMPANIES-CL A            EQUITY   518439104      95       2,263 SH        sole        1        2,263
ESTERLINE TECHNOLOGIES CORP.           EQUITY   297425100     353      11,533 SH        sole        1       11,533
ETHAN ALLEN INTERIOR                   EQUITY   297602104     624      17,955 SH        sole        1       17,955
EUROBANCSHARES INC                     EQUITY   298716101      82       4,426 SH        sole        1        4,426
EURONET WORLDWIDE INC                  EQUITY   298736109     229      12,252 SH        sole        1       12,252
EVEREST RE GROUP, LTD                  EQUITY   G3223R108    6771      91,100 SH        sole        1       91,100
EVERGREEN RESOURCES, INC.              EQUITY   299900308      37         925 SH        sole        1          925
EXACTECH INC                           EQUITY   30064E109      68       3,322 SH        sole        1        3,322
EXAR CORP.                             EQUITY   300645108     315      22,277 SH        sole        1       22,277
EXCEL TECHNOLOGY                       EQUITY   30067T103     169       6,526 SH        sole        1        6,526
EXELIXIS, INC.                         EQUITY   30161Q104     277      34,313 SH        sole        1       34,313
EXELON CORP                            EQUITY   30161N101   11053     301,252 SH        sole        1      301,252
EXELON CORP                            EQUITY   30161N101      28         752 SH        defined     2                     752
EXIDE TECHNOLOGIES                     EQUITY   302051206     935      59,012 SH        sole        1       59,012
EXIDE TECHNOLOGIES                     EQUITY   302051123     139      46,549 SH        defined     2                  46,549
EXIDE TECHNOLOGIES FORMERL             EQUITY   302051206     295      18,619 SH        defined     2                  18,619
EXIDE TECHNOLOGIES-CW11                EQUITY   302051123     359     120,302 SH        sole        1      120,302
EXPEDITORS INTERNATIONAL OF WA         EQUITY   302130109    9428     182,357 SH        sole        1      182,357
EXPONENT INC                           EQUITY   30214U102      90       3,278 SH        sole        1        3,278
EXPRESS SCRIPTS INC                    EQUITY   302182100    6520      99,788 SH        defined     2                  99,788
EXPRESS SCRIPTS, INC.                  EQUITY   302182100    2572      39,370 SH        sole        1       39,370





                                                                                             
EXPRESSJET HOLDINGS IN                 EQUITY   30218U108     204      20,405 SH        sole        1       20,405
EXTRA SPACE STORAGE INC                EQUITY   30225T102     140      11,008 SH        sole        1       11,008
EXTREME NETWORK INC                    EQUITY   30226D106     262      58,820 SH        sole        1       58,820
EXTREME NETWORKS INC COM               EQUITY   30226D106       5   1,141,000 SH        sole        3    1,076,900            64,100
EXULT INC                              EQUITY   302284104     144      27,436 SH        sole        1       27,436
EXXON MOBIL CORP                       EQUITY   30231G102   45135     933,889 SH        defined     2                 933,889
Exxon Mobil Corp Stk NPV               EQUITY   30231G102  247601   5,123,126 SH        sole        1    5,123,126
ExxonMobil Corp                        EQUITY   30231G102    2175      45,000 SH        sole        4       45,000
EYETECH PHARMACEUTICALS INC            EQUITY   302297106       5         142 SH        sole        1          142
E-Z-EM INC                             EQUITY   269305405      64       3,590 SH        sole        1        3,590
F N B CORP VA                          EQUITY   302930102     105       3,952 SH        sole        1        3,952
F5 NETWORKS INC                        EQUITY   315616102     572      18,773 SH        sole        1       18,773
FACTSET RESEARCH SYSTEMS, INC.         EQUITY   303075105     535      11,094 SH        sole        1       11,094
FAIR ISSAC CORP                        EQUITY   303250104    3387     116,000 SH        sole        1      116,000
FAIRCHILD SEMICONDUCTOR CORP.          EQUITY   303726103    2790     196,889 SH        sole        1      196,889
FALCON FINANCIAL INVESTMENT            EQUITY   306032103    3125     386,250 SH        sole        1      386,250
FALCONSTOR SOFTWARE INC                EQUITY   306137100     107      14,374 SH        sole        1       14,374
FAMILY DLR STORES INC                  EQUITY   307000109       5         192 SH        defined     2                     192
FAMILY DOLLAR STORES, INC.             EQUITY   307000109    2023      74,661 SH        sole        1       74,661
FARMER BROS. CO.                       EQUITY   307675108      98       3,660 SH        sole        1        3,660
FARMERS CAPITAL BANK CORP              EQUITY   309562106     113       3,292 SH        sole        1        3,292
FARO TECHNOLOGIES INC                  EQUITY   311642102     117       5,758 SH        sole        1        5,758
FASTENAL CO                            EQUITY   311900104    6509     113,000 SH        defined     2                 113,000
FASTENAL CO.                           EQUITY   311900104    7490     130,037 SH        sole        1      130,037
FBL FINANCIAL GROUP, INC., CLASS A     EQUITY   30239F106     178       6,778 SH        sole        1        6,778
FEDERAL AGRIC MTG CORP                 EQUITY   313148306     102       4,590 SH        sole        1        4,590
FEDERAL NATIONAL MORTGAGE ASSO         EQUITY   313586109   30908     487,509 SH        sole        1      487,509
FEDERAL REALTY INVESTMENT TR.          EQUITY   313747206     303       6,880 SH        sole        1        6,880
FEDERAL SIGNAL CORP.                   EQUITY   313855108    1946     104,713 SH        sole        1      104,713
FEDERATED DEPT STORES INC              EQUITY   31410H101    6120     134,705 SH        defined     2                 134,705
FEDERATED DEPT STORES, INC.            EQUITY   31410H101    3643      80,192 SH        sole        1       80,192
FEDERATED INVESTORS                    EQUITY   314211103    1357      47,701 SH        sole        1       47,701
FEDERATED INVS INC PA                  EQUITY   314211103       4         124 SH        defined     2                     124
FEDEX CORP                             EQUITY   31428X106      29         342 SH        defined     2                     342
FEDEX CORPORATION                      EQUITY   31428X106   10944     127,722 SH        sole        1      127,722
FEI COMPANY                            EQUITY   30241L109     257      12,983 SH        sole        1       12,983
FELCOR LODGING TRUST, INC.             EQUITY   31430F101     380      33,611 SH        sole        1       33,611
FERRO CORP.                            EQUITY   315405100    1988      91,129 SH        sole        1       91,129
FIDELITY BANKSHARES INC                EQUITY   31604Q107     267       7,174 SH        sole        1        7,174
FIDELITY NATIONAL FINANCIAL            EQUITY   316326107   10904     286,199 SH        sole        1      286,199
FIFTH THIRD BANCORP                    EQUITY   316773100   11996     241,130 SH        sole        1      241,130
FIFTH THIRD BANCORP                    EQUITY   316773100      32         650 SH        defined     2                     650
FILENET CORP.                          EQUITY   316869106     370      21,214 SH        sole        1       21,214
FINANCIAL FEDERAL CORP.                EQUITY   317492106     352       9,402 SH        sole        1        9,402
FINCANCIAL INSTITUTIONS INC            EQUITY   317585404      98       4,384 SH        sole        1        4,384
FINDWHAT.COM                           EQUITY   317794105     261      13,945 SH        sole        1       13,945
FINISAR CORPORATION                    EQUITY   31787A101     117      90,095 SH        sole        1       90,095
FINISH LINE, INC.                      EQUITY   317923100     316      10,223 SH        sole        1       10,223
FIRST ACCEPTANCE CORP                  EQUITY   318457108      80      11,139 SH        sole        1       11,139
FIRST ADVANTAGE CORP-CL A              EQUITY   31845F100      27       1,682 SH        sole        1        1,682
FIRST AMERICAN CAP TRUST CLASS A       EQUITY   318522307    4502     146,036 SH        sole        1      146,036
FIRST BANCORP NORTH CAROLINA           EQUITY   318910106     136       4,045 SH        sole        1        4,045
FIRST BANCORP/PUERTO RICO              EQUITY   318672102     905      18,733 SH        sole        1       18,733
FIRST BUSEY CORP                       EQUITY   319383105     138       7,211 SH        sole        1        7,211
FIRST CASH FINL SVCS INC               EQUITY   31942D107     128       6,391 SH        sole        1        6,391
FIRST CHARTER CORP.                    EQUITY   319439105     392      16,210 SH        sole        1       16,210





                                                                                             
FIRST CITIZENS BANCSHARES, INC CLASS   EQUITY   31946M103     390       3,304 SH        sole        1        3,304
FIRST CMNTY BANCORP CA                 EQUITY   31983B101     290       7,084 SH        sole        1        7,084
FIRST COMMONWEALTH FINANCIAL           EQUITY   319829107    2037     149,645 SH        sole        1      149,645
FIRST COMMUNITY BANCSHARES INC         EQUITY   31983A103     180       5,465 SH        sole        1        5,465
FIRST DATA CORP                        EQUITY   319963104      42         977 SH        defined     2                     977
FIRST DATA CORP.                       EQUITY   319963104   30152     693,158 SH        sole        1      693,158
FIRST FEDERAL CAPITAL CORP.            EQUITY   319960100     328      10,854 SH        sole        1       10,854
FIRST FINANCIAL BANCORP                EQUITY   320209109     326      19,103 SH        sole        1       19,103
FIRST FINANCIAL BANKSHARES             EQUITY   32020R109     299       7,453 SH        sole        1        7,453
FIRST FINANCIAL CORP.                  EQUITY   320218100     232       7,370 SH        sole        1        7,370
FIRST FINANCIAL HOLDINGS, INC.         EQUITY   320239106     214       6,849 SH        sole        1        6,849
FIRST HEALTH GROUP CORP.               EQUITY   320960107    3316     206,112 SH        sole        1      206,112
FIRST HORIZON NATIONAL CORP            EQUITY   320517105    2393      55,194 SH        sole        1       55,194
FIRST HORIZON NATL CORP                EQUITY   320517105       6         141 SH        defined     2                     141
FIRST HORIZON PHARMACEUTICAL           EQUITY   32051K106     286      14,299 SH        sole        1       14,299
FIRST INDIANA CORP.                    EQUITY   32054R108     129       6,432 SH        sole        1        6,432
FIRST INDUSTRIAL REALITY TRUST         EQUITY   32054K103    1001      27,135 SH        sole        1       27,135
FIRST MARBLEHEAD CORP/THE              EQUITY   320771108      17         377 SH        sole        1          377
FIRST MERCHANTS CORP.                  EQUITY   320817109     249      10,099 SH        sole        1       10,099
FIRST MIDWEST BANCORP, INC.            EQUITY   320867104     877      25,364 SH        sole        1       25,364
FIRST NATIONAL BANKSHARES-WI           EQUITY   321100109     703      28,625 SH        sole        1       28,625
FIRST NIAGARA FINANCIAL GRP            EQUITY   33582V108     614      45,852 SH        sole        1       45,852
FIRST OAK BROOK BANCSH                 EQUITY   335847208     112       3,647 SH        sole        1        3,647
FIRST OF LONG ISLAND CORP              EQUITY   320734106      79       1,857 SH        sole        1        1,857
FIRST PLACE FINANCIAL CORP             EQUITY   33610T109     148       7,416 SH        sole        1        7,416
FIRST POTOMAC REALTY TRUST             EQUITY   33610F109      33       1,610 SH        sole        1        1,610
FIRST REPUBLIC BANK                    EQUITY   336158100     326       7,085 SH        sole        1        7,085
FIRST ST BANCORPORATIO                 EQUITY   336453105     131       4,158 SH        sole        1        4,158
FIRSTENERGY CORP                       EQUITY   337932107      15         376 SH        defined     2                     376
FIRSTENERGY CORP.                      EQUITY   337932107   25051     609,806 SH        sole        1      609,806
FIRSTFED FINANCIAL CORP.               EQUITY   337907109     452       9,240 SH        sole        1        9,240
FIRSTMERIT CORP.                       EQUITY   337915102    3680     139,911 SH        sole        1      139,911
FISERV INC                             EQUITY   337738108       8         223 SH        defined     2                     223
FISERV, INC.                           EQUITY   337738108    7199     206,525 SH        sole        1      206,525
FISHER COMMUNICATIONS INC              EQUITY   337756209     170       3,545 SH        sole        1        3,545
FISHER SCIENTIFIC INTL COM NEW         EQUITY   338032204       6     109,600 SH        sole        3      105,000             4,600
FISHER SCIENTIFIC INTL INC             EQUITY   338032204       8         131 SH        defined     2                     131
FISHER SCIENTIFIC INT'L., INC.         EQUITY   338032204    7702     132,044 SH        sole        1      132,044
FLAGSTAR BANCORP, INC.                 EQUITY   337930101     369      17,336 SH        sole        1       17,336
FLANDERS CORPORATION                   EQUITY   338494107      61       7,124 SH        sole        1        7,124
FLEETWOOD ENTERPRISES, INC.            EQUITY   339099103     444      29,224 SH        sole        1       29,224
FLEXTRONICS INTERNATIONAL              EQUITY   Y2573F102    5018     378,700 SH        defined     2                 378,700
FLEXTRONICS INTERNATIONAL LTD          INFORMAT Y2573F102     580      43,800 SH        sole        1           44
FLEXTRONICS INTL LTD ORD               EQUITY   Y2573F102       2     115,300 SH        sole        3       95,300            20,000
FLIR SYS INC                           EQUITY   302445101      13     223,896 SH        sole        3      211,898            11,998
FLIR SYSTEMS INC (USD)                 EQUITY   302445101      42         721 SH        sole        1          721
FLORIDA EAST COAST INDUSTRIES          EQUITY   340632108     441      11,739 SH        sole        1       11,739
FLORIDA ROCK INDUSTRIES, INC.          EQUITY   341140101      31         626 SH        sole        1          626
FLOWERS FOODS INC                      EQUITY   343498101     500      19,355 SH        sole        1       19,355
FLOWSERVE CORP.                        EQUITY   34354P105    2893     119,654 SH        sole        1      119,654
FLUOR CORP                             EQUITY   343412102   37499     842,290 SH        sole        1      842,290
FLUOR CORP NEW                         EQUITY   343412102       4          95 SH        defined     2                      95
FLUSHING FINANCIAL CORP                EQUITY   343873105     175       9,208 SH        sole        1        9,208
FLYI INC                               EQUITY   34407T104      97      24,699 SH        sole        1       24,699
FMC CORP.                              EQUITY   302491303    3847      79,210 SH        sole        1       79,210
FMC TECHNOLOGIES INC                   EQUITY   30249U101    3719     111,362 SH        sole        1      111,362





                                                                                             
FNB CORP.                              EQUITY   302520101     558      25,215 SH        sole        1       25,215
FOOT LOCKER INC                        EQUITY   344849104    6081     256,576 SH        sole        1      256,576
FORD MOTOR CO.                         EQUITY   345370860   10938     778,486 SH        sole        1      778,486
FORD MTR CO DEL                        EQUITY   345370860      29       2,086 SH        defined     2                   2,086
FOREST CITY ENTERPRISES, INC. CLASS A  EQUITY   345550107      35         627 SH        sole        1          627
FOREST LABORATORIES, INC.              EQUITY   345838106    8170     181,709 SH        sole        1      181,709
FOREST LABS INC                        EQUITY   345838106    4868     108,222 SH        defined     2                 108,222
FOREST OIL CORP                        EQUITY   346091705    3717     123,418 SH        sole        1      123,418
FORMFACTOR INC                         EQUITY   346375108     293      15,105 SH        sole        1       15,105
FORRESTER RESEARCH, INC.               EQUITY   346563109     113       7,440 SH        sole        1        7,440
FORTUNE BRANDS INC                     EQUITY   349631101      12         164 SH        defined     2                     164
FORTUNE BRANDS, INC.                   EQUITY   349631101    5304      71,586 SH        sole        1       71,586
FORWARD AIR CORP                       EQUITY   349853101     469      11,720 SH        sole        1       11,720
FOSSIL INC COM                         EQUITY   349882100      12     374,708 SH        sole        3      353,350            21,358
FOSSIL, INC.                           EQUITY   349882100      26         846 SH        sole        1          846
FOUNDRY NETWORKS INC                   EQUITY   35063R100      23       2,467 SH        sole        1        2,467
FOX ENTMT GROUP INC                    EQUITY   35138T107    7210     259,900 SH        defined     2                 259,900
FPIC INS GROUP INC                     EQUITY   302563101     113       4,370 SH        sole        1        4,370
FPL GROUP INC                          EQUITY   302571104      14         211 SH        defined     2                     211
FPL GROUP, INC.                        EQUITY   302571104    5644      82,612 SH        sole        1       82,612
FRANKLIN BANK CORP                     EQUITY   352451108    2951     173,100 SH        defined     2                 173,100
FRANKLIN BANK CORP/HOUSTON             EQUITY   352451108      99       5,794 SH        sole        1        5,794
FRANKLIN ELECTRIC CO., INC.            EQUITY   353514102     346       8,749 SH        sole        1        8,749
FRANKLIN RES INC                       EQUITY   354613101      16         284 SH        defined     2                     284
FRANKLIN RESOURCES, INC.               EQUITY   354613101    5918     106,134 SH        sole        1      106,134
FREDDIE MAC                            EQUITY   313400301   47513     747,813 SH        sole        1      662,898
FRED'S INC.                            EQUITY   356108100     383      21,315 SH        sole        1       21,315
FREEPORT MCMORAN COPPER +              EQUITY   35671D857       8         202 SH        defined     2                     202
FREEPORT-MCMORAN COPPER & GOLD CLASS   EQUITY   35671D857    3172      78,326 SH        sole        1       78,326
FREESCALE SEMICONDUCTOR-A              EQUITY   35687M107      39       2,719 SH        sole        1        2,719
FREMONT GENERAL CORP.                  EQUITY   357288109      31       1,342 SH        sole        1        1,342
FRIEDMAN BILLINGS RAMSEY-A             EQUITY   358434108      55       2,882 SH        sole        1        2,882
FRONTIER AIRLINES, INC.                EQUITY   359065109     149      19,356 SH        sole        1       19,356
FRONTIER FINANCIAL CORP.               EQUITY   35907K105     312       8,825 SH        sole        1        8,825
FRONTIER OIL CORP.                     EQUITY   35914P105     341      14,455 SH        sole        1       14,455
FSI INTERNATIONAL, INC.                EQUITY   302633102      68      16,272 SH        sole        1       16,272
FTI CONSULTING INC                     EQUITY   302941109     438      23,185 SH        sole        1       23,185
FUELCELL ENERGY INC                    EQUITY   35952H106     236      22,997 SH        sole        1       22,997
FULTON FIN CORP                        EQUITY   360271100      55       2,550 SH        sole        1        2,550
FURNITURE BRANDS INTERNATIONAL         EQUITY   360921100    2949     117,572 SH        sole        1      117,572
FX ENERGY INC                          EQUITY   302695101     139      15,365 SH        sole        1       15,365
G & K SERVICES, INC. CLASS A           EQUITY   361268105     378       9,505 SH        sole        1        9,505
GABELLI ASSET MANAGEMENT, INC.         EQUITY   36239Y102     154       3,587 SH        sole        1        3,587
GABLES RESIDENTIAL TRUST               EQUITY   362418105     658      19,269 SH        sole        1       19,269
GALLAGHER, ARTHUR J & CO               EQUITY   363576109   23491     709,053 SH        sole        1      709,053
GAMESTOP CORP                          EQUITY   36466R101     149       8,037 SH        sole        1        8,037
GANDER MOUNTAIN CO                     EQUITY   36471P108      62       3,115 SH        sole        1        3,115
GANNETT CO., INC.                      EQUITY   364730101    9493     113,333 SH        sole        1      113,333
GANNETT INC                            EQUITY   364730101     503       6,003 SH        defined     2                   6,003
GAP INC                                EQUITY   364760108      71       3,825 SH        defined     2                   3,825
GAP, INC.                              EQUITY   364760108    8038     431,017 SH        sole        1      431,017
GARDNER DENVER, INC.                   EQUITY   365558105     297      10,762 SH        sole        1       10,762
GARMIN LTD                             EQUITY   G37260109     315       7,290 SH        sole        1        7,290
GARTNER INC. CLASS A                   EQUITY   366651107    2495     213,427 SH        sole        1      213,427
GATEWAY INC                            EQUITY   367626108       2         425 SH        defined     2                     425
GATEWAY, INC.                          EQUITY   367626108    1385     279,887 SH        sole        1      279,887





                                                                                             
GATX CORP.                             EQUITY   361448103    2859     107,248 SH        sole        1      107,248
GAYLORD ENTERTAINMENT CO.              EQUITY   367905106     515      16,612 SH        sole        1       16,612
GB&T BANCSHARES INC                    EQUITY   361462104      91       4,111 SH        sole        1        4,111
GCI, INC.                              EQUITY   369385109     224      24,739 SH        sole        1       24,739
GEMSTAR-TV GUIDE INTERNATIONAL         EQUITY   36866W106      29       5,100 SH        sole        1        5,100
GENAERA CORPORATION                    EQUITY   36867G100     112      28,559 SH        sole        1       28,559
GENCORP, INC.                          EQUITY   368682100     292      21,560 SH        sole        1       21,560
GENELABS TECHNOLOGIES, INC.            EQUITY   368706107     125      47,950 SH        sole        1       47,950
GENENCOR INTERNATIONAL INC             EQUITY   368709101      65       4,072 SH        sole        1        4,072
GENENTECH INC                          EQUITY   368710406    5771     110,100 SH        defined     2                 110,100
GENENTECH, INC.                        EQUITY   368710406     139       2,660 SH        sole        1        2,660
GENERAL BINDING CORP                   EQUITY   369154109      46       3,254 SH        sole        1        3,254
GENERAL CABLE CORP.                    EQUITY   369300108     228      21,408 SH        sole        1       21,408
General Dynamics                       EQUITY   369550108    2553      25,000 SH        sole        4       25,000
GENERAL DYNAMICS CORP                  EQUITY   369550108   24823     243,128 SH        defined     2                 243,128
GENERAL DYNAMICS CORP.                 EQUITY   369550108    8923      87,398 SH        sole        1       87,398
General Elec Co                        EQUITY   369604103    1847      55,000 SH        sole        4       55,000
GENERAL ELEC CO                        EQUITY   369604103   68854   2,050,446 SH        defined     2               2,050,446
GENERAL ELECTRIC CO.                   EQUITY   369604103  322046   9,590,401 SH        sole        1    9,590,401
GENERAL GROWTH PROPE                   EQUITY   370021107     906      29,212 SH        sole        1       29,212
GENERAL MILLS, INC.                    EQUITY   370334104    7261     161,723 SH        sole        1      161,723
GENERAL MLS INC                        EQUITY   370334104      19         433 SH        defined     2                     433
GENERAL MOTORS CORP.                   EQUITY   370442105   10514     247,504 SH        sole        1      247,504
GENERAL MTRS CORP                      EQUITY   370442105    9466     222,827 SH        defined     2                 222,827
GENESCO, INC.                          EQUITY   371532102     280      11,872 SH        sole        1       11,872
GENESEE & WYO INC                      EQUITY   371559105     244       9,634 SH        sole        1        9,634
GENESIS HEALTHCARE CORP                EQUITY   37184D101     329      10,806 SH        sole        1       10,806
GENESIS MICROCHIP INC                  EQUITY   37184C103     236      17,482 SH        sole        1       17,482
GEN-PROBE INC                          EQUITY   36866T103      42       1,055 SH        sole        1        1,055
GENTA INC                              EQUITY   37245M207      89      33,041 SH        sole        1       33,041
GENTEX CORP                            EQUITY   371901109     362      10,300 SH        defined     2                  10,300
GENTEX CORP.                           EQUITY   371901109    4694     133,607 SH        sole        1      133,607
GENTIVA HEALTH SERVICES                EQUITY   37247A102     225      13,767 SH        sole        1       13,767
GENUINE PARTS CO                       EQUITY   372460105   13807     359,755 SH        defined     2                 359,755
GENUINE PARTS CO.                      EQUITY   372460105    2995      78,038 SH        sole        1       78,038
GENWORTH FINANCIAL INC-CL A            EQUITY   37247D106      71       3,027 SH        sole        1        3,027
GENZYME CORP                           EQUITY   372917104    6860     126,088 SH        sole        1      126,088
GENZYME CORP                           EQUITY   372917104     395       7,260 SH        defined     2                   7,260
GEO GROUP INC                          EQUITY   36159R103      92       4,518 SH        sole        1        4,518
GEOGLOBAL RESOURCES INC                EQUITY   37249T109     587     525,000 SH        sole        1      525,000
GEORGIA GULF CORP COM PAR $0.0         EQUITY   373200203      23     517,250 SH        sole        3      500,400            16,850
GEORGIA GULF CORP.                     EQUITY   373200203     692      15,517 SH        sole        1       15,517
GEORGIA-PACIFIC CORP.                  EQUITY   373298108    4447     123,706 SH        sole        1      123,706
GERMAN AMERICAN BANCORP                EQUITY   373865104      85       5,042 SH        sole        1        5,042
GERON CORP                             EQUITY   374163103     147      24,568 SH        sole        1       24,568
GETTY IMAGES INC                       EQUITY   374276103    3722      67,300 SH        defined     2                  67,300
GETTY IMAGES INC COM                   EQUITY   374276103               8,200 SH        sole        3        3,600             4,600
GETTY IMAGES, INC.                     EQUITY   374276103      49         880 SH        sole        1          880
GETTY REALTY CORP.                     EQUITY   374297109     397      15,156 SH        sole        1       15,156
GEVITY HR INC                          EQUITY   374393106     198      12,904 SH        sole        1       12,904
GIANT INDS INC COM                     EQUITY   374508109       2      75,300 SH        sole        3       75,300
GIANT INDUSTRIES INC                   EQUITY   374508109     141       5,787 SH        sole        1        5,787
GIBRALTAR STEEL CORP.                  COM    z 37476F103     309       8,538 SH        sole        1        8,538
GILEAD SCIENCES INC                    EQUITY   375558103   16563     443,091 SH        defined     2                 443,091
GILEAD SCIENCES, INC.                  EQUITY   375558103   12522     334,991 SH        sole        1      334,991
GILLETTE CO                            EQUITY   375766102     716      17,142 SH        defined     2                  17,142





                                                                                               
GILLETTE CO.                           EQUITY   375766102   25633     614,112 SH        sole        1      614,112
GLACIER BANCORP, INC.                  EQUITY   37637Q105     389      13,341 SH        sole        1       13,341
GLADSTONE CAPITAL CORP                 EQUITY   376535100     107       4,718 SH        sole        1        4,718
GLATFELTER, P.H. CO.                   EQUITY   377316104    1078      87,016 SH        sole        1       87,016
GLAXOSMITHKLINE                        EQUITY   37733W105      49       1,130 SH        defined     2                   1,130
GLENBOROUGH REALITY TRUST, INC         EQUITY   37803P105    3294     158,603 SH        sole        1      158,603
GLIMCHER REALITY TRUST                 EQUITY   379302102     568      23,384 SH        sole        1       23,384
GLOBAL IMAGING SYSTEMS, INC.           EQUITY   37934A100     391      12,565 SH        sole        1       12,565
GLOBAL INDUSTRIES INC                  EQUITY   379336100    4093     662,300 SH        defined     2                 662,300
GLOBAL INDUSTRIES LT                   EQUITY   379336100     273      44,255 SH        sole        1       44,255
GLOBAL PAYMENTS INC.                   EQUITY   37940X102      32         599 SH        sole        1          599
GLOBAL POWER EQUIPME                   EQUITY   37941P108     137      18,423 SH        sole        1       18,423
GLOBAL SANTAFE CORPORATION             EQUITY   G3930E101      30         975 SH        defined     2                     975
GLOBAL SIGNAL INC                      EQUITY   37944Q103     120       5,235 SH        sole        1        5,235
GOL LINHAS AREAS INTEL ADR             EQUITY   38045R107     284      14,000 SH        sole        1       14,000
GOLD BANK CORP., INC.                  EQUITY   379907108    1779     131,891 SH        sole        1      131,891
GOLDEN TELECOM INC                     EQUITY   38122G107    1137      39,839 SH        sole        1       39,839
GOLDEN WEST FINANCIAL CORP.            EQUITY   381317106    7204      64,934 SH        sole        1       64,934
GOLDEN WEST FINL CORP DEL              EQUITY   381317106      19         174 SH        defined     2                     174
GOLDMAN SACHS GROUP INC                EQUITY   38141G104   66626     714,569 SH        sole        1      714,569
GOLDMAN SACHS GROUP INC                EQUITY   38141G104   27297     292,756 SH        defined     2                 292,756
GOODRICH CORP                          EQUITY   382388106       4         135 SH        defined     2                     135
GOODRICH CORP.                         EQUITY   382388106    1661      52,953 SH        sole        1       52,953
GOODYEAR TIRE & RUBBER CO.             EQUITY   382550101    1692     157,497 SH        sole        1      157,497
GOODYEAR TIRE AND RUBBER               EQUITY   382550101       2         200 SH        defined     2                     200
GOODYS FAMILY CLOTHING                 EQUITY   382588101      86      10,250 SH        sole        1       10,250
GORMAN RUPP CO COM                     EQUITY   383082104     102       4,992 SH        sole        1        4,992
GOVERNMENT PROPERTIES TRUST            EQUITY   38374W107     100      10,511 SH        sole        1       10,511
GPO TELEVISA SA ADR-REPR 20            EQUITY   40049J206    5307     100,650 SH        sole        1      100,650
GRACE, W.R. & CO.                      EQUITY   38388F108     338      35,748 SH        sole        1       35,748
GRACO, INC.                            EQUITY   384109104    3833     114,410 SH        sole        1      114,410
GRAFTECH INTERNATIONAL LTD             EQUITY   384313102     739      52,978 SH        sole        1       52,978
GRAFTECH INTL LTD                      EQUITY   384313102     392      28,100 SH        defined     2                  28,100
GRAINGER W W INC                       EQUITY   384802104       6         104 SH        defined     2                     104
GRAMERCY CAPITAL CORP                  EQUITY   384871109      80       5,148 SH        sole        1        5,148
GRANITE CONSTRUCTION, INC.             EQUITY   387328107    2054      85,932 SH        sole        1       85,932
GRANT PRIDECO INC                      EQUITY   38821G101    4147     202,388 SH        sole        1      202,388
GRANT PRIDECO INC                      EQUITY   38821G101    1641      80,075 SH        defined     2                  80,075
GRAPHIC PACKAGING CORP                 EQUITY   388688103     235      36,322 SH        sole        1       36,322
GRAY TELEVISION INC                    EQUITY   389375106     291      24,441 SH        sole        1       24,441
GRAY TELEVISION INC COM                EQUITY   389375106       1      89,000 SH        sole        3       89,000
GREAT AMERICAN FINANCIAL RES           EQUITY   389915109      60       3,951 SH        sole        1        3,951
GREAT ATLANTIC & PACIFIC TEA           EQUITY   390064103      55       9,003 SH        sole        1        9,003
GREAT LAKES CHEM CORP.                 EQUITY   390568103    1320      51,543 SH        sole        1       51,543
GREAT LAKES CHEMICAL CORP              EQUITY   390568103       1          58 SH        defined     2                      58
GREAT PLAINS ENERGY INC                EQUITY   391164100    5468     187,592 SH        sole        1      187,592
GREAT SOUTHERN BANCORP, INC.           EQUITY   390905107     177       5,650 SH        sole        1        5,650
GREATER BAY BANCORP                    EQUITY   391648102    3205     111,479 SH        sole        1      111,479
GREENBRIER COMPANIES INC               EQUITY   393657101      74       3,090 SH        sole        1        3,090
GREENFIELD ONLINE                      EQUITY   395150105      57       2,817 SH        sole        1        2,817
GREENHILL & CO INC                     EQUITY   395259104      64       2,729 SH        sole        1        2,729
GREENPOINT FINANCIAL CORP.             EQUITY   395384100    2978      64,371 SH        sole        1       64,371
GREIF INC CL A                         EQUITY   397624107     299       7,093 SH        sole        1        7,093
GREY GLOBAL GROUP INC                  EQUITY   39787M108     470         472 SH        sole        1          472
GREY WOLF, INC.                        EQUITY   397888108     496     101,498 SH        sole        1      101,498
GRIFFON CORP.                          EQUITY   398433102     281      13,298 SH        sole        1       13,298





                                                                                               
GROUP 1 AUTOMOTIVE, INC.               EQUITY   398905109     289      10,606 SH        sole        1       10,606
GSI COMMERCE INC                       EQUITY   36238G102      93      10,538 SH        sole        1       10,538
GTECH HOLDINGS CORP.                   EQUITY   400518106    4928     194,641 SH        sole        1      194,641
GTX INC                                EQUITY   40052B108      34       2,955 SH        sole        1        2,955
GUESS? INC                             EQUITY   401617105     145       8,116 SH        sole        1        8,116
GUIDANT CORP                           EQUITY   401698105   13294     201,309 SH        defined     2                 201,309
Guidant Corp Com Stk NPV               EQUITY   401698105   30996     469,354 SH        sole        1      469,354
GUILFORD PHARMACEUTICALS INC           EQUITY   401829106     120      23,934 SH        sole        1       23,934
GUITAR CENTER, INC.                    EQUITY   402040109     574      13,262 SH        sole        1       13,262
GULF ISLAND FABRICATION, INC.          EQUITY   402307102      97       4,355 SH        sole        1        4,355
GULFMARK OFFSHORE, INC.                EQUITY   402629109     129       7,872 SH        sole        1        7,872
Gulfterra Energy Partners              EQUITY   40274U108    1469      35,000 SH        sole        4       35,000
GYMBOREE CORP.                         EQUITY   403777105     240      16,633 SH        sole        1       16,633
H J HEINZ CO.                          EQUITY   423074103    5342     148,298 SH        sole        1      148,298
H.B. FULLER CO.                        EQUITY   359694106     425      15,524 SH        sole        1       15,524
HAEMONETICS CORP.                      EQUITY   405024100     349      10,634 SH        sole        1       10,634
HAIN CELESTIAL GROUP INC               EQUITY   405217100     247      13,996 SH        sole        1       13,996
HALLIBURTON CO                         EQUITY   406216101     110       3,278 SH        defined     2                   3,278
HALLIBURTON CO.                        EQUITY   406216101   51528   1,529,473 SH        sole        1    1,529,473
HAMMONS JOHN Q HOTELS INC              EQUITY   408623106     480      43,825 SH        defined     2                  43,825
HANCOCK FABRICS, INC.                  EQUITY   409900107     296      24,669 SH        sole        1       24,669
HANCOCK HOLDING CO.                    EQUITY   410120109     482      15,148 SH        sole        1       15,148
HANDLEMAN CO.                          EQUITY   410252100     266      12,994 SH        sole        1       12,994
HANGER ORTHOPEDIC GROUP                EQUITY   41043F208      58      11,665 SH        sole        1       11,665
HANMI FINL CORP                        EQUITY   410495105     242       8,012 SH        sole        1        8,012
HANOVER COMPRESSOR COMPANY             EQUITY   410768105    2272     168,947 SH        sole        1      168,947
HANSEN NATURAL CORP                    EQUITY   411310105      79       3,272 SH        sole        1        3,272
HARBOR FLORIDA BANCSHARES              EQUITY   411901101     352      11,330 SH        sole        1       11,330
HARLAND, JOHN H. CO.                   EQUITY   412693103     481      15,342 SH        sole        1       15,342
HARLEY DAVIDSON INC                    EQUITY   412822108      20         336 SH        defined     2                     336
HARLEY-DAVIDSON FUNDING                EQUITY   412822108    7440     125,166 SH        sole        1      125,166
HARLEYSVILLE GROUP, INC.               EQUITY   412824104     145       7,038 SH        sole        1        7,038
HARLEYSVILLE NATIONAL CORP.            EQUITY   412850109     350      14,265 SH        sole        1       14,265
HARMAN INT'L INDUSTRIES, INC.          EQUITY   413086109   11716     108,737 SH        sole        1      108,737
HARMONIC INC.                          EQUITY   413160102     260      39,123 SH        sole        1       39,123
HARRAH'S ENTERTAINMENT, INC.           EQUITY   413619107    2650      50,026 SH        sole        1       50,026
HARRAHS ENTMT INC                      EQUITY   413619107       7         128 SH        defined     2                     128
HARRIS & HARRIS GROUP INC              EQUITY   413833104      87       8,458 SH        sole        1        8,458
HARRIS CORP DEL                        EQUITY   413875105     214       3,900 SH        defined     2                   3,900
HARRIS CORP.                           EQUITY   413875105    6008     109,347 SH        sole        1      109,347
HARRIS INTERACTIVE INC                 EQUITY   414549105     176      26,680 SH        sole        1       26,680
HARSCO CORP.                           EQUITY   415864107    3051      67,947 SH        sole        1       67,947
HART MARX                              EQUITY   417119104      92      12,456 SH        sole        1       12,456
HARTE-HANKS COMMUNICATIONS             EQUITY   416196103    3534     141,320 SH        sole        1      141,320
HARTFORD FINANCIAL SVCS GR             EQUITY   416515104      21         334 SH        defined     2                     334
HARTFORD FINANCIAL SVCS GROUP          EQUITY   416515104   55877     902,264 SH        sole        1      902,264
HARVEST NATURAL RESOUR                 EQUITY   41754V103     325      19,581 SH        sole        1       19,581
HASBRO INC                             EQUITY   418056107       4         202 SH        defined     2                     202
HASBRO, INC.                           EQUITY   418056107    1894     100,758 SH        sole        1      100,758
HAVERTY FURNITURE COMPANIES            EQUITY   419596101     177      10,111 SH        sole        1       10,111
HAWAIIAN ELECTRIC INDUSTRIES,          EQUITY   419870100    4339     163,471 SH        sole        1      163,471
HAYES LEMMERZ INTERNATIONAL            EQUITY   420781304     209      20,551 SH        sole        1       20,551
HCA INC                                EQUITY   404119109     269       7,050 SH        defined     2                   7,050
HCA INC.                               EQUITY   404119109    9211     241,448 SH        sole        1      241,448
HCC INSURANCE HOLDINGS, INC.           EQUITY   404132102    3221     106,823 SH        sole        1      106,823
HEADWATERS INC                         EQUITY   42210P102     564      18,290 SH        sole        1       18,290





                                                                                              
HEALTH CARE PPTYS INVEST INC           EQUITY   421915109    4290     165,014 SH        sole        1      165,014
Health Care Prop Investors             EQUITY   421915109    2340      90,000 SH        sole        4       90,000
HEALTH CARE REIT, INC.                 EQUITY   42217K106    6020     171,009 SH        sole        1      171,009
HEALTH MANAGEMENT ASSOC.               EQUITY   421933102    2220     108,656 SH        sole        1      108,656
HEALTH MGMT ASSOC                      EQUITY   421933102       6         277 SH        defined     2                     277
HEALTH NET INC.                        EQUITY   42222G108    4565     184,649 SH        sole        1      184,649
Healthcare Realty Trust                EQUITY   421946104    2538      65,000 SH        sole        4       65,000
HEALTHCARE REALTY TRUST, INC.          EQUITY   421946104    1222      31,308 SH        sole        1       31,308
HEALTHCARE SVCS GRP IN                 EQUITY   421906108     145       8,097 SH        sole        1        8,097
HEALTHEXTRAS INC                       EQUITY   422211102     378      27,082 SH        sole        1       27,082
HEARST-ARGYLE TELEVI                   EQUITY   422317107      15         621 SH        sole        1          621
HEARTLAND EXPRESS INC                  EQUITY   422347104    4686     253,958 SH        defined     2                 253,958
HEARTLAND EXPRESS, INC.                EQUITY   422347104     456      24,721 SH        sole        1       24,721
HEARTLAND FINANCIAL USA INC            EQUITY   42234Q102     100       5,404 SH        sole        1        5,404
HECLA MNG CO                           EQUITY   422704106     479      64,432 SH        sole        1       64,432
HEICO CORP.                            EQUITY   422806109     188      10,608 SH        sole        1       10,608
HEIDRICK & STRUGGLES INT'L             EQUITY   422819102     263       9,122 SH        sole        1        9,122
HEINZ H J CO                           EQUITY   423074103      14         398 SH        defined     2                     398
HELEN OF TROY CORP LTD COM             EQUITY   G4388N106              12,800 SH        sole        3        5,600             7,200
HELIX TECHNOLOGY CORP.                 EQUITY   423319102     193      14,226 SH        sole        1       14,226
HELMERICH & PAYNE, INC.                EQUITY   423452101    4748     165,509 SH        sole        1      165,509
HENRY JACK & ASSOCIATES                EQUITY   426281101    2789     148,564 SH        sole        1      148,564
HENRY SCHEIN INC                       EQUITY   806407102    4664      74,850 SH        sole        1       74,850
HERCULES INC                           EQUITY   427056106       2         127 SH        defined     2                     127
HERCULES, INC.                         EQUITY   427056106    1533     107,605 SH        sole        1      107,605
HERITAGE PROPERTY INVESTMENT           EQUITY   42725M107    4835     165,760 SH        sole        1      165,760
HERLEY INDS INC DEL                    EQUITY   427398102     116       6,220 SH        sole        1        6,220
HERMAN MILLER, INC.                    EQUITY   600544100    2900     117,645 SH        sole        1      117,645
HERSHA HOSPITALITY TRUST               EQUITY   427825104      17       1,860 SH        sole        1        1,860
HERSHEY FOODS CORP                     EQUITY   427866108      13         281 SH        defined     2                     281
HERSHEY FOODS CORP.                    EQUITY   427866108    5053     108,176 SH        sole        1      108,176
HEWITT ASSOCIATES INC-CL A             EQUITY   42822Q100      17         651 SH        sole        1          651
HEWLETT PACKARD CO                     EQUITY   428236103    8052     429,436 SH        defined     2                 429,436
HEWLETT PACKARD CO.                    EQUITY   428236103   31204   1,664,193 SH        sole        1    1,664,193
HEXCEL CORP.                           EQUITY   428291108     157      11,369 SH        sole        1       11,369
HIBBETT SPORTING GOODS, INC.           EQUITY   428565105     261      12,743 SH        sole        1       12,743
HIBERNIA CORP                          EQUITY   428656102    7487     283,500 SH        defined     2                 283,500
HIBERNIA CORP. CLASS A                 EQUITY   428656102    6769     256,299 SH        sole        1      256,299
HIGHLAND HOSPITALITY CORP              EQUITY   430141101     266      23,376 SH        sole        1       23,376
HIGHWOODS PROPERTIES, INC.             EQUITY   431284108    3020     122,708 SH        sole        1      122,708
HILB, ROGAL & HAMILTON CO.             EQUITY   431294107     608      16,773 SH        sole        1       16,773
HILLENBRAND INDUSTRIES, INC.           EQUITY   431573104    5157     102,060 SH        sole        1      102,060
HILTON HOTELS CORP                     EQUITY   432848109    3602     191,182 SH        sole        1      191,182
HILTON HOTELS CORP                     EQUITY   432848109       8         439 SH        defined     2                     439
HNI CORP                               EQUITY   404251100    3755      94,882 SH        sole        1       94,882
HNI CORP                               EQUITY   404251100    3499      88,400 SH        defined     2                  88,400
HOLLINGER INTERNATIONAL, INC.          EQUITY   435569108     541      31,266 SH        sole        1       31,266
HOLLIS-EDEN PHARMACEUTICALS            EQUITY   435902101      81       7,495 SH        sole        1        7,495
HOLLY CORP.                            EQUITY   435758305     283      11,087 SH        sole        1       11,087
HOLLYWOOD ENTERTAINMENT CORP.          EQUITY   436141105    1243     125,959 SH        sole        1      125,959
HOLLYWOOD PARK, INC.                   EQUITY   723456109     267      19,355 SH        sole        1       19,355
HOLOGIC INC                            EQUITY   436440101     214      11,109 SH        sole        1       11,109
HOME DEPOT INC                         EQUITY   437076102   18115     462,122 SH        defined     2                 462,122
HOME DEPOT, INC.                       EQUITY   437076102   67616   1,724,892 SH        sole        1    1,724,892
HOME PROPERTIES INC.                   EQUITY   437306103     852      21,549 SH        sole        1       21,549
HOMEBANC CORP/GA                       EQUITY   43738R109     169      18,790 SH        sole        1       18,790





                                                                                              
HOMESTORE INC                          EQUITY   437852106    2008     869,100 SH        defined     2                 869,100
HOMESTORE.COM                          EQUITY   437852106     142      61,531 SH        sole        1       61,531
HONEYWELL INTERNATIONAL INC.           EQUITY   438516106   13543     377,660 SH        sole        1      377,660
HONEYWELL INTL INC                     EQUITY   438516106   24872     693,580 SH        defined     2                 693,580
HOOKER FURNITURE CORP                  EQUITY   439038100     103       3,730 SH        sole        1        3,730
HOOPER HOLMES, INC.                    EQUITY   439104100     140      31,190 SH        sole        1       31,190
HORACE MANN EDUCATORS CORP.            EQUITY   440327104    1636      93,076 SH        sole        1       93,076
HORIZON FINANCIAL CORP                 EQUITY   44041F105     109       5,670 SH        sole        1        5,670
HORMEL FOODS CORP.                     EQUITY   440452100    6094     227,570 SH        sole        1      227,570
HORNBECK OFFSHORE SERVICES             EQUITY   440543106      55       3,305 SH        sole        1        3,305
HORNBECK OFFSHORE SVCS COM             EQUITY   440543106       5     284,900 SH        sole        3      282,200             2,700
HORNBECK OFFSHORE SVCS INC             EQUITY   440543106    5572     337,700 SH        defined     2                 337,700
HOSPIRA INC                            EQUITY   441060100    2176      71,105 SH        sole        1       71,105
Hospira Inc                            EQUITY   441060100      77       2,500 SH        sole        4        2,500
HOSPIRA INC                            EQUITY   441060100       7         227 SH        defined     2                     227
HOSPITALITY PROPERTIES TRUST           EQUITY   44106M102   10732     252,575 SH        sole        1      252,575
HOT TOPIC INC                          EQUITY   441339108     448      26,276 SH        sole        1       26,276
HOUSTON EXPLORATION COMPAN             EQUITY   442120101     408       6,879 SH        sole        1        6,879
HOVNANIAN ENTER, INC. COM PAR $0.01    EQUITY   442487203    4018     100,203 SH        sole        1      100,203
HRPT PROPERTIES TRUST                  EQUITY   40426W101     262      23,862 SH        sole        1       23,862
HUB GROUP INC-CL A                     EQUITY   443320106     146       3,912 SH        sole        1        3,912
HUBBELL INC. CLASS B                   EQUITY   443510201    4502     100,422 SH        sole        1      100,422
HUDSON CITY BANCORP                    EQUITY   443683107      51       1,438 SH        sole        1        1,438
HUDSON HIGHLAND GROUP INC              EQUITY   443792106     158       5,425 SH        sole        1        5,425
HUDSON RIVER BANKCORP.                 EQUITY   444128102     314      16,529 SH        sole        1       16,529
HUGHES SUPPLY, INC.                    EQUITY   444482103      38       1,270 SH        sole        1        1,270
HUMAN GENOME SCIENCES, INC.            EQUITY   444903108     771      70,681 SH        sole        1       70,681
HUMANA INC                             EQUITY   444859102       4         182 SH        defined     2                     182
HUMANA, INC.                           EQUITY   444859102    1525      76,333 SH        sole        1       76,333
HUNT JB TRANS SVC INC COM              EQUITY   445658107       6     172,700 SH        sole        3      165,900             6,800
HUNTINGTON BANCSHARES INC              EQUITY   446150104       7         262 SH        defined     2                     262
HUNTINGTON BANCSHARES, INC.            EQUITY   446150104    2550     102,371 SH        sole        1      102,371
HUSDON UNITED BANCORP                  EQUITY   444165104      35         954 SH        sole        1          954
HUTCHINSON TECHNOLOGY, INC.            EQUITY   448407106     380      14,205 SH        sole        1       14,205
HYDRIL                                 EQUITY   448774109     373       8,676 SH        sole        1        8,676
HYPERCOM CORP                          EQUITY   44913M105     205      27,765 SH        sole        1       27,765
HYPERION SOLUTIONS CORP                EQUITY   44914M104     722      21,249 SH        sole        1       21,249
HYPERION SOLUTIONS CP COM              EQUITY   44914M104       7     216,308 SH        sole        3      203,300            13,008
IAC/INTERACTIVECORP                    EQUITY   44919P102    1153      52,340 SH        sole        1       52,340
IBERIABANK CORP                        EQUITY   450828108     197       3,413 SH        sole        1        3,413
Icon Plc - Sponsored ADR               EQUITY   45103T107    2166      65,800 SH        sole        1       65,800
ICOS CORPORATION                       EQUITY   449295104      27       1,112 SH        sole        1        1,112
ICU MEDICAL, INC.                      EQUITY   44930G107     150       5,744 SH        sole        1        5,744
ID BIOMEDICAL CORP                     EQUITY   44936D108     260      20,000 SH        defined     2                  20,000
IDACORP, INC.                          EQUITY   451107106    2415      83,103 SH        sole        1       83,103
IDENIX PHARMACEUTICALS INC             EQUITY   45166R204      51       3,159 SH        sole        1        3,159
IDENTIX INC                            EQUITY   451906101     320      48,056 SH        sole        1       48,056
IDEX CORP                              EQUITY   45167R104    7427     218,700 SH        defined     2                 218,700
IDEX CORP.                             EQUITY   45167R104     928      27,318 SH        sole        1       27,318
IDEXX LABORATORIES, INC.               EQUITY   45168D104      38         745 SH        sole        1          745
IDINE REWARDS NETWORK                  EQUITY   761557107      58       8,705 SH        sole        1        8,705
IDT CORP-CL B                          EQUITY   448947309      18       1,204 SH        sole        1        1,204
IDX SYSTEMS CORP.                      EQUITY   449491109     367      11,295 SH        sole        1       11,295
I-FLOW CORP                            EQUITY   449520303     143       9,877 SH        sole        1        9,877
IGATE CORP                             EQUITY   45169U105      42      11,346 SH        sole        1       11,346
IHOP CORP.                             EQUITY   449623107     421      11,010 SH        sole        1       11,010





                                                                                             
II VI INC COM                          EQUITY   902104108       6     175,600 SH        sole        3      169,100             6,500
II-VI INC                              EQUITY   902104108     214       6,108 SH        sole        1        6,108
IKON OFFICE SOLUTIONS INC.             EQUITY   451713101      29       2,406 SH        sole        1        2,406
ILEX ONCOLOGY INC                      EQUITY   451923106     536      21,286 SH        sole        1       21,286
ILLINOIS TOOL WKS INC                  EQUITY   452308109      32         345 SH        defined     2                     345
Illinois Tool Works                    EQUITY   452308109    1863      20,000 SH        sole        4       20,000
ILLINOIS TOOL WORKS, INC.              EQUITY   452308109   16178     173,635 SH        sole        1      173,635
ILLUMINA INC                           EQUITY   452327109      94      15,847 SH        sole        1       15,847
IMAGISTICS INTL INC                    EQUITY   45247T104     305       9,071 SH        sole        1        9,071
IMATION CORP.                          EQUITY   45245A107    2752      77,316 SH        sole        1       77,316
IMC GLOBAL, INC.                       EQUITY   449669100    4379     251,798 SH        sole        1      251,798
IMCLONE SYSTEMS                        EQUITY   45245W109      74       1,400 SH        sole        1        1,400
IMCO RECYCLING INC                     EQUITY   449681105      85       7,429 SH        sole        1        7,429
IMMUCOR INC                            EQUITY   452526106     402      16,235 SH        sole        1       16,235
IMMUNICON CORP                         EQUITY   45260A107      33       3,285 SH        sole        1        3,285
IMMUNOGEN INC                          EQUITY   45253H101     101      19,946 SH        sole        1       19,946
IMMUNOMEDICS, INC.                     EQUITY   452907108      59      22,664 SH        sole        1       22,664
IMPAC MORTGAGE HOLDINGS INC            EQUITY   45254P102     946      35,968 SH        sole        1       35,968
IMPAX LABORATORIES INC                 EQUITY   45256B101     407      26,493 SH        sole        1       26,493
IMPAX LABORATORIES INC COM             EQUITY   45256B101      10     637,378 SH        sole        3      624,300            13,078
IMS HEALTH INC                         EQUITY   449934108       6         267 SH        defined     2                     267
IMS HEALTH, INC.                       EQUITY   449934108    2493     104,232 SH        sole        1      104,232
INAMED CORP                            EQUITY   453235103    2801      58,761 SH        sole        1       58,761
INCYTE CORP                            EQUITY   45337C102     320      33,256 SH        sole        1       33,256
INDEPENDENCE COMMUNITY BANK            EQUITY   453414104    5413     138,619 SH        sole        1      138,619
INDEPENDENCE HLDG CO N                 EQUITY   453440307      44       2,492 SH        sole        1        2,492
INDEPENDENT BANK CORP.-MASSACHUSETTS   EQUITY   453836108     247       8,006 SH        sole        1        8,006
INDEPENDENT BANK CORP.-MICHIGAN        EQUITY   453838104     273      10,122 SH        sole        1       10,122
INDEVUS PHARMACEUTICALS INC            EQUITY   454072109     160      22,534 SH        sole        1       22,534
INDYMAC BANCORP, INC.                  EQUITY   456607100    5371     148,357 SH        sole        1      148,357
INET TECHNOLOGY                        EQUITY   45662V105     160      12,692 SH        sole        1       12,692
INFINITY PROPERTY & CASUALTY           EQUITY   45665Q103     332      11,253 SH        sole        1       11,253
INFOCROSSING INC                       EQUITY   45664X109     135       8,547 SH        sole        1        8,547
INFOCROSSING INC COM                   EQUITY   45664X109       1      50,200 SH        sole        3       50,200
INFOCUS CORPORATION                    EQUITY   45665B106     198      21,566 SH        sole        1       21,566
INFONET SERVICES COR                   EQUITY   45666T106      56      34,043 SH        sole        1       34,043
INFORMATICA CORP                       EQUITY   45666Q102     273      46,709 SH        sole        1       46,709
INFORMATION HOLDINGS INC.              EQUITY   456727106     696      25,555 SH        sole        1       25,555
INFOSPACE INC.                         EQUITY   45678T201     824      17,384 SH        sole        1       17,384
INFOUSA INC. CLASS B                   EQUITY   456818301     154      17,320 SH        sole        1       17,320
INFRASOURCE SERVICES INC               EQUITY   45684P102      49       4,695 SH        sole        1        4,695
INGERSOLL RAND COMPANY LIM             EQUITY   G4776G101    1291      18,998 SH        defined     2                  18,998
INGERSOLL-RAND CO CL A                 EQUITY   G4776G101    8243     121,268 SH        sole        1      121,268
INGLES MARKETS, INC., CLASS A          EQUITY   457030104      67       5,557 SH        sole        1        5,557
INGRAM MICRO INC. CLASS A              EQUITY   457153104      41       2,570 SH        sole        1        2,570
INKINE PHARMACEUTICAL CO INC           EQUITY   457214104     135      26,514 SH        sole        1       26,514
INNKEEPERS USA TRUST                   EQUITY   4576J0104     275      22,069 SH        sole        1       22,069
INNOVATIVE SOLTNS&SUPP COM             EQUITY   45769N105       1      28,300 SH        sole        3       28,300
INNOVATIVE SOLUTIONS & SUPPORT         EQUITY   45769N105      93       3,799 SH        sole        1        3,799
INPUT/OUTPUT, INC.                     EQUITY   457652105     358      34,695 SH        sole        1       34,695
INSIGHT COMMUNICATIO                   EQUITY   45768V108     213      24,258 SH        sole        1       24,258
INSIGHT ENTERPRISES, INC.              EQUITY   45765U103     444      26,354 SH        sole        1       26,354
INSITUFORM TECHNOLOGIES, INC. CLASS A  EQUITY   457667103     272      14,552 SH        sole        1       14,552
INSPIRE PHARMACEUTICALS INC            EQUITY   457733103     325      20,676 SH        sole        1       20,676
INSTINET GROUP INCORPORATED            EQUITY   457750107      14       2,792 SH        sole        1        2,792
INSURANCE AUTO AUCTIONS INC COM        EQUITY   457875102      81       4,705 SH        sole        1        4,705





                                                                                               
INSWEB CORP                            EQUITY   45809K202      28       9,194 SH        sole        1        9,194
INTAC INTERNATIONAL                    EQUITY   45811T100      34       4,289 SH        sole        1        4,289
INTEGRA BANK CORP.                     EQUITY   45814P105     181       8,339 SH        sole        1        8,339
INTEGRA LIFESCIENCES CORP              EQUITY   457985208   10391     323,600 SH        defined     2                 323,600
INTEGRA LIFESCIENCES HOLDINGS          EQUITY   457985208     355      11,047 SH        sole        1       11,047
INTEGRATED CIRCUIT SYSTEMS             EQUITY   45811K208    2679     124,620 SH        sole        1      124,620
INTEGRATED DEVICE TECHNOLOGY,          EQUITY   458118106    2195     230,325 SH        sole        1      230,325
INTEGRATED ELECTRICAL SERVICES         EQUITY   45811E103      86      17,906 SH        sole        1       17,906
INTEGRATED SILICON SOLUTION            EQUITY   45812P107     141      19,438 SH        sole        1       19,438
INTEL CORP                             EQUITY   458140100   21806   1,087,014 SH        defined     2               1,087,014
INTEL CORP COM                         EQUITY   458140100       2      74,800 SH        sole        3       74,800
INTEL CORP.                            EQUITY   458140100   83197   4,147,417 SH        sole        1    4,147,417
INTER PARFUMS INC                      EQUITY   458334109      38       2,757 SH        sole        1        2,757
INTERACTIVE DATA CORP                  EQUITY   45840J107     377      20,026 SH        sole        1       20,026
INTERCEPT INC                          EQUITY   45845L107     671      35,819 SH        sole        1       35,819
INTERCHANGE FINL SVCS                  EQUITY   458447109     144       6,005 SH        sole        1        6,005
INTERDIGITAL COMMUNICATION             EQUITY   45866A105     494      30,260 SH        sole        1       30,260
INTERFACE, INC. CLASS A                EQUITY   458665106     193      24,111 SH        sole        1       24,111
INTERGRAPH CORP                        EQUITY   458683109     736      27,100 SH        defined     2                  27,100
INTERGRAPH CORP.                       EQUITY   458683109     541      19,894 SH        sole        1       19,894
INTERMAGNETICS GENERAL CORP.           EQUITY   458771102     318      13,752 SH        sole        1       13,752
INTERMUNE INC.                         EQUITY   45884X103     184      15,634 SH        sole        1       15,634
INTERNAP NETWORK SERVICES              EQUITY   45885A102      86     128,800 SH        sole        1      128,800
INTERNATIONAL BANCSHARES CORP.         EQUITY   459044103      26         711 SH        sole        1          711
International Bus. Machines ComStk U$  EQUITY   459200101    3806      44,390 SH        sole        1       44,390
INTERNATIONAL BUSINESS MAC             EQUITY   459200101   27146     316,604 SH        defined     2                 316,604
International Business Machines        EQUITY   459200101     857      10,000 SH        sole        4       10,000
INTERNATIONAL FLAVOURS                 EQUITY   459506101       4         107 SH        defined     2                     107
INTERNATIONAL GAME TECHNOL             EQUITY   459902102   13132     365,293 SH        defined     2                 365,293
INTERNATIONAL GAME TECHNOLOGY          EQUITY   459902102    5259     146,283 SH        sole        1      146,283
International Game Technology          EQUITY   459902102    1798      50,000 SH        sole        4       50,000
INTERNATIONAL PAPER CO                 EQUITY   460146103      22         554 SH        defined     2                     554
International Paper Co Com Stk USD1    EQUITY   460146103   31138     770,554 SH        sole        1      770,554
International Rectifier                EQUITY   460254105     686      20,000 SH        sole        4       20,000
INTERNATIONAL RECTIFIER CORP.          EQUITY   460254105    3736     108,928 SH        sole        1      108,928
INTERNATIONAL SPEEDWAY CORP.           EQUITY   460335201    4367      87,519 SH        sole        1       87,519
INTERNATIONAL STEEL GROUP              EQUITY   460377104   10690     318,851 SH        sole        1          651
INTERNET CAPITAL GROUP, INC.           EQUITY   46059C205     134      20,733 SH        sole        1       20,733
INTERNET SECURITY SY                   EQUITY   46060X107     377      22,150 SH        sole        1       22,150
INTEROIL CORP                          EQUITY   460951106    5894     267,000 SH        defined     1            0    267,000
INTERPUBLIC GROUP CORP                 EQUITY   460690100    1992     188,094 SH        sole        1      188,094
INTERPUBLIC GROUP COS INC              EQUITY   460690100       5         481 SH        defined     2                     481
INTERSECTIONS INC                      EQUITY   460981301      56       3,855 SH        sole        1        3,855
INTERSIL CORP -CL A                    EQUITY   46069S109    4132     259,354 SH        sole        1      259,354
INTERSTATE BAKERIES CORP.              EQUITY   46072H108      91      23,410 SH        sole        1       23,410
INTER-TEL, INC.                        EQUITY   458372109     242      11,208 SH        sole        1       11,208
INTERVIDEO INC                         EQUITY   46114Y101      56       4,666 SH        sole        1        4,666
INTERVOICE-BRITE INC.                  EQUITY   461142101     211      19,574 SH        sole        1       19,574
INTERWOVEN INC                         EQUITY   46114T508     159      22,023 SH        sole        1       22,023
INTEVAC INC                            EQUITY   461148108      57       9,116 SH        sole        1        9,116
INTL BUSINESS MACHINES CORP            EQUITY   459200101  104461   1,218,349 SH        sole        1    1,218,349
INT'L. FLAVORS & FRAGRANCES,           EQUITY   459506101    1595      41,751 SH        sole        1       41,751
INTRADO INC                            EQUITY   46117A100      95       9,409 SH        sole        1        9,409
Intuit                                 EQUITY   461202103     908      20,000 SH        sole        4       20,000
INTUIT                                 EQUITY   461202103      10         218 SH        defined     2                     218
INTUIT, INC.                           EQUITY   461202103    5157     113,583 SH        sole        1      113,583





                                                                                             
INTUITIVE SURGICAL INC                 EQUITY    46120E602     452      18,253 SH        sole        1       18,253
INVACARE CORP.                         EQUITY    461203101     650      14,137 SH        sole        1       14,137
INVERESK RESEARCH GROUP INC            EQUITY    461238107    4415     119,693 SH        sole        1      119,693
INVERNESS MEDICAL INNOVATION           EQUITY    46126P106     152       7,314 SH        sole        1        7,314
INVESTMENT TECHNOLOGY GROUP            EQUITY    46145F105     365      23,881 SH        sole        1       23,881
INVESTORS FINANCIAL SERVICES           EQUITY    461915100    4931     109,263 SH        sole        1      109,263
INVESTORS FINL SERVICE COM             EQUITY    461915100       5     102,714 SH        sole        3      100,300            2,414
INVESTORS REAL ESTATE TRUST            EQUITY    461730103     272      27,137 SH        sole        1       27,137
INVISION TECHNOLOGIES                  EQUITY    461851107    2562      56,952 SH        sole        1       56,952
INVITROGEN CORP                        EQUITY    46185R100    4975      90,478 SH        sole        1       90,478
INVITROGEN CORP                        EQUITY    46185R100    2200      40,000 SH        defined     2                 40,000
IOMEGA CORP                            EQUITY    462030305     131      28,072 SH        sole        1       28,072
IONICS, INC.                           EQUITY    462218108     271      10,028 SH        sole        1       10,028
IPASS INC                              EQUITY    46261V108     144      24,069 SH        sole        1       24,069
IPAYMENT INC                           EQUITY    46262E105     230       5,715 SH        sole        1        5,715
IPC HOLDINGS LTD.                      EQUITY    G4933P101  445553  11,722,000 SH        sole        1   11,722,000
IRON MOUNTAIN INC.                     EQUITY    462846106      77       2,267 SH        sole        1        2,267
IRON MTN INC DEL COM                   EQUITY    462846106              12,600 SH        sole        3        4,450            8,150
IRWIN FINANCIAL CORP.                  EQUITY    464119106     246       9,532 SH        sole        1        9,532
ISHARES COHEN & STEERS RLTY            EQUITY    464287564    1352      11,400 SH        sole        1       11,400
ISHARES LEHMAN 7-10 YR TREASURY BOND   EQUITY    464287440    1797      20,930 SH        sole        1       20,930
ISHARES MSCI EAFE INDEX FUND           EQUITY    464287465   14083      99,600 SH        sole        1       99,600
iSHARES MSCI HONG KONG INDEX           FINANCIAL 464286871    1726     155,200 SH        sole        1          155
iSHARES MSCI JAPAN INDEX FD            EQUITY    464286848    1999     206,060 SH        sole        1      206,060
iSHARES RUSSELL 2000                   EQUITY    464287655    2971      26,100 SH        sole        1       26,100
ISHARES RUSSELL MIDCAP GRWTH           EQUITY    464287481     994      13,400 SH        sole        1       13,400
ISHARES RUSSELL MIDCAP VALUE           EQUITY    464287473    1658      16,600 SH        sole        1       16,600
ISHARES S&P 500/BARRA GROWTH           EQUITY    464287309    1212      22,500 SH        sole        1       22,500
ISHARES S&P 500/BARRA VALUE            EQUITY    464287408    1796      31,200 SH        sole        1       31,200
ISIS PHARMACEUTICALS, INC.             EQUITY    464330109     138      28,234 SH        sole        1       28,234
ISLE OF CAPRI CASINOS                  EQUITY    464592104     142       7,347 SH        sole        1        7,347
ISOLAGEN INC                           EQUITY    46488N103     114      12,050 SH        sole        1       12,050
ISOLAGEN INC COM                       EQUITY    46488N103       3     282,800 SH        sole        3      282,800
ISTA PHARMACEUTICALS COM NEW           EQUITY    45031X204       7     543,600 SH        sole        3      538,000            5,600
ISTA PHARMACEUTICALS INC.              EQUITY    45031X204      49       4,013 SH        sole        1        4,013
ISTAR FINANCIAL INC                    EQUITY    45031U101      93       2,264 SH        sole        1        2,264
ITC DELTACOM INC                       EQUITY    45031T401      30       6,834 SH        sole        1        6,834
ITLA CAP CORP                          EQUITY    450565106     135       2,914 SH        sole        1        2,914
ITRON, INC.                            EQUITY    465741106     198      11,358 SH        sole        1       11,358
ITT EDUCATIONAL SERVICES, INC.         EQUITY    45068B109    2721      75,481 SH        sole        1       75,481
ITT EDUCATIONAL SVCS COM               EQUITY    45068B109      11     293,014 SH        sole        3      280,800           12,214
ITT INDS INC                           EQUITY    450911102       8         105 SH        defined     2                    105
ITT INDUSTRIAL INC                     EQUITY    450911102    3296      41,209 SH        sole        1       41,209
ITT Industries                         EQUITY    450911102    1936      24,200 SH        sole        4       24,200
IVANHOE MINES LTD                      EQUITY    46579N103    7643   1,360,600 SH        defined     1            0 1,360,600
IVAX CORP.                             EQUITY    465823102    7877     411,355 SH        sole        1      411,355
IVAX DIAGNOSTICS INC                   EQUITY    45070W109      20       3,663 SH        sole        1        3,663
IVILLAGE INC                           EQUITY    46588H105     103      17,126 SH        sole        1       17,126
IXIA                                   EQUITY    45071R109     140      14,396 SH        sole        1       14,396
IXIA COM                               EQUITY    45071R109       3     276,800 SH        sole        3      276,800
IXYS CORP.                             EQUITY    46600W106      73      10,231 SH        sole        1       10,231
J & J SNACK FOODS CORP                 EQUITY    466032109     142       3,301 SH        sole        1        3,301
J JILL GROUP INC                       EQUITY    466189107     192       9,673 SH        sole        1        9,673
J.B. HUNT TRANSPORT SERVICES           EQUITY    445658107    4927     132,651 SH        sole        1      132,651
J.C. PENNEY CO., INC.                  EQUITY    708160106    7235     205,084 SH        sole        1      205,084
J0-ANN STORES INC                      EQUITY    47758P307     288      10,280 SH        sole        1       10,280





                                                                                              
J2 GLOBAL COMMUNICATIO                 EQUITY   46626E205     324      10,257 SH        sole        1       10,257
JABIL CIRCUIT INC                      EQUITY   466313103       5         229 SH        defined     2                     229
Jabil Circuit Inc USD0.001             EQUITY   466313103   25733   1,118,838 SH        sole        1    1,118,838
JACK IN THE BOX INC.                   EQUITY   466367109     631      19,880 SH        sole        1       19,880
JACKSON HEWITT TAX SERVICE             EQUITY   468202106     414      20,485 SH        sole        1       20,485
JACOBS ENGINEERING GROUP, INC.         EQUITY   469814107    3560      92,984 SH        sole        1       92,984
JACUZZI BRANDS INC                     EQUITY   469865109     382      41,054 SH        sole        1       41,054
JAKKS PACIFIC, INC.                    EQUITY   47012E106     317      13,799 SH        sole        1       13,799
JANUS CAP GROUP INC                    EQUITY   47102X105       4         273 SH        defined     2                     273
JANUS CAPITAL GROUP                    EQUITY   47102X105    1453     106,761 SH        sole        1      106,761
JARDEN CORP                            EQUITY   471109108     541      14,818 SH        sole        1       14,818
JDA SOFTWARE GROUP, INC.               EQUITY   46612K108     152      14,007 SH        sole        1       14,007
JDS UNIPHASE CORP                      EQUITY   46612J101    2562     760,199 SH        sole        1      760,199
JDS UNIPHASE CORP                      EQUITY   46612J101       6       1,642 SH        defined     2                   1,642
JEFFERIES GROUP, INC.                  EQUITY   472319102    3217      93,324 SH        sole        1       93,324
JEFFERSON PILOT CORP                   EQUITY   475070108       8         156 SH        defined     2                     156
JEFFERSON-PILOT CORP.                  EQUITY   475070108    4186      84,288 SH        sole        1       84,288
JETBLUE AIRWAYS CORP                   EQUITY   477143101    3592     171,681 SH        sole        1      171,681
JETBLUE AWYS CORP                      EQUITY   477143101     138       6,600 SH        defined     2                   6,600
JLG INDUSTRIES, INC.                   EQUITY   466210101     400      23,802 SH        sole        1       23,802
JM SMUCKER CO/THE NEW COM WI           EQUITY   832696405    4277      96,297 SH        sole        1       96,297
JOHN B. SANFILIPPO & SON               EQUITY   800422107      90       3,431 SH        sole        1        3,431
JOHN Q HAMMONS HOTELS INC              EQUITY   408623106     535      48,900 SH        sole        1       48,900
JOHN WILEY & SONS, INC. CLASS A        EQUITY   968223206      30         928 SH        sole        1          928
JOHNSON & JOHNSON                      EQUITY   478160104  107400   1,906,613 SH        sole        1    1,906,613
JOHNSON & JOHNSON COM                  EQUITY   478160104       2      34,500 SH        sole        3       34,500
JOHNSON + JOHNSON                      EQUITY   478160104   30122     534,737 SH        defined     2                 534,737
Johnson and Johnson                    EQUITY   478160104    3380      60,000 SH        sole        4       60,000
JOHNSON CONTROLS, INC.                 EQUITY   478366107    4818      84,813 SH        sole        1       84,813
JOHNSON CTLS INC                       EQUITY   478366107   12575     221,360 SH        defined     2                 221,360
JONES APPAREL GROUP INC                EQUITY   480074103     352       9,842 SH        defined     2                   9,842
JONES APPAREL GROUP, INC.              EQUITY   480074103    9596     268,040 SH        sole        1      268,040
JONES LANG LASALLE INC COM             EQUITY   48020Q107      11     333,120 SH        sole        3      325,900             7,220
JONES LANG LASALLE, INC.               EQUITY   48020Q107     573      17,370 SH        sole        1       17,370
JOS A BANK CLOTHIERS INC               EQUITY   480838101     154       5,573 SH        sole        1        5,573
JOURNAL COMMUNICATIONS INC-A           EQUITY   481130102     193      10,994 SH        sole        1       10,994
JOURNAL REGISTER CO.                   EQUITY   481138105     432      22,850 SH        sole        1       22,850
JOY GLOBAL INC.                        EQUITY   481165108     952      27,699 SH        sole        1       27,699
JPMorgan Chase & Co USD1.00            EQUITY   46625H100  148292   3,732,485 SH        sole        1    3,732,485
JPMORGAN CHASE + CO                    EQUITY   46625H100   26466     666,135 SH        defined     2                 666,135
JUNIPER NETWORKS INC                   EQUITY   48203R104     132       5,600 SH        defined     2                   5,600
JUNIPER NETWORKS, INC.                 EQUITY   48203R104     914      38,730 SH        sole        1       38,730
JUPITERMEDIA CORP                      EQUITY   48207D101     152       8,517 SH        sole        1        8,517
JUPITERMEDIA CORP COM  144             EQUITY   48207D101       2     115,600 SH        sole        3      115,600
K V PHARMACEUT [A]                     EQUITY   482740206     348      19,450 SH        sole        1       19,450
K.FORCE INC.                           EQUITY   493732101     117      13,905 SH        sole        1       13,905
K2, INC.                               EQUITY   482732104     324      22,645 SH        sole        1       22,645
KADANT INC                             EQUITY   48282T104     143       7,791 SH        sole        1        7,791
KAMAN CORP., CLASS A                   EQUITY   483548103     137      11,505 SH        sole        1       11,505
KANA SOFTWARE INC.                     EQUITY   483600300                  36 SH        sole        1           36
KANBAY INTERNATIONAL INC               EQUITY   48369P207      83       3,896 SH        sole        1        3,896
KANSAS CITY LIFE INSURANCE CO.         EQUITY   484836101      85       2,001 SH        sole        1        2,001
KANSAS CITY SOUTHERN                   EQUITY   485170302     518      34,130 SH        sole        1       34,130
KAYDON CORP.                           EQUITY   486587108     442      15,362 SH        sole        1       15,362
KB HOME                                EQUITY   48666K109    1736      20,549 SH        sole        1       20,549
KB HOME                                EQUITY   48666K109       4          53 SH        defined     2                      53





                                                                                              
KCS ENERGY, INC.                       EQUITY   482434206     370      26,635 SH        sole        1       26,635
KEANE INC                              EQUITY   486665102    2310     150,400 SH        defined     2                 150,400
KEANE, INC.                            EQUITY   486665102    1971     128,306 SH        sole        1      128,306
KEITHLEY INSTRUMENTS, INC.             EQUITY   487584104     120       6,852 SH        sole        1        6,852
KELLOGG CO                             EQUITY   487836108      20         471 SH        defined     2                     471
KELLOGG CO.                            EQUITY   487836108    7479     175,321 SH        sole        1      175,321
KELLWOOD CO.                           EQUITY   488044108     539      14,789 SH        sole        1       14,789
KELLY SERVICES, INC., CLASS A          EQUITY   488152208    1789      66,983 SH        sole        1       66,983
KEMET CORP.                            EQUITY   488360108    1522     188,094 SH        sole        1      188,094
Kennametal Inc USD 1.25                EQUITY   489170100    5086     112,641 SH        sole        1      112,641
KENSEY NASH CORP                       EQUITY   490057106     136       5,188 SH        sole        1        5,188
KERR MCGEE CORP                        EQUITY   492386107      10         172 SH        defined     2                     172
KERR-MCGEE CORP                        EQUITY   492386107   13442     234,787 SH        sole        1      234,787
KERYX BIOPHARMACEUTICALS               EQUITY   492515101     132      11,792 SH        sole        1       11,792
KEY BANK NA                            EQUITY   493267108    5473     173,194 SH        sole        1      173,194
KEY ENERGY SERVICES INC                EQUITY   492914106     786      71,127 SH        sole        1       71,127
Keycorp                                EQUITY   493267108    1580      50,000 SH        sole        4       50,000
KEYCORP NEW                            EQUITY   493267108      15         464 SH        defined     2                     464
KEYNOTE SYSTEMS INC                    EQUITY   493308100     119       8,381 SH        sole        1        8,381
Keyspan                                EQUITY   49337W100    6860     175,000 SH        sole        4      175,000
KEYSPAN CORP                           EQUITY   49337W100       7         183 SH        defined     2                     183
KEYSPAN CORPORATION                    EQUITY   49337W100   23327     595,075 SH        sole        1      595,075
KEYSTONE AUTOMOTIVE IN                 EQUITY   49338N109     182       8,276 SH        sole        1        8,276
K-FED BANCORP                          EQUITY   48246S101      46       3,099 SH        sole        1        3,099
KFX INC                                EQUITY   48245L107     190      24,593 SH        sole        1       24,593
KILROY REALTY CORP.                    EQUITY   49427F108     711      18,688 SH        sole        1       18,688
KIMBALL INTERNATIONAL, INC. CLASS B    EQUITY   494274103     164      11,793 SH        sole        1       11,793
KIMBERLY CLARK CORP                    EQUITY   494368103      36         564 SH        defined     2                     564
KIMBERLY-CLARK CORP.                   EQUITY   494368103   15169     234,844 SH        sole        1      234,844
KIMCO REALTY                           EQUITY   49446R109     748      14,586 SH        sole        1       14,586
Kinder Morgan Energy Partners          EQUITY   494550106    2576      55,000 SH        sole        4       55,000
Kinder Morgan Inc                      EQUITY   49455P101    2513      40,000 SH        sole        4       40,000
KINDER MORGAN INC KANS                 EQUITY   49455P101       9         141 SH        defined     2                     141
KINDER MORGAN INC.                     EQUITY   49455P101    3433      54,653 SH        sole        1       54,653
KINDRED HEALTHCARE INC                 EQUITY   494580103     350      14,349 SH        sole        1       14,349
KINETIC CONSEPTS INC                   EQUITY   49460W208      28         530 SH        sole        1          530
KING PHARMACEUTICALS INC               EQUITY   495582108       3         275 SH        defined     2                     275
KING PHARMACEUTICALS, INC.             EQUITY   495582108    1287     107,753 SH        sole        1      107,753
KINROSS GOLD                           EQUITY   496902206    2537     374,200 SH        defined     1            0    374,200
KINTERA INC                            EQUITY   49720P506      34       3,633 SH        sole        1        3,633
KIRBY CORP.                            EQUITY   497266106     474      11,811 SH        sole        1       11,811
KIRKLAND'S INC                         EQUITY   497498105      57       6,031 SH        sole        1        6,031
KITE REALTY GROUP TRUST                EQUITY   49803T102     123       9,343 SH        sole        1        9,343
KLA TENCOR CORP                        EQUITY   482480100       9         224 SH        defined     2                     224
KLA-TENCOR CORP.                       EQUITY   482480100   12599     303,731 SH        sole        1      303,731
KMART HOLDING CORP                     EQUITY   498780105    1180      13,485 SH        sole        1       13,485
KNBT BANCORP INC                       EQUITY   482921103     280      16,640 SH        sole        1       16,640
KNIGHT RIDDER INC                      EQUITY   499040103       6          88 SH        defined     2                      88
KNIGHT TRADING GROUP                   EQUITY   499063105     583      63,207 SH        sole        1       63,207
KNIGHT TRADING GROUP INC               EQUITY   499063105    1849     200,300 SH        defined     2                 200,300
KNIGHT TRANSPORTATION, INC.            EQUITY   499064103     427      19,950 SH        sole        1       19,950
KNIGHT-RIDDER, INC.                    EQUITY   499040103    2265      34,602 SH        sole        1       34,602
KNOLOGY INC                            EQUITY   499183804     165      39,813 SH        sole        1       39,813
KOHLS CORP                             EQUITY   500255104   23603     489,789 SH        defined     2                 489,789
KOHLS CORP.                            EQUITY   500255104    7982     165,639 SH        sole        1      165,639
KOMAG INC                              EQUITY   500453204     208      14,983 SH        sole        1       14,983





                                                                                              
KOPIN CORP.                            EQUITY   500600101     155      38,170 SH        sole        1       38,170
Korea Electric Power Corp. Kepco Sp A  EQUITY   500631106     974      59,500 SH        sole        1       59,500
KORN/FERRY INTERNATIONAL               EQUITY   500643200    1461      80,132 SH        sole        1       80,132
KOS PHARMACEUTICALS, INC.              EQUITY   500648100     231       6,498 SH        sole        1        6,498
KOSAN BIOSCIENCES INC                  EQUITY   50064W107      66      11,503 SH        sole        1       11,503
KRAFT FOODS INC                        EQUITY   50075N104   27029     852,110 SH        sole        1      852,110
KRAMONT REALTY TRUST                   EQUITY   50075Q107     295      15,846 SH        sole        1       15,846
KRISPY KREME DOUGHNU                   EQUITY   501014104    1652     130,497 SH        sole        1      130,497
KROGER CO                              EQUITY   501044101      13         842 SH        defined     2                     842
KROGER CO.                             EQUITY   501044101    5118     329,763 SH        sole        1      329,763
KRONOS WORLDWIDE INC                   EQUITY   50105F105      67       1,680 SH        sole        1        1,680
KRONOS, INC.                           EQUITY   501052104     749      16,916 SH        sole        1       16,916
K-SWISS, INC.                          EQUITY   482686102     271      14,090 SH        sole        1       14,090
KULICKE & SOFFA INDUSTRIES             EQUITY   501242101     156      27,682 SH        sole        1       27,682
KVH INDUSTRIES INC                     EQUITY   482738101      57       7,852 SH        sole        1        7,852
KYPHON INC                             EQUITY   501577100     314      12,679 SH        sole        1       12,679
L 3 COMMUNICATIONS HLDG CO             EQUITY   502424104     817      12,200 SH        defined     2                  12,200
L-3 COMMUNICATIONS HOLDINGS,           EQUITY   502424104   11797     176,070 SH        sole        1      176,070
L-3 COMMUNICATNS HLDGS COM             EQUITY   502424104       9     134,000 SH        sole        3      128,700             5,300
LA QUINTA PROPERTIES-PAIRED            EQUITY   50419U202     798     102,332 SH        sole        1      102,332
LABONE INC NEW                         EQUITY   50540L105     569      19,467 SH        sole        1       19,467
LABOR READY INC COM NEW                EQUITY   505401208       8     550,045 SH        sole        3      543,445             6,600
LABOR READY, INC.                      EQUITY   505401208     316      22,543 SH        sole        1       22,543
LABORATORY CRP OF AMER HLDGS           EQUITY   50540R409     130       2,963 SH        sole        1        2,963
LABRANCHE & CO. INC.                   EQUITY   505447102    1067     126,310 SH        sole        1      126,310
LACLEDE GAS CO.                        EQUITY   505597104     330      11,288 SH        sole        1       11,288
LAFARGE NORTH AMERIC                   EQUITY   505862102      31         666 SH        sole        1          666
LAIDLAW INTERNATIONAL                  EQUITY   50730R102    8357     508,034 SH        sole        1      508,034
LAKELAND BANCORP INC                   EQUITY   511637100     153       9,327 SH        sole        1        9,327
LAKELAND FINL CORP                     EQUITY   511656100     107       3,171 SH        sole        1        3,171
LAKES ENTERTAINMENT INC                EQUITY   51206P109      87       8,348 SH        sole        1        8,348
LAM RESEARCH CORP.                     EQUITY   512807108    5054     231,008 SH        sole        1      231,008
LAM RESH CORP                          EQUITY   512807108   12511     571,800 SH        defined     2                 571,800
LAMAR ADVERTISING CO                   EQUITY   512815101     327       7,861 SH        sole        1        7,861
LAMAR ADVERTISING CO                   EQUITY   512815101     537      12,900 SH        defined     2                  12,900
LANCASTER COLONY CORP.                 EQUITY   513847103    3075      72,926 SH        sole        1       72,926
LANCE, INC.                            EQUITY   514606102     226      13,977 SH        sole        1       13,977
LANDAMERICA FINANCIAL GROUP            EQUITY   514936103     469      10,311 SH        sole        1       10,311
LANDAUER, INC.                         EQUITY   51476K103     228       4,849 SH        sole        1        4,849
LANDRY'S RESTAURANTS INC.              EQUITY   51508L103     320      11,724 SH        sole        1       11,724
LANDSTAR SYSTEM, INC.                  EQUITY   515098101     953      16,237 SH        sole        1       16,237
LANNETT CO INC                         EQUITY   516012101      37       3,764 SH        sole        1        3,764
LASALLE HOTEL PROPERTIES               EQUITY   517942108     503      18,239 SH        sole        1       18,239
LASERSCOPE                             EQUITY   518081104     200       9,850 SH        sole        1        9,850
LATTICE SEMICONDUCTOR CORP.            EQUITY   518415104    1210     246,431 SH        sole        1      246,431
LAUDER ESTEE COS INC                   EQUITY   518439104   16875     403,700 SH        defined     2                 403,700
LAUREATE EDUCATION INC                 EQUITY   518613104    2800      75,240 SH        sole        1       75,240
LAWSON PRODUCTS, INC.                  EQUITY   520776105     109       2,668 SH        sole        1        2,668
LAWSON SOFTWARE                        EQUITY   520780107     170      30,280 SH        sole        1       30,280
LAWSON SOFTWARE INC                    EQUITY   520780107    3244     579,200 SH        defined     2                 579,200
LAYNE CHRISTENSEN COMPANY              EQUITY   521050104      81       5,368 SH        sole        1        5,368
LA-Z-BOY CHAIR CO.                     EQUITY   505336107     435      28,648 SH        sole        1       28,648
LCA VISION INC                         EQUITY   501803308    1547      60,000 SH        defined     2                  60,000
LCA-VISION INC                         EQUITY   501803308     145       5,606 SH        sole        1        5,606
LEADIS TECHNOLOGY INC                  EQUITY   52171N103      37       3,264 SH        sole        1        3,264
LEAPFROG ENTERPRISE                    EQUITY   52186N106      14         695 SH        defined     2                     695





                                                                                              
LEAPFROG ENTERPRISES                   EQUITY   52186N106     303      14,959 SH        sole        1       14,959
LEAR CORP                              EQUITY   521865105    6160     113,123 SH        sole        1      113,123
LEARNING TREE INTERNATIONAL            EQUITY   522015106      68       4,795 SH        sole        1        4,795
LECG CORP                              EQUITY   523234102     120       7,109 SH        sole        1        7,109
LECROY CORP                            EQUITY   52324W109      71       4,246 SH        sole        1        4,246
LEE ENTERPRISES, INC.                  EQUITY   523768109    3459      74,646 SH        sole        1       74,646
LEGG MASON, INC.                       EQUITY   524901105    8853     166,190 SH        sole        1      166,190
LEGGETT & PLATT, INC.                  EQUITY   524660107    6199     220,589 SH        sole        1      220,589
LEGGETT + PLATT INC                    EQUITY   524660107       6         218 SH        defined     2                     218
LEHMAN BROTHERS HLDGS INC              EQUITY   524908100    4003      50,209 SH        defined     2                  50,209
LEHMAN BROTHERS HOLDINGS, INC.         EQUITY   524908100    9212     115,559 SH        sole        1      115,559
LENNAR CORP. COM CLASS A               EQUITY   526057104   12229     256,919 SH        sole        1      256,919
LENNOX INTERNATIONAL INC               EQUITY   526107107     361      24,130 SH        sole        1       24,130
LEUCADIA NATIONAL CORP.                EQUITY   527288104    6605     116,588 SH        sole        1      116,588
LEVEL 3 COMMUNICATIONS, INC.           EQUITY   52729N100     164      63,461 SH        sole        1       63,461
LEVITT CORP-CL A                       EQUITY   52742P108     196       8,345 SH        sole        1        8,345
LEXAR MEDIA INC                        EQUITY   52886P104     324      38,565 SH        sole        1       38,565
LEXICON GENETICS INC COM               EQUITY   528872104       2     289,600 SH        sole        3      289,600
LEXICON GENETICS INC.                  EQUITY   528872104     227      34,507 SH        sole        1       34,507
LEXINGTON CORP. PROPERTRIES            EQUITY   529043101     688      31,686 SH        sole        1       31,686
LEXMARK INTERNATIONAL GROUP            EQUITY   529771107   19000     226,163 SH        sole        1      226,163
LEXMARK INTL INC                       EQUITY   529771107    8220      97,848 SH        defined     2                  97,848
LIBBEY, INC.                           EQUITY   529898108     139       7,438 SH        sole        1        7,438
LIBERTY CORP.                          EQUITY   530370105     340       8,556 SH        sole        1        8,556
LIBERTY MEDIA CORP                     EQUITY   530718105      69       7,860 SH        defined     2                   7,860
LIBERTY MEDIA INTL                     EQUITY   530719103      13         392 SH        defined     2                     392
LIBERTY MEDIA INTL INC-A               EQUITY   530719103      94       2,810 SH        sole        1        2,810
LIBERTY PROPERTY TRUST                 EQUITY   531172104    5982     150,162 SH        sole        1      150,162
LIFE TIME FITNESS INC                  EQUITY   53217R207     166       6,474 SH        sole        1        6,474
LIFECELL CORPORATION                   EQUITY   531927101     155      15,478 SH        sole        1       15,478
LIFELINE SYS INC                       EQUITY   532192101     147       6,033 SH        sole        1        6,033
LIFEPOINT HOSPITALS HLDG               EQUITY   53219L109    2518      83,922 SH        sole        1       83,922
LIFETIME HOAN CORP                     EQUITY   531926103      58       3,887 SH        sole        1        3,887
LIGAND PHARMACEUTICALS, INC., CLASS B  EQUITY   53220K207     403      40,245 SH        sole        1       40,245
LILLY ELI + CO                         EQUITY   532457108     846      14,089 SH        defined     2                  14,089
LIMITED BRANDS INC                     EQUITY   532716107   28548   1,280,739 SH        defined     2               1,280,739
LIMITED BRANDS, INC.                   EQUITY   532716107    4671     209,551 SH        sole        1      209,551
LIN TV CORP                            EQUITY   532774106     285      14,621 SH        sole        1       14,621
LINCARE HOLDINGS, INC.                 EQUITY   532791100    5103     171,744 SH        sole        1      171,744
LINCOLN ELECTRIC HOLDINGS, INC         EQUITY   533900106     574      18,311 SH        sole        1       18,311
LINCOLN NATIONAL CORP.                 EQUITY   534187109    3830      81,479 SH        sole        1       81,479
LINCOLN NATL CORP IN                   EQUITY   534187109      48       1,031 SH        defined     2                   1,031
LINDSAY MANUFACTURING CO.              EQUITY   535555106     172       6,405 SH        sole        1        6,405
LINEAR TECHNOLOGY CORP                 EQUITY   535678106      13         351 SH        defined     2                     351
LINEAR TECHNOLOGY CORP                 EQUITY   535678106       3      94,900 SH        sole        3       90,500             4,400
LINEAR TECHNOLOGY CORP.                EQUITY   535678106    6326     174,570 SH        sole        1      174,570
LINENS 'N THINGS, INC.                 EQUITY   535679104     569      24,568 SH        sole        1       24,568
LIONBRIDGE TECHNOLOGIES INC            EQUITY   536252109     218      25,377 SH        sole        1       25,377
LITHIA MOTORS, INC.                    EQUITY   536797103     165       7,772 SH        sole        1        7,772
LITTELFUSE INC COM                     EQUITY   537008104              11,600 SH        sole        3        5,100             6,500
LITTELFUSE, INC.                       EQUITY   537008104     415      12,020 SH        sole        1       12,020
LIZ CLAIBORNE INC                      EQUITY   539320101       5         123 SH        defined     2                     123
LIZ CLAIBORNE, INC.                    EQUITY   539320101    1817      48,169 SH        sole        1       48,169
LKQ CORP                               EQUITY   501889208     145       7,946 SH        sole        1        7,946
LNR PROPERTY CORP.                     EQUITY   501940100    2376      38,378 SH        sole        1       38,378
LOCKHEED MARTIN CORP                   EQUITY   539830109      28         507 SH        defined     2                     507





                                                                                             
LOCKHEED MARTIN CORP.                  EQUITY   539830109   11043     197,968 SH        sole        1      197,968
LODGENET ENTERTAINMENT CORP.           EQUITY   540211109      94       7,120 SH        sole        1        7,120
LODGIAN INC                            EQUITY   54021P403       1         124 SH        sole        1          124
LOEWS CORP                             EQUITY   540424108      12         211 SH        defined     2                     211
LOEWS CORP - CAROLINA GROUP            EQUITY   540424207      28       1,168 SH        sole        1        1,168
LOEWS CORP.                            EQUITY   540424108    4865      83,157 SH        sole        1       83,157
LO-JACK CORPORATION                    EQUITY   539451104     805      71,900 SH        sole        1       71,900
LONE STAR STEAKHOUSE & SALOON          EQUITY   542307103     223       8,651 SH        sole        1        8,651
LONE STAR TECHNOLOGIES, INC.           EQUITY   542312103     592      15,671 SH        sole        1       15,671
LONGS DRUG STORES CORP.                EQUITY   543162101     398      16,461 SH        sole        1       16,461
LONGVIEW FIBRE CO.                     EQUITY   543213102    1695     111,127 SH        sole        1      111,127
LOOKSMART LTD                          EQUITY   543442107      76      52,014 SH        sole        1       52,014
LOUISIANA PAC CORP                     EQUITY   546347105       3         125 SH        defined     2                     125
LOUISIANA PACIFIC CORP.                EQUITY   546347105    1311      50,502 SH        sole        1       50,502
LOWE'S COMPANIES, INC.                 EQUITY   548661107   22785     419,229 SH        sole        1      419,229
LSI INDUSTRIES, INC.                   EQUITY   50216C108     112      10,752 SH        sole        1       10,752
LSI LOGIC CORP                         EQUITY   502161102       2         439 SH        defined     2                     439
LSI LOGIC CORP.                        EQUITY   502161102     885     205,279 SH        sole        1      205,279
LTC PROP INC                           EQUITY   502175102     144       8,036 SH        sole        1        8,036
LTX CORP.                              EQUITY   502392103     717     132,576 SH        sole        1      132,576
LUBRIZOL CORP.                         EQUITY   549271104    3709     107,193 SH        sole        1      107,193
LUCENT TECHNOLOGIES INC                EQUITY   549463107    6139   1,936,722 SH        sole        1    1,936,722
LUCENT TECHNOLOGIES INC                EQUITY   549463107      16       4,912 SH        defined     2                   4,912
LUFKIN INDS INC COM                    EQUITY   549764108     137       3,679 SH        sole        1        3,679
LUMINENT MORTGAGE CAPITAL IN           EQUITY   550278303     252      19,877 SH        sole        1       19,877
LUMINEX CORP                           EQUITY   55027E102     104      14,611 SH        sole        1       14,611
LYON WILLIAM HOMES                     EQUITY   552074106     203       2,286 SH        sole        1        2,286
LYONDELL CHEMICAL CO COM               EQUITY   552078107      14     619,126 SH        sole        3      604,900            14,226
LYONDELL CHEMICAL CO.                  EQUITY   552078107    6594     293,578 SH        sole        1      293,578
M & F WORLDWIDE CORP                   EQUITY   552541104      72       5,539 SH        sole        1        5,539
M + T BK CORP                          EQUITY   55261F104      13         133 SH        defined     2                     133
M SYS FLASH DISK PIONR ORD (F)         EQUITY   M7061C100      10     600,154 SH        sole        3      589,700            10,454
M&T BANK CORP.                         EQUITY   55261F104    4925      51,460 SH        sole        1       51,460
M.D.C. HOLDINGS, INC.                  EQUITY   552676108      37         506 SH        sole        1          506
M/I HOMES INC                          EQUITY   55305B101     280       6,602 SH        sole        1        6,602
MACATAWA BK CORP                       EQUITY   554225102     135       4,797 SH        sole        1        4,797
MACDERMID, INC.                        EQUITY   554273102     426      14,707 SH        sole        1       14,707
MACERICH CO.                           EQUITY   554382101     419       7,866 SH        sole        1        7,866
MACK-CALI REALTY CORP                  EQUITY   554489104    4737     106,923 SH        sole        1      106,923
MACROMEDIA, INC.                       EQUITY   556100105    2299     114,483 SH        sole        1      114,483
MACROVISION CORP                       EQUITY   555904101    2583     107,262 SH        sole        1      107,262
MAF BANCORP, INC.                      EQUITY   55261R108     654      15,171 SH        sole        1       15,171
MAGELLAN HEALTH SERVICES INC           EQUITY   559079207     536      14,665 SH        sole        1       14,665
Magellan Midstream Partner             EQUITY   559080106    2199      40,000 SH        sole        4       40,000
MAGMA DESIGN AUTOMATIO                 EQUITY   559181102     202      13,411 SH        sole        1       13,411
MAGNA ENTERTAINMENT CL A               EQUITY   559211107     112      20,528 SH        sole        1       20,528
MAGNATEK, INC.                         EQUITY   559424106      96      12,898 SH        sole        1       12,898
MAGNUM HUNTER RESOURCES INC            EQUITY   55972F203     546      47,273 SH        sole        1       47,273
MAGUIRE PROPERTIES INC                 EQUITY   559775101     567      23,323 SH        sole        1       23,323
MAIN STREET BANKS INC                  EQUITY   56034R102     226       7,400 SH        sole        1        7,400
MAINSOURCE FINANCIAL G                 EQUITY   56062Y102     104       5,072 SH        sole        1        5,072
MANDALAY RESORT GROUP                  EQUITY   562567107   11855     172,685 SH        sole        1      172,685
MANHATTAN ASSOCIATES, INC.             EQUITY   562750109     401      16,441 SH        sole        1       16,441
MANHATTAN ASSOCS INC                   EQUITY   562750109    3436     140,700 SH        defined     2                 140,700
MANITOWOC CO., INC.                    EQUITY   563571108     517      14,584 SH        sole        1       14,584
MANNATECH INC                          EQUITY   563771104     108       7,735 SH        sole        1        7,735





                                                                                              
MANNING (GREG) AUCTIONS INC            EQUITY   563823103      31       2,749 SH        sole        1        2,749
MANNKIND CORP                          EQUITY   56400P201     142       7,076 SH        sole        1        7,076
MANOR CARE INC NEW                     EQUITY   564055101       3         100 SH        defined     2                     100
MANOR CARE, INC.                       EQUITY   564055101    5076     169,430 SH        sole        1      169,430
MANPOWER, INC.                         EQUITY   56418H100    6609     148,550 SH        sole        1      148,550
MANTECH INTL CORP                      EQUITY   564563104     172       9,169 SH        sole        1        9,169
MANUFACTURED HOME COMMUNITIES          EQUITY   564682102     424      12,754 SH        sole        1       12,754
MANUGISTICS GROUP IN                   EQUITY   565011103      71      29,895 SH        sole        1       29,895
MANULIFE FINANCIAL                     EQUITY   56501R106    4339      99,000 SH        defined     1            0     99,000
MAPICS INC                             EQUITY   564910107     125      13,840 SH        sole        1       13,840
MAPINFO CORP COM                       EQUITY   565105103     119      11,005 SH        sole        1       11,005
MARATHON OIL CORP                      EQUITY   565849106    6371     154,332 SH        sole        1      154,332
MARATHON OIL CORP                      EQUITY   565849106   10774     260,994 SH        defined     2                 260,994
MARCHEX INC-CLASS B                    EQUITY   56624R108      28       2,238 SH        sole        1        2,238
MARCONI CORP PLC-SPONS ADR             EQUITY   56630M101     495      24,568 SH        sole        1       24,568
MARCUS CORP                            EQUITY   566330106     209      10,748 SH        sole        1       10,748
MARINEMAX INC                          EQUITY   567908108     143       6,339 SH        sole        1        6,339
MARKEL CORP                            EQUITY   570535104      56         181 SH        sole        1          181
MARKETWATCH INC                        EQUITY   570619106      71       5,680 SH        sole        1        5,680
MARLIN BUSINESS SERVICES INC           EQUITY   571157106      61       3,231 SH        sole        1        3,231
MARRIOTT INTERNATIONAL, INC.           EQUITY   571903202    5787     111,379 SH        sole        1      111,379
MARRIOTT INTL INC NEW                  EQUITY   571903202      14         261 SH        defined     2                     261
MARSH & MCLENNAN COMPANIES INC         EQUITY   571748102   15137     330,783 SH        sole        1      330,783
MARSH + MCLENNAN COS INC               EQUITY   571748102      27         593 SH        defined     2                     593
MARSHALL & ILSLEY CORP.                EQUITY   571834100    4005      99,373 SH        sole        1       99,373
MARSHALL + ILSLEY CORP                 EQUITY   571834100      10         254 SH        defined     2                     254
MARSHALL EDWARDS INC                   EQUITY   572322303      35       3,908 SH        sole        1        3,908
MARTEK BIOSCIENCES CORP                EQUITY   572901106     141       2,900 SH        defined     2                   2,900
MARTEK BIOSCIENCES CORP.               EQUITY   572901106      27         557 SH        sole        1          557
MARTEN TRANSPORT LTD                   EQUITY   573075108      87       4,981 SH        sole        1        4,981
MARTHA STEWART LIVING-CL A             EQUITY   573083102     100       6,346 SH        sole        1        6,346
MARTIN MARIETTA MATERIALS              EQUITY   573284106    3604      79,612 SH        sole        1       79,612
MARVEL ENTERPRISES INC                 EQUITY   57383M108      22       1,527 SH        sole        1        1,527
MARVEL ENTERPRISES INC                 EQUITY   57383M108     405      27,800 SH        defined     2                  27,800
MARVELL TECH GROUP LTD ORD             EQUITY   G5876H105       8     299,100 SH        sole        3      291,400             7,700
MARVELL TECHNOLOGY GROUP L             EQUITY   G5876H105    7829     299,600 SH        defined     2                 299,600
MARVELL TECHNOLOGY GROUP LTD           EQUITY   G5876H105     482      18,440 SH        sole        1       18,440
MASCO CORP                             EQUITY   574599106    4737     137,194 SH        defined     2                 137,194
MASCO CORP.                            EQUITY   574599106    7962     230,584 SH        sole        1      230,584
MASISA SA ADR EACH REP 30 C            EQUITY   574799102      77       6,000 SH        sole        1        6,000
MASSEY ENERGY COMPANY                  EQUITY   576206106      46       1,597 SH        sole        1        1,597
MASTEC, INC.                           EQUITY   576323109      67      12,789 SH        sole        1       12,789
MATRIA HEALTHCARE INC                  EQUITY   576817209     159       5,613 SH        sole        1        5,613
MATRIX SERVICE CO                      EQUITY   576853105      48       9,337 SH        sole        1        9,337
MATRIXONE INC                          EQUITY   57685P304     143      28,245 SH        sole        1       28,245
MATTEL INC                             EQUITY   577081102       9         472 SH        defined     2                     472
MATTEL, INC.                           EQUITY   577081102    3535     194,987 SH        sole        1      194,987
MATTHEWS INTERNATIONAL CORP. CLASS A   EQUITY   577128101     594      17,538 SH        sole        1       17,538
MATTSON TECHNOLOGY, INC.               EQUITY   577223100     167      21,734 SH        sole        1       21,734
MAUI LAND & PINEAPPLE CO               EQUITY   577345101      55       1,753 SH        sole        1        1,753
MAVERICK TUBE CORP.                    EQUITY   577914104     710      23,060 SH        sole        1       23,060
MAXIM INTEGRATED PRODS INC             EQUITY   57772K101    3483      82,370 SH        defined     2                  82,370
MAXIM INTEGRATED PRODUCTS INC.         EQUITY   57772K101    7457     176,340 SH        sole        1      176,340
MAXIM PHARMACEUTICALS INC.             EQUITY   57772M107      41      15,427 SH        sole        1       15,427
MAXIMUS, INC.                          EQUITY   577933104     293      10,164 SH        sole        1       10,164
MAXTOR CORP                            EQUITY   577729205      28       5,347 SH        sole        1        5,347





                                                                                              
MAXWELL TECHNOLOGIES, INC.             EQUITY   577767106      61       5,963 SH        sole        1        5,963
MAXYGEN                                EQUITY   577776107     121      12,266 SH        sole        1       12,266
MAY DEPARTMENT STORES CO.              EQUITY   577778103    3330     129,911 SH        sole        1      129,911
MAY DEPT STORES CO                     EQUITY   577778103       9         332 SH        defined     2                     332
MAYTAG CORP                            EQUITY   578592107       2          90 SH        defined     2                      90
MAYTAG CORP.                           EQUITY   578592107     952      51,838 SH        sole        1       51,838
MB FINANCIAL INC                       EQUITY   55264U108     416      10,500 SH        sole        1       10,500
MBIA INC                               EQUITY   55262C100       9         163 SH        defined     2                     163
MBIA, INC                              EQUITY   55262C100    4771      81,966 SH        sole        1       81,966
MBNA CORP                              EQUITY   55262L100      37       1,456 SH        defined     2                   1,456
MBNA CORP.                             EQUITY   55262L100   13912     552,066 SH        sole        1      552,066
MBT FINANCIAL CORP                     EQUITY   578877102     154       7,865 SH        sole        1        7,865
MCAFEE INC                             EQUITY   579064106    5182     257,824 SH        sole        1      257,824
MCCLATCHY COMPANY-CL                   EQUITY   579489105      29         409 SH        sole        1          409
MCCORMICK & CO., INC.                  EQUITY   579780206    2096      61,039 SH        sole        1       61,039
MCCORMICK + CO INC                     EQUITY   579780206   13773     401,089 SH        defined     2                 401,089
MCDATA CORP                            EQUITY   580031201                  57 SH        defined     2                      57
MCDATA CORP-CL A                       EQUITY   580031201    1295     257,397 SH        sole        1      257,397
MCDONALDS CORP                         EQUITY   580135101      40       1,432 SH        defined     2                   1,432
McDonalds Corp Com Stk USD0.01         EQUITY   580135101   70497   2,515,046 SH        sole        1    2,515,046
MCG CAPITAL CORP                       EQUITY   58047P107    2150     123,853 SH        sole        1      123,853
MCGRATH RENTCORP                       EQUITY   580589109     192       5,245 SH        sole        1        5,245
MCGRAW HILL COS INC                    EQUITY   580645109   11732     147,217 SH        defined     2                 147,217
MCGRAW-HILL, INC.                      EQUITY   580645109    6431      80,697 SH        sole        1       80,697
MCI INC                                EQUITY   552691107    2407     143,724 SH        sole        1      143,724
MCKESSON CORP                          EQUITY   58155Q103       9         335 SH        defined     2                     335
MCKESSON CORP.                         EQUITY   58155Q103    3450     134,489 SH        sole        1      134,489
MCMORAN EXPLORATION CO                 EQUITY   582411104      94       7,206 SH        sole        1        7,206
MDU RESOURCES GROUP, INC.              EQUITY   552690109    5106     193,925 SH        sole        1      193,925
MEADWESTVACO CORP                      EQUITY   583334107    4040     126,655 SH        sole        1      126,655
MEADWESTVACO CORP                      EQUITY   583334107       7         230 SH        defined     2                     230
MEASUREMENT SPECIALTIE COM             EQUITY   583421102       2      93,000 SH        sole        3       93,000
MEASUREMENT SPECIALTIES INC            EQUITY   583421102     145       5,818 SH        sole        1        5,818
MEDAREX INC                            EQUITY   583916101     318      43,097 SH        sole        1       43,097
MEDAREX INC                            EQUITY   583916101     627      85,000 SH        defined     2                  85,000
MEDCATH CORP                           EQUITY   58404W109      52       3,283 SH        sole        1        3,283
MEDCO HEALTH SOLUTIONS INC             EQUITY   58405U102    5112     165,438 SH        sole        1      165,438
MEDCO HEALTH SOLUTIONS INC             EQUITY   58405U102     718      23,226 SH        defined     2                  23,226
MEDIA GENERAL, INC. CLASS A            EQUITY   584404107    2193      39,193 SH        sole        1       39,193
MEDIACOM COMMUNICATI                   EQUITY   58446K105     235      35,923 SH        sole        1       35,923
MEDICAL ACTION IND INC                 EQUITY   58449L100      74       4,443 SH        sole        1        4,443
MEDICAL STAFFING NETWORK HOLDINGS      EQUITY   58463F104      41       6,604 SH        sole        1        6,604
MEDICINES CO                           EQUITY   584688105    5045     209,000 SH        defined     2                 209,000
MEDICINES CO COM                       EQUITY   584688105       4     183,100 SH        sole        3      179,800             3,300
MEDICINES COMPANY                      EQUITY   584688105     627      25,985 SH        sole        1       25,985
MEDICIS PHARMACEUTIC                   EQUITY   584690309      44       1,135 SH        sole        1        1,135
MEDICIS PHARMACEUTICAL CL A NE         EQUITY   584690309              11,800 SH        sole        3        5,200             6,600
MEDICURE                               EQUITY   58469E101     522     634,000 SH        defined     1            0    634,000
MEDIMMUNE INC                          EQUITY   584699102       7         284 SH        defined     2                     284
MEDIMMUNE, INC.                        EQUITY   584699102    3095     130,595 SH        sole        1      130,595
MEDIS TECHNOLOGIES LTD                 EQUITY   58500P107      80       7,083 SH        sole        1        7,083
MEDTRONIC INC                          EQUITY   585055106   17666     340,379 SH        defined     2                 340,379
MEDTRONIC, INC.                        EQUITY   585055106   28270     544,709 SH        sole        1      544,709
MELLON FINANCIAL CORPORATION           EQUITY   58551A108    4995     180,403 SH        sole        1      180,403
MELLON FINL CORP                       EQUITY   58551A108    7825     282,583 SH        defined     2                 282,583
MEMBERWORKS INCORPORATED               EQUITY   586002107      84       3,206 SH        sole        1        3,206





                                                                                             
MEMC ELECTR MATLS INC                  EQUITY   552715104    1827     215,400 SH        defined     2                 215,400
MEMC ELECTRONIC MATERIALS, INC         EQUITY   552715104      14       1,632 SH        sole        1        1,632
MENS WEARHOUSE, INC.                   EQUITY   587118100     500      17,210 SH        sole        1       17,210
MENTOR CORP.                           EQUITY   587188103     803      23,851 SH        sole        1       23,851
MENTOR GRAPHICS CORP.                  EQUITY   587200106    1700     155,058 SH        sole        1      155,058
MERCANTILE BANK CORP                   EQUITY   587376104     136       3,907 SH        sole        1        3,907
MERCANTILE BANKSHARES CORP.            EQUITY   587405101    6260     130,530 SH        sole        1      130,530
MERCK & CO., INC.                      EQUITY   589331107   34438   1,043,589 SH        sole        1    1,043,589
MERCK + CO INC                         EQUITY   589331107    8838     267,811 SH        defined     2                 267,811
MERCURY COMPUTER SYSTEMS INC           EQUITY   589378108     310      11,559 SH        sole        1       11,559
MERCURY GENERAL CORP                   EQUITY   589400100      28         526 SH        sole        1          526
MERCURY INTERACTIVE CORP               EQUITY   589405109       4         106 SH        defined     2                     106
MERCURY INTERACTIVE CORP.              EQUITY   589405109    1997      57,261 SH        sole        1       57,261
MEREDITH CORP                          EQUITY   589433101    1137      22,132 SH        sole        1       22,132
MEREDITH CORP                          EQUITY   589433101       3          57 SH        defined     2                      57
MERGE TECHNOLOGIES INC                 EQUITY   589981109     103       5,977 SH        sole        1        5,977
MERIDIAN GOLD                          EQUITY   589975101    3715     223,600 SH        defined     1            0    223,600
MERIDIAN RESOURCE CORP                 EQUITY   58977Q109     252      28,544 SH        sole        1       28,544
MERISTAR HOSPITALITY CORP              EQUITY   58984Y103    2691     493,695 SH        defined     2                 493,695
MERISTAR HOSPITALITY CORP.             EQUITY   58984Y103    3256     597,367 SH        sole        1      597,367
MERIT MED SYS INC                      EQUITY   589889104     193      12,770 SH        sole        1       12,770
MERITAGE HOMES CORPORATION             EQUITY   59001A102     453       5,765 SH        sole        1        5,765
MERIX CORPORATION                      EQUITY   590049102     102       9,810 SH        sole        1        9,810
MERRILL LYNCH & CO., INC.              EQUITY   590188108   20413     410,551 SH        sole        1      410,551
MERRILL LYNCH + CO INC                 EQUITY   590188108      53       1,071 SH        defined     2                   1,071
MESA AIRLINES, INC.                    EQUITY   590479101      88      17,272 SH        sole        1       17,272
METAL MANAGEMENT INC                   EQUITY   591097209     174       9,593 SH        sole        1        9,593
METALS USA INC                         EQUITY   591324207     195      10,991 SH        sole        1       10,991
METHODE ELECTRONICS, INC.              EQUITY   591520200     247      19,331 SH        sole        1       19,331
METLIFE INC                            EQUITY   59156R108      33         855 SH        defined     2                     855
METLIFE, INC.                          EQUITY   59156R108   12578     325,445 SH        sole        1      325,445
METRIS COMPANIES INC                   EQUITY   591598107     172      17,572 SH        sole        1       17,572
METROCALL HOLDINGS INC - W/I           EQUITY   59164X105     193       2,975 SH        sole        1        2,975
METRO-GOLDWYN-MAYER                    EQUITY   591610100      13       1,130 SH        sole        1        1,130
METROLOGIC INSTRUMENTS INC             EQUITY   591676101      91       5,720 SH        sole        1        5,720
METTLER-TOLEDO INTERNATIONAL           EQUITY   592688105      44         926 SH        sole        1          926
MFS Municipal Inc                      EQUITY   552738106     135      17,700 SH        sole        4       17,700
MGE ENERGY INC                         EQUITY   55277P104     323      10,141 SH        sole        1       10,141
MGI PHARMA INC                         EQUITY   552880106      40       1,511 SH        sole        1        1,511
MGI PHARMA INC                         EQUITY   552880106    4131      92,450 SH        defined     2                  92,450
MGIC INVESTMENT CORP.                  EQUITY   552848103    2928      43,991 SH        sole        1       43,991
MGIC INVT CORP WIS                     EQUITY   552848103       7         112 SH        defined     2                     112
MGM GRAND INC                          EQUITY   552953101    4208      84,752 SH        sole        1       84,752
MGP INGREDIENTS INC                    EQUITY   55302G103      43       4,306 SH        sole        1        4,306
MICHAELS STORES, INC.                  EQUITY   594087108    6663     112,531 SH        sole        1      112,531
MICREL, INC.                           EQUITY   594793101    1940     186,371 SH        sole        1      186,371
MICRO THERAPEUTICS INC                 EQUITY   59500W100      27       6,387 SH        sole        1        6,387
MICROCHIP TECHNOLOGY COM               EQUITY   595017104       4     145,600 SH        sole        3      139,500             6,100
MICROCHIP TECHNOLOGY, INC.             EQUITY   595017104    9450     352,101 SH        sole        1      352,101
MICROMUSE INC                          EQUITY   595094103     157      42,642 SH        sole        1       42,642
MICRON TECHNOLOGY INC                  EQUITY   595112103       8         697 SH        defined     2                     697
MICRON TECHNOLOGY, INC.                EQUITY   595112103    3273     272,065 SH        sole        1      272,065
MICROS SYSTEMS, INC.                   EQUITY   594901100     439       8,776 SH        sole        1        8,776
MICROSEMI CORP COM                     EQUITY   595137100      18   1,280,982 SH        sole        3    1,229,800            51,182
MICROSEMI CORP.                        EQUITY   595137100     457      32,386 SH        sole        1       32,386
Microsoft Corp                         EQUITY   594918104    2074      75,000 SH        sole        4       75,000





                                                                                             
MICROSOFT CORP                         EQUITY    594918104   54490   1,970,699 SH        defined    2               1,970,699
MICROSOFT CORP COM                     EQUITY    594918104       2      86,400 SH        sole       3       86,400
Microsoft Corp Com Stk                 EQUITY    594918104  240597   8,701,537 SH        sole       1    8,701,537
MICROSTRATEGY INC                      EQUITY    594972408     268       6,534 SH        sole       1        6,534
MICROSTRATEGY INC CL A NEW             EQUITY    594972408       4     102,400 SH        sole       3       97,400             5,000
MICROSTRATERGY INC-WT07                INFORMATI 594972119                 509 SH        sole       1            1
MICROTEK MEDICAL HOLDINGS IN           EQUITY    59515B109      75      23,401 SH        sole       1       23,401
MICROTUNE INC                          EQUITY    59514P109     148      28,009 SH        sole       1       28,009
MICROVISION INC.                       EQUITY    594960106      60      10,154 SH        sole       1       10,154
MID STATE BANCSHARES                   EQUITY    595440108     331      12,847 SH        sole       1       12,847
MID-AMERICA APT. COMMUNITIES           EQUITY    59522J103     468      12,017 SH        sole       1       12,017
MIDAS, INC.                            EQUITY    595626102     136       8,413 SH        sole       1        8,413
MIDDLEBY CORP                          EQUITY    596278101     128       2,432 SH        sole       1        2,432
MIDDLESEX WATER CO                     EQUITY    596680108     110       6,163 SH        sole       1        6,163
MIDLAND CO COM                         EQUITY    597486109     135       4,943 SH        sole       1        4,943
MIDWAY GAMES INC.                      EQUITY    598148104     249      25,136 SH        sole       1       25,136
MIDWEST BANC HOLDINGS INC.             EQUITY    598251106     113       5,871 SH        sole       1        5,871
MILACRON, INC.                         EQUITY    598709103      47      14,986 SH        sole       1       14,986
MILLENNIUM CHEMICALS INC.              EQUITY    599903101     751      35,396 SH        sole       1       35,396
MILLENNIUM PHARMACEUTICALS             EQUITY    599902103    4888     356,500 SH        defined    2                 356,500
MILLENNIUM PHARMACEUTICALS, IN         EQUITY    599902103    7566     553,456 SH        sole       1      553,456
MILLIPORE CORP                         EQUITY    601073109       3          57 SH        defined    2                      57
MILLIPORE CORP.                        EQUITY    601073109    1062      22,195 SH        sole       1       22,195
MILLS CORP.                            EQUITY    601148109    4979      95,986 SH        sole       1       95,986
MINAS BUENAVENTURA-SPON ADR            EQUITY    204448104    1020      42,960 SH        sole       1       42,960
MINDSPEED TECHNOLOGIES INC             EQUITY    602682106     108      54,196 SH        sole       1       54,196
MINE SAFETY APPLIANCES CO.             EQUITY    602720104     478      11,749 SH        sole       1       11,749
MINE SAFETY APPLIANCES COM             EQUITY    602720104      17     425,170 SH        sole       3      409,100            16,070
MINERALS TECHNOLOGIES, INC.            EQUITY    603158106    2636      44,788 SH        sole       1       44,788
MIPS TECHNOLOGIES INC                  EQUITY    604567107     127      22,317 SH        sole       1       22,317
MISSION RESOURCES CORP                 EQUITY    605109107     139      22,109 SH        sole       1       22,109
MISSION WEST PROPERTIES                EQUITY    605203108     121      11,723 SH        sole       1       11,723
MKS INSTRUMENTS, INC.                  EQUITY    55306N104     271      17,666 SH        sole       1       17,666
MOBILE MINI INC.                       EQUITY    60740F105     194       7,819 SH        sole       1        7,819
Mobile Telesystems - Sponsored ADR     EQUITY    607409109   15787     108,885 SH        sole       1      108,885
MOBILITY ELECTRONICS INC               EQUITY    60741U101     111      13,461 SH        sole       1       13,461
MODINE MANUFACTURING CO.               EQUITY    607828100    2082      69,138 SH        sole       1       69,138
MOHAWK INDUSTRIES, INC.                EQUITY    608190104    8715     109,778 SH        sole       1      109,778
MOLECULAR DEVICES CORP COM             EQUITY    60851C107       2      93,700 SH        sole       3       93,700
MOLECULAR DEVICES CORP.                EQUITY    60851C107     162       6,864 SH        sole       1        6,864
MOLEX INC                              EQUITY    608554101       6         216 SH        defined    2                     216
MOLEX, INC.                            EQUITY    608554101    2835      95,073 SH        sole       1       95,073
MOLINA HEALTHCARE INC                  EQUITY    60855R100     201       5,648 SH        sole       1        5,648
MOMENTA PHARMACEUTICALS INC            EQUITY    60877T100      28       3,347 SH        sole       1        3,347
MONACO COACH CORP                      EQUITY    60886R103     308      14,222 SH        sole       1       14,222
MONDAVI, ROBERT CORP. CLASS A          EQUITY    609200100     209       5,325 SH        sole       1        5,325
MONEYGRAM INTERNATIONAL                EQUITY    60935Y109    2496     146,137 SH        sole       1      146,137
MONMOUTH REIT -CL A                    EQUITY    609720107      16       1,870 SH        sole       1        1,870
MONOLITHIC SYS TECHNOL                 EQUITY    609842109      55      12,720 SH        sole       1       12,720
MONRO MUFFLER BRAKE IN                 EQUITY    610236101     112       5,112 SH        sole       1        5,112
MONSANTO CO                            EQUITY    61166W101    4333     118,975 SH        sole       1      118,975
MONSANTO CO NEW                        EQUITY    61166W101      11         304 SH        defined    2                     304
MONSTER WORLDWIDE INC                  EQUITY    611742107    1289      52,318 SH        sole       1       52,318
MONSTER WORLDWIDE INC                  EQUITY    611742107    4485     182,004 SH        defined    2                 182,004
MONSTER WORLDWIDE INC COM              EQUITY    611742107       6     246,900 SH        sole       3      242,600             4,300
MOODYS CORP                            EQUITY    615369105      12         169 SH        defined    2                     169





                                                                                              
MOODY'S CORP.                          EQUITY   615369105    4799      65,516 SH        sole        1       65,516
MOOG INC.                              EQUITY   615394202     515      14,178 SH        sole        1       14,178
MORGAN STANLEY                         EQUITY   617446448   24660     500,202 SH        sole        1      500,202
MORGAN STANLEY                         EQUITY   617446448   19557     396,697 SH        defined     2                 396,697
MORGAN STANLEY DEAN WITTER & C REPO    EQUITY   568427108      85       4,712 SH        sole        1        4,712
MORTGAGEIT HOLDINGS INC                EQUITY   61915Q108     115       7,953 SH        sole        1        7,953
MOTIVE INC                             EQUITY   61980V107      32       2,873 SH        sole        1        2,873
MOTOROLA INC                           EQUITY   620076109   16285     902,693 SH        defined     2                 902,693
MOTOROLA, INC.                         EQUITY   620076109   22391   1,241,183 SH        sole        1    1,241,183
MOVADO GROUP, INC.                     EQUITY   624580106     141       8,273 SH        sole        1        8,273
MOVIE GALLERY, INC.                    EQUITY   624581104     254      14,491 SH        sole        1       14,491
MPS GROUP INC                          EQUITY   553409103    1925     228,858 SH        sole        1      228,858
MPS GROUP INC COM                      EQUITY   553409103       4     512,290 SH        sole        3      505,190             7,100
MRO SOFTWARE                           EQUITY   55347W105     107      10,653 SH        sole        1       10,653
MRV COMMUNICATIONS, INC.               EQUITY   553477100     144      57,528 SH        sole        1       57,528
MSC INDUSTRIAL DIRECT CO.              EQUITY   553530106      24         693 SH        sole        1          693
MSC SOFTWARE CORPORATION               EQUITY   553531104     120      14,908 SH        sole        1       14,908
MTC TECHNOLOGIES INC                   EQUITY   55377A106     109       3,943 SH        sole        1        3,943
MTR GAMING GROUP INC                   EQUITY   553769100     118      12,640 SH        sole        1       12,640
MTS SYSTEMS CORP.                      EQUITY   553777103     245      11,536 SH        sole        1       11,536
MUELLER INDUSTRIES, INC.               EQUITY   624756102     818      19,055 SH        sole        1       19,055
MULTI-FINELINE ELECTRONIX IN           EQUITY   62541B101      30       3,219 SH        sole        1        3,219
MULTIMEDIA GAMES INC                   EQUITY   625453105     200      12,886 SH        sole        1       12,886
Municipal High Income Fund             EQUITY   626214100     727      98,900 SH        sole        4       98,900
MURPHY OIL CORP.                       EQUITY   626717102   13144     151,484 SH        sole        1      151,484
MYERS INDUSTRIES, INC.                 EQUITY   628464109     146      13,291 SH        sole        1       13,291
MYKROLIS CORP                          EQUITY   62852P103     226      22,476 SH        sole        1       22,476
MYLAN LABORATORIES INC.                EQUITY   628530107    2152     119,565 SH        sole        1      119,565
MYLAN LABS INC                         EQUITY   628530107       6         306 SH        defined     2                     306
MYOGEN INC                             EQUITY   62856E104      62       7,604 SH        sole        1        7,604
MYRIAD GENETICS INC                    EQUITY   62855J104     253      14,797 SH        sole        1       14,797
NABI BIOPHARMACEUTICALS                EQUITY   629519109     420      31,359 SH        sole        1       31,359
NABORS INDUSTRIES LTD                  EQUITY   G6359F103    2994      63,240 SH        sole        1       63,240
NABORS INDUSTRIES LTD                  EQUITY   G6359F103      59       1,245 SH        defined     2                   1,245
NACCO INDUSTRIES, INC. CLASS A         EQUITY   629579103     220       2,555 SH        sole        1        2,555
NANOGEN INC.                           EQUITY   630075109      71      18,537 SH        sole        1       18,537
NARA BANCORP INC                       EQUITY   63080P105     202      10,010 SH        sole        1       10,010
NASB FINL INC                          EQUITY   628968109      66       1,678 SH        sole        1        1,678
NASDAQ-100 SHARES                      EQUITY   631100104    9621     273,800 SH        sole        1      273,800
NASHFINCH CO.                          EQUITY   631158102     211       6,702 SH        sole        1        6,702
NATIONAL BEVERAGE CORP.                EQUITY   635017106      32       3,926 SH        sole        1        3,926
NATIONAL CITY CORP                     EQUITY   635405103      29         755 SH        defined     2                     755
NATIONAL CITY CORP.                    EQUITY   635405103   11332     293,415 SH        sole        1      293,415
NATIONAL COMMERCE BANCORP.             EQUITY   63545P104       3          74 SH        sole        1           74
NATIONAL DATA CORP.                    EQUITY   639480102     315      19,619 SH        sole        1       19,619
NATIONAL FINANCIAL PARTNERS            EQUITY   63607P208     651      18,183 SH        sole        1       18,183
NATIONAL FUEL GAS CO.                  EQUITY   636180101    9325     329,165 SH        sole        1      329,165
NATIONAL HEALTH INVESTORS, INC         EQUITY   63633D104     354      12,442 SH        sole        1       12,442
NATIONAL HEALTH REALTY                 EQUITY   635905102      21       1,100 SH        sole        1        1,100
NATIONAL HEALTHCARE CORP               EQUITY   635906100     104       3,657 SH        sole        1        3,657
NATIONAL INSTRUMENTS CORP.             EQUITY   636518102    3922     129,552 SH        sole        1      129,552
NATIONAL PENN BANCSHARES, INC.         EQUITY   637138108     480      15,011 SH        sole        1       15,011
NATIONAL PRESTO INDUSTRIES             EQUITY   637215104     107       2,561 SH        sole        1        2,561
NATIONAL PROCESSING INC                EQUITY   637229105    1945      73,353 SH        sole        1       73,353
NATIONAL SEMICONDUCTOR COR             EQUITY   637640103    2224     143,608 SH        defined     2                 143,608
NATIONAL SEMICONDUCTOR CORP.           EQUITY   637640103    3252     209,930 SH        sole        1      209,930





                                                                                              
NATIONAL WESTERN LIFE INS. CO. CLASS   EQUITY   638522102     195       1,194 SH        sole        1        1,194
NATIONAL-OILWELL, INC.                 EQUITY   637071101    4811     137,202 SH        sole        1      137,202
NATIONWIDE FINANCIAL                   EQUITY   638612101      42       1,189 SH        sole        1        1,189
NATIONWIDE HEALTH PROPERTIES           EQUITY   638620104     908      43,767 SH        sole        1       43,767
NATURES SUNSHINE PRODUCTS, INC         EQUITY   639027101      86       5,644 SH        sole        1        5,644
NAUTILUS GROUP INC                     EQUITY   63910B102     352      15,592 SH        sole        1       15,592
NAVARRE CORP                           EQUITY   639208107     165      11,396 SH        sole        1       11,396
NAVIGANT CONSULTING CO.                EQUITY   63935N107     549      25,007 SH        sole        1       25,007
NAVIGANT INTERNATIONAL, INC.           EQUITY   63935R108     125       7,662 SH        sole        1        7,662
NAVIGATORS GROUP INC                   EQUITY   638904102     136       4,668 SH        sole        1        4,668
NAVISTAR INTERNATIONAL CORP.           EQUITY   63934E108    1841      49,493 SH        sole        1       49,493
NAVISTAR INTL CORP INC                 EQUITY   63934E108       3          80 SH        defined     2                      80
NAVTEQ CORP                            EQUITY   63936L100      30         835 SH        sole        1          835
NBC CAPITAL CORP                       EQUITY   628729105      97       3,768 SH        sole        1        3,768
NBT BANCORP, INC.                      EQUITY   628778102     420      17,924 SH        sole        1       17,924
NBTY, INC.                             EQUITY   628782104      25       1,170 SH        sole        1        1,170
NCI BUILDING SYSTEMS, INC.             EQUITY   628852105     338      10,607 SH        sole        1       10,607
NCO GROUP, INC.                        EQUITY   628858102     397      14,728 SH        sole        1       14,728
NCR CORP NEW                           EQUITY   62886E108       5         107 SH        defined     2                     107
NCR CORP.                              EQUITY   62886E108    2088      42,106 SH        sole        1       42,106
NDS Group Plc - ADR                    EQUITY   628891103    2924     108,300 SH        sole        1      108,300
NECTAR THERAPEUTICS                    EQUITY   640268108      26       1,792 SH        sole        1        1,792
NEIGHBORCARE INC                       EQUITY   64015Y104     519      20,462 SH        sole        1       20,462
NEIMAN MARCUS GROUP INC CL A           EQUITY   640204202    4669      81,199 SH        sole        1       81,199
NELNET INC                             EQUITY   64031N108    5100     227,900 SH        defined     2                 227,900
NELNET INC-CL A                        EQUITY   64031N108      99       4,414 SH        sole        1        4,414
NEOFORMA INC                           EQUITY   640475505      47       5,021 SH        sole        1        5,021
NEOPHARM INC                           EQUITY   640919106      80       9,373 SH        sole        1        9,373
NEOSE TECHNOLOGIES, INC.               EQUITY   640522108      84      11,255 SH        sole        1       11,255
NET2PHONE, INC.                        EQUITY   64108N106      63      19,432 SH        sole        1       19,432
NETBANK INC                            EQUITY   640933107     253      25,243 SH        sole        1       25,243
NETEGRITY, INC.                        EQUITY   64110P107     134      17,885 SH        sole        1       17,885
NETFLIX.COM INC                        EQUITY   64110L106      12         749 SH        sole        1          749
NETGEAR INC                            EQUITY   64111Q104    2745     224,607 SH        sole        1      224,607
NETIQ CORP.                            EQUITY   64115P102     333      31,075 SH        sole        1       31,075
NETRATINGS INC                         EQUITY   64116M108     119       6,691 SH        sole        1        6,691
NETSCOUT SYSTEMS INC                   EQUITY   64115T104      69      12,930 SH        sole        1       12,930
NETWORK APPLIANCE INC                  EQUITY   64120L104       9         408 SH        defined     2                     408
NETWORK APPLIANCE, INC.                EQUITY   64120L104    4384     190,215 SH        sole        1      190,215
Network Associates Inc                 EQUITY   640938106     503      25,000 SH        sole        4       25,000
NETWORK EQUIPMENT TECH.                EQUITY   641208103      86      13,065 SH        sole        1       13,065
NEUROCRINE BIOSCIENCES COM             EQUITY   64125C109       8     167,322 SH        sole        3      160,700             6,622
NEUROCRINE BIOSCIENCES INC             EQUITY   64125C109    2410      51,100 SH        defined     2                  51,100
NEUROCRINE BIOSCIENCES, INC.           EQUITY   64125C109      37         780 SH        sole        1          780
NEUROGEN CORP.                         EQUITY   64124E106      88      13,608 SH        sole        1       13,608
NEVADA GOLD & CASINO                   EQUITY   64126Q206      53       4,432 SH        sole        1        4,432
NEW CENTURY FINANCIAL CORP             COM    z 64352D101     932      15,472 SH        sole        1       15,472
NEW JERSEY RESOURCES CORP.             EQUITY   646025106     621      15,011 SH        sole        1       15,011
NEW PLAN EXCEL REALTY TRUST            EQUITY   648053106   18907     756,271 SH        sole        1      756,271
NEW YORK COMMUNITY BANCORP INC         EQUITY   649445103   25234   1,228,516 SH        sole        1    1,228,516
NEW YORK TIMES CO                      EQUITY   650111107       7         167 SH        defined     2                     167
NEW YORK TIMES CO. CLASS  A            EQUITY   650111107    2558      65,428 SH        sole        1       65,428
NEWALLIANCE BANCSHARES INC             EQUITY   650203102      28       1,925 SH        sole        1        1,925
NEWCASTLE INVESTMENT CORP              EQUITY   65105M108     568      18,505 SH        sole        1       18,505
NEWELL RUBBERMAID INC                  EQUITY   651229106       6         313 SH        defined     2                     313
NEWELL RUBBERMAID, INC.                EQUITY   651229106   18234     909,899 SH        sole        1      909,899





                                                                                             
NEWFIELD EXPLORATION                   EQUITY   651290108    6303     102,919 SH        sole        1      102,919
NEWMARKET CORP                         EQUITY   651587107     156       7,478 SH        sole        1        7,478
NEWMONT MINING CORP HLDG CO            EQUITY   651639106    8699     191,055 SH        sole        1      191,055
NEWMONT MNG CORP                       EQUITY   651639106      23         505 SH        defined     2                     505
NEWPARK RESOURCES, INC.                EQUITY   651718504     274      45,654 SH        sole        1       45,654
NEWPORT CORP                           EQUITY   651824104    1065      92,846 SH        sole        1       92,846
NEWS CORP LTD                          EQUITY   652487703     342      10,400 SH        defined     2                  10,400
NEWS CORP LTD                          EQUITY   652487802     430      13,731 SH        defined     2                  13,731
NEWS CORP LTD ADR                      EQUITY   652487802                   2 SH        sole        1            2
NEWTEK BUSINESS SERVICES INC           EQUITY   652526104    3090     792,333 SH        sole        1      792,333
NEXEN                                  EQUITY   65334H102    7538     180,600 SH        defined     1            0    180,600
NEXSTAR BROADCASTING GROUP-A           EQUITY   65336K103      47       5,485 SH        sole        1        5,485
NEXTEL COMMUNICATIONS INC              EQUITY   65332V103   19879     833,869 SH        defined     2                 833,869
NEXTEL COMMUNICATIONS, INC.  CLASS A   EQUITY   65332V103   16266     682,284 SH        sole        1      682,284
NEXTEL PARTNERS INC                    EQUITY   65333F107     873      52,630 SH        sole        1       52,630
NIC INC                                EQUITY   62914B100      91      16,962 SH        sole        1       16,962
NICOR INC                              EQUITY   654086107       2          50 SH        defined     2                      50
NICOR, INC.                            EQUITY   654086107    1569      42,753 SH        sole        1       42,753
NII HLDGS INC                          EQUITY   62913F201    3095      75,100 SH        defined     2                  75,100
NII HOLDINGS INC-CL B                  EQUITY   62913F201      50       1,222 SH        sole        1        1,222
NIKE INC                               EQUITY   654106103   13912     176,550 SH        defined     2                 176,550
NIKE, INC. CLASS  B                    EQUITY   654106103   11514     146,120 SH        sole        1      146,120
NISOURCE INC                           EQUITY   65473P105       6         300 SH        defined     2                     300
NISOURCE, INC.                         EQUITY   65473P105    5268     250,748 SH        sole        1      250,748
NITROMED INC                           EQUITY   654798503     128       5,366 SH        sole        1        5,366
NL INDUSTRIES, INC.                    EQUITY   629156407      79       4,294 SH        sole        1        4,294
NMS COMMUNUCATIONS CORP.               EQUITY   629248105     124      25,332 SH        sole        1       25,332
NN INC                                 EQUITY   629337106     104       9,105 SH        sole        1        9,105
NOBLE CORPORATION                      EQUITY   G65422100    2563      57,013 SH        sole        1       57,013
NOBLE CORPORATION                      EQUITY   G65422100       7         153 SH        defined     2                     153
NOBLE CORPORATION SHS                  EQUITY   G65422100      10     213,500 SH        sole        3      207,700             5,800
NOBLE ENERGYINC                        EQUITY   655044105    5615      96,404 SH        sole        1       96,404
NOBLE INTERNATIONAL LTD                EQUITY   655053106      63       3,458 SH        sole        1        3,458
NOKIA CORP SPON-ADR                    EQUITY   654902204     267      19,470 SH        sole        1       19,470
NORDSON CORP                           EQUITY   655663102    4909     143,000 SH        defined     2                 143,000
NORDSON CORP.                          EQUITY   655663102    2494      72,653 SH        sole        1       72,653
NORDSTROM INC                          EQUITY   655664100       6         160 SH        defined     2                     160
NORDSTROM, INC.                        EQUITY   655664100    2368      61,926 SH        sole        1       61,926
NORFOLK SOUTHERN CORP.                 EQUITY   655844108   12178     409,486 SH        sole        1      409,486
NORFOLK SOUTHN CORP                    EQUITY   655844108      13         449 SH        defined     2                     449
NORTEL NETWORKS CORP                   EQUITY   656568102    4913   1,450,900 SH        defined     1            0  1,450,900
NORTEL NETWORKS CORP                   EQUITY   656568102       9       2,545 SH        defined     2                   2,545
NORTH FORK BANCORPORATION              EQUITY   659424105       9         197 SH        defined     2                     197
NORTH FORK BANCORPORATION INC.         EQUITY   659424105    8954      70,661 SH        sole        1       70,661
NORTH PITTSBURGH SYSTEMS               EQUITY   661562108     169       8,175 SH        sole        1        8,175
NORTHEAST UTILITIES                    EQUITY   664397106    4104     211,676 SH        sole        1      211,676
NORTHERN TRUST CORP                    EQUITY   665859104      10         251 SH        defined     2                     251
NORTHERN TRUST CORP.                   EQUITY   665859104    5172     126,763 SH        sole        1      126,763
NORTHFIELD LABORATORIES, INC.          EQUITY   666135108     139      10,363 SH        sole        1       10,363
NORTHROP GRUMMAN CORP                  EQUITY   666807102      22         409 SH        defined     2                     409
NORTHROP GRUMMAN CORP.                 EQUITY   666807102    8138     152,599 SH        sole        1      152,599
NORTHWEST AIRLINES CORP CL-A           EQUITY   667280101     334      40,731 SH        sole        1       40,731
NORTHWEST BANCORP INC.                 EQUITY   667328108     233      10,266 SH        sole        1       10,266
NORTHWEST NATURAL GAS CO.              EQUITY   667655104     472      14,873 SH        sole        1       14,873
NOVA CHECMICALS                        EQUITY   66977W109    3850      99,800 SH        defined     1            0     99,800
NOVA CHEMICALS CORP COM                EQUITY   66977W109      18     470,004 SH        sole        3      452,700            17,304





                                                                                             
NOVASTAR FINL INC                      EQUITY   669947400     594      13,616 SH        sole        1       13,616
NOVATEL WIRELESS INC                   EQUITY   66987M604     236      10,043 SH        sole        1       10,043
NOVATEL WIRELESS INC                   EQUITY   66987M604     345      14,700 SH        defined     2                  14,700
NOVATEL WIRELESS INC COM NEW           EQUITY   66987M604      11     487,480 SH        sole        3      474,900            12,580
NOVELL INC                             EQUITY   670006105       3         441 SH        defined     2                     441
NOVELL, INC .                          EQUITY   670006105    1087     172,278 SH        sole        1      172,278
NOVELLUS SYS INC                       EQUITY   670008101       4         163 SH        defined     2                     163
NOVELLUS SYSTEMS, INC.                 EQUITY   670008101    1982      74,416 SH        sole        1       74,416
NOVEN PHARMACEUTICALS, INC.            EQUITY   670009109     265      12,739 SH        sole        1       12,739
NPS PHARMACEUTICALS INC.               EQUITY   62936P103     442      20,284 SH        sole        1       20,284
NRG ENERGY INC                         EQUITY   629377508    3880     144,009 SH        sole        1      144,009
NS GROUP, INC.                         EQUITY   628916108     185       9,980 SH        sole        1        9,980
NSTAR                                  EQUITY   67019E107   10899     221,966 SH        sole        1      221,966
NTL INC                                EQUITY   62940M104      88       1,421 SH        sole        1        1,421
NTN COMMUNICATIONS INC                 EQUITY   629410309     119      45,639 SH        sole        1       45,639
NU SKIN ENTERPRISES, INC. CLASS A      EQUITY   67018T105     673      28,623 SH        sole        1       28,623
NUCO2 INC                              EQUITY   629428103      67       3,430 SH        sole        1        3,430
NUCOR CORP                             EQUITY   670346105       8          90 SH        defined     2                      90
NUCOR CORP.                            EQUITY   670346105    3512      38,440 SH        sole        1       38,440
NUI CORPORATION                        EQUITY   629431107     116       8,699 SH        sole        1        8,699
NUTRACEUTICAL INTL CORP                EQUITY   67060Y101      60       4,290 SH        sole        1        4,290
NUVASIVE INC                           EQUITY   670704105      37       3,535 SH        sole        1        3,535
NUVEEN INVESTMENTS INC                 EQUITY   67090F106      12         399 SH        sole        1          399
NUVELO INC                             EQUITY   67072M301     208      21,043 SH        sole        1       21,043
NVIDIA CORP                            EQUITY   67066G104    1267      87,261 SH        sole        1       87,261
NVIDIA CORP                            EQUITY   67066G104       3         190 SH        defined     2                     190
NVR, INC.                              EQUITY   62944T105      61         111 SH        sole        1          111
NYMAGIC, INC.                          EQUITY   629484106      39       1,797 SH        sole        1        1,797
OAK HILL FINANCIAL INC                 EQUITY   671337103      66       1,908 SH        sole        1        1,908
OAKLEY INC.                            EQUITY   673662102     134      11,270 SH        sole        1       11,270
OCA INC                                EQUITY   67083Q101     109      23,008 SH        sole        1       23,008
OCCIDENTAL PETE CORP                   EQUITY   674599105      25         446 SH        defined     2                     446
OCCIDENTAL PETROLEUM CORP.             EQUITY   674599105    9318     166,596 SH        sole        1      166,596
OCEANEERING INTERNATIONAL, INC         EQUITY   675232102     501      13,591 SH        sole        1       13,591
OCEANEERING INTL INC                   EQUITY   675232102    1945      52,800 SH        defined     2                  52,800
OCEANFIRST FINANCIAL CORP              EQUITY   675234108     124       5,095 SH        sole        1        5,095
O'CHARLEY'S INC.                       EQUITY   670823103     188      11,557 SH        sole        1       11,557
OCTEL CORP.                            EQUITY   675727101     144       6,778 SH        sole        1        6,778
OCULAR SCIENCES INC COM                EQUITY   675744106               4,900 SH        sole        3        3,000             1,900
OCULAR SCIENCES, INC.                  EQUITY   675744106    2485      51,802 SH        sole        1       51,802
OCWEN FINANCIAL CORP.                  EQUITY   675746101     184      20,140 SH        sole        1       20,140
ODYSSEY HEALTHCARE INC                 EQUITY   67611V101     354      19,941 SH        sole        1       19,941
ODYSSEY RE HLDGS CORP                  EQUITY   67612W108       6         248 SH        sole        1          248
OFFICE DEPOT INC                       EQUITY   676220106       5         357 SH        defined     2                     357
OFFICE DEPOT, INC.                     EQUITY   676220106    2099     139,671 SH        sole        1      139,671
OFFSHORE LOGISTICS, INC.               EQUITY   676255102     379      11,000 SH        sole        1       11,000
OGE ENERGY CORP.                       EQUITY   670837103   11894     471,438 SH        sole        1      471,438
OHIO CASUALTY CORP.                    EQUITY   677240103    2794     133,515 SH        sole        1      133,515
OIL STATES INTERNATIONAL INC           EQUITY   678026105     296      15,828 SH        sole        1       15,828
OLD DOMINION FGHT LINE COM             EQUITY   679580100       5     164,125 SH        sole        3      155,525             8,600
OLD DOMINION FREIGHT LINE              EQUITY   679580100     259       8,976 SH        sole        1        8,976
OLD NATL BANCORP                       EQUITY   680033107     898      36,152 SH        sole        1       36,152
OLD REPUBLIC INTL CORP.                EQUITY   680223104    7520     300,445 SH        sole        1      300,445
OLD SECOND BANCORP INC                 EQUITY   680277100     204       7,306 SH        sole        1        7,306
OLIN CORP.                             EQUITY   680665205    3033     151,651 SH        sole        1      151,651
OM GROUP INC                           EQUITY   670872100     565      15,448 SH        sole        1       15,448





                                                                                              
OMEGA FINANCIAL CORP.                  EQUITY   682092101     144       4,166 SH        sole        1        4,166
OMEGA HEALTHCARE INVESTORS             EQUITY   681936100     328      30,517 SH        sole        1       30,517
OMEGA PROTEIN CORP                     EQUITY   68210P107      25       3,246 SH        sole        1        3,246
OMNICARE, INC.                         EQUITY   681904108    4869     171,701 SH        sole        1      171,701
OMNICELL INC                           EQUITY   68213N109     157      11,856 SH        sole        1       11,856
OMNICOM GROUP                          EQUITY   681919106    6321      86,513 SH        defined     2                  86,513
OMNICOM GROUP, INC.                    EQUITY   681919106    5811      79,543 SH        sole        1       79,543
OMNIVISION TECHNOLOGIE                 EQUITY   682128103     429      30,303 SH        sole        1       30,303
OMNOVA SOLUTIONS                       EQUITY   682129101     132      21,892 SH        sole        1       21,892
ON SEMICONDUCTOR CORPORATION           EQUITY   682189105     205      65,553 SH        sole        1       65,553
ONE LIBERTY PROPERTIES INC             EQUITY   682406103      20       1,110 SH        sole        1        1,110
ONEOK, INC.                            EQUITY   682680103    4849     186,354 SH        sole        1      186,354
ONYX PHARMACEUTICALS COM               EQUITY   683399109       8     190,428 SH        sole        3      186,500             3,928
ONYX PHARMACEUTICALS INC               EQUITY   683399109     812      18,883 SH        sole        1       18,883
ONYX PHARMACEUTICALS INC               EQUITY   683399109    2581      60,000 SH        defined     2                  60,000
OPEN SOLLUTIONS INC                    EQUITY   68371P102     179       7,161 SH        sole        1        7,161
OPEN TEXT CORP                         EQUITY   683715106    3954     230,400 SH        defined     1            0    230,400
OPENWAVE SYS INC                       EQUITY   683718308     282      32,000 SH        defined     2                  32,000
OPENWAVE SYSTEMS INC.                  EQUITY   683718308     309      35,022 SH        sole        1       35,022
OPLINK COMMUNICATIONS INC              EQUITY   68375Q106     104      58,239 SH        sole        1       58,239
OPNET TECHNOLOGIES                     EQUITY   683757108      66       6,417 SH        sole        1        6,417
OPSWARE INC                            EQUITY   68383A101     157      27,946 SH        sole        1       27,946
OPTICAL COMMUNICATION PROD             EQUITY   68382T101      21      10,004 SH        sole        1       10,004
OPTION CARE INC                        EQUITY   683948103     111       7,204 SH        sole        1        7,204
ORACLE CORP                            EQUITY   68389X105    7810     692,394 SH        defined     2                 692,394
ORACLE CORP.                           EQUITY   68389X105   45387   4,023,649 SH        sole        1    4,023,649
ORASURE TECHNOLOGIES INC               EQUITY   68554V108     136      21,629 SH        sole        1       21,629
ORBITAL SCIENCES CORP.                 EQUITY   685564106     497      43,492 SH        sole        1       43,492
ORBITZ INC                             EQUITY   68556Y100    2782     102,275 SH        sole        1      102,275
ORBITZ INC                             EQUITY   68556Y100    1782      65,500 SH        defined     2                  65,500
OREGON STEEL MILLS, INC.               EQUITY   686079104     240      14,460 SH        sole        1       14,460
O'REILLY AUTOMOTIVE, INC.              EQUITY   686091109    3476      90,781 SH        sole        1       90,781
ORIENTAL FINANCIAL GROUP               EQUITY   68618W100     250       9,232 SH        sole        1        9,232
ORIGEN FINANCIAL INC                   EQUITY   68619E208      33       4,486 SH        sole        1        4,486
ORLEANS HOMEBUILDERS INC               EQUITY   686588104      30       1,326 SH        sole        1        1,326
ORTHOLOGIC CORP                        EQUITY   68750J107     132      18,810 SH        sole        1       18,810
ORTHOVITA INC                          EQUITY   68750U102     113      25,311 SH        sole        1       25,311
OSCIENT PHARMACEUTICALS CORP           EQUITY   68812R105     117      33,068 SH        sole        1       33,068
OSHKOSH B'GOSH, INC. CLASS A           EQUITY   688222207      73       3,629 SH        sole        1        3,629
OSHKOSH TRUCK CORP CL B                EQUITY   688239201      40         695 SH        sole        1          695
OSI PHARMACEUTICALS                    EQUITY   671040103      56         916 SH        sole        1          916
OSI PHARMACEUTICALS INC                EQUITY   671040103     615      10,000 SH        defined     2                  10,000
OSI SYSTEMS INC                        EQUITY   671044105     115       7,167 SH        sole        1        7,167
OTTER TAIL POWER CO.                   EQUITY   689648103     359      14,097 SH        sole        1       14,097
OUTBACK STEAKHOUSE INC.                EQUITY   689899102    5039     121,337 SH        sole        1      121,337
OVERLAND STORAGE INC                   EQUITY   690310107     104       7,447 SH        sole        1        7,447
OVERNITE CORP                          EQUITY   690322102     479      15,256 SH        sole        1       15,256
OVERNITE CORP COM                      EQUITY   690322102       7     229,260 SH        sole        3      221,200             8,060
OVERSEAS SHIPHOLDING GROUP             EQUITY   690368105    3914      78,856 SH        sole        1       78,856
OVERSTOCK.COM                          EQUITY   690370101     218       5,927 SH        sole        1        5,927
OWENS & MINOR, INC.                    EQUITY   690732102     543      21,391 SH        sole        1       21,391
OWENS-ILLINOIS, INC.                   EQUITY   690768403      37       2,339 SH        sole        1        2,339
OXFORD INDS INC.                       EQUITY   691497309     269       7,225 SH        sole        1        7,225
P A M TRANSN SVCS INC                  EQUITY   693149106      67       3,477 SH        sole        1        3,477
P G & E CORP.                          EQUITY   69331C108    5497     180,823 SH        sole        1      180,823
P. F. CHANGS CHINA BISTRO INC.         EQUITY   69333Y108     676      13,936 SH        sole        1       13,936





                                                                                              
PACCAR INC                             EQUITY   693718108      14         198 SH        defined     2                     198
PACCAR INC COM                         EQUITY   693718108       7      95,300 SH        sole        3       95,300
PACCAR, INC                            EQUITY   693718108    6336      91,672 SH        sole        1       91,672
PACER INTERNATIONAL INC                EQUITY   69373H106     247      15,057 SH        sole        1       15,057
PACIFIC CAPITAL BANCORP                EQUITY   69404P101     732      24,752 SH        sole        1       24,752
PACIFIC SUNWEAR OF CALIFORNIA          EQUITY   694873100    2577     122,445 SH        sole        1      122,445
PACIFICARE HEALTH SYSTEMS INC CLASS A  EQUITY   695112102    5208     141,914 SH        sole        1      141,914
PACKAGING CORP OF AMERICA              EQUITY   695156109    4288     175,221 SH        sole        1      175,221
PACKETEER, INC                         EQUITY   695210104     193      17,879 SH        sole        1       17,879
PACTIV CORP                            EQUITY   695257105       4         171 SH        defined     2                     171
PACTIV CORPORATION                     EQUITY   695257105    1556      66,928 SH        sole        1       66,928
PAIN THERAPEUTICS INC                  EQUITY   69562K100     101      14,046 SH        sole        1       14,046
PALATIN TECHNOLOGIES INC               EQUITY   696077304      84      28,694 SH        sole        1       28,694
PALL CORP                              EQUITY   696429307    1366      55,819 SH        sole        1       55,819
PALL CORP                              EQUITY   696429307       4         143 SH        defined     2                     143
PALM HARBOR HOMES, INC                 EQUITY   696639103      87       5,176 SH        sole        1        5,176
PALMONE INC                            EQUITY   69713P107     693      22,773 SH        sole        1       22,773
PALMSOURCE INC                         EQUITY   697154102     165       7,970 SH        sole        1        7,970
PALOMAR MEDICAL TECHNOLOGIES           EQUITY   697529303     143       6,539 SH        sole        1        6,539
PAN PACIFIC RETAIL PROPERTIES          EQUITY   69806L104     293       5,417 SH        sole        1        5,417
PANERA BREAD COMPANY CL A              EQUITY   69840W108     580      15,462 SH        sole        1       15,462
PANTRY INC                             EQUITY   698657103     159       6,320 SH        sole        1        6,320
PAPA JOHNS INTERNATIONAL, INC          EQUITY   698813102     194       6,332 SH        sole        1        6,332
PAR PHARMACEUTICAL COMPANIES, INC      EQUITY   69888P106    2654      73,855 SH        sole        1       73,855
PAR PHARMACEUTICAL COS INC             EQUITY   69888P106    2515      70,000 SH        defined     2                  70,000
PARADYNE NETWORKS INC                  EQUITY   69911G107      99      21,452 SH        sole        1       21,452
PARAMETRIC TECHNOLOGY CORP             EQUITY   699173100    2380     450,807 SH        defined     2                 450,807
PARAMETRIC TECHNOLOGY CORP.            EQUITY   699173100    1374     260,225 SH        sole        1      260,225
PAREXEL INTERNATIONAL CORP.            EQUITY   699462107     279      14,223 SH        sole        1       14,223
PARK ELECTROCHEMICAL CORP.             EQUITY   700416209     200       9,419 SH        sole        1        9,419
PARK NATIONAL CORP.                    EQUITY   700658107     949       7,456 SH        sole        1        7,456
PARKER DRILLING CO.                    EQUITY   701081101     189      51,370 SH        sole        1       51,370
PARKER HANNIFIN CORP                   EQUITY   701094104       8         136 SH        defined     2                     136
PARKER HANNIFIN CORP.                  EQUITY   701094104    4429      75,248 SH        sole        1       75,248
PARKWAY PROPERTIES, INC.               EQUITY   70159Q104     336       7,236 SH        sole        1        7,236
PARTNERS TRUST FINANCIAL GRP           EQUITY   70213F102     174      16,805 SH        sole        1       16,805
PARTY CITY CORP                        EQUITY   702145103      92       6,213 SH        sole        1        6,213
PATHMARK STORES INC                    EQUITY   70322A101      79      16,383 SH        sole        1       16,383
PATINA OIL & GAS CORP                  EQUITY   703224105      42       1,420 SH        sole        1        1,420
PATTERSON COS INC                      EQUITY   703395103    8984     117,349 SH        sole        1      117,349
PATTERSON UTI ENERGY INC               EQUITY   703481101    5084     266,600 SH        defined     2                 266,600
PATTERSON-UTI ENERGY INC               EQUITY   703481101    5488     287,792 SH        sole        1      287,792
PAXAR CORP.                            EQUITY   704227107     427      18,834 SH        sole        1       18,834
PAXSON COMMUNICATIONS CORP.            EQUITY   704231109      33      24,702 SH        sole        1       24,702
PAYCHEX INC                            EQUITY   704326107    3219     106,781 SH        defined     2                 106,781
PAYCHEX, INC.                          EQUITY   704326107    5619     186,361 SH        sole        1      186,361
PAYLESS SHOESOURCE, INC.               EQUITY   704379106    1500     148,062 SH        sole        1      148,062
PC CONNECTION INC                      EQUITY   69318J100      27       3,924 SH        sole        1        3,924
PC MALL INC                            EQUITY   69323K100      65       4,239 SH        sole        1        4,239
PC-TEL  INC.                           EQUITY   69325Q105      94      11,406 SH        sole        1       11,406
PDF SOLUTIONS INC                      EQUITY   693282105      97       7,950 SH        sole        1        7,950
PEABODY ENERGY CORP                    EQUITY   704549104    6302     105,923 SH        sole        1      105,923
PEABODY ENERGY CORP COM                EQUITY   704549104       7     117,732 SH        sole        3      111,300             6,432
PEAPACK-GLADSTONE FINL                 EQUITY   704699107     121       3,982 SH        sole        1        3,982
PEC SOLUTIONS INC                      EQUITY   705107100      74       6,287 SH        sole        1        6,287
PEDIATRIX MEDICAL GROUP                EQUITY   705324101     732      13,345 SH        sole        1       13,345





                                                                                             
PEETS COFFEE & TEA INC                 EQUITY   705560100     150       6,399 SH        sole        1        6,399
PEGASUS COMMUNICATIONS CORP            EQUITY   705904605                  66 SH        sole        1           66
PEGASUS SOLUTIONS INC.                 EQUITY   705906105     151      12,667 SH        sole        1       12,667
PEGASYSTEMS INC                        EQUITY   705573103      43       6,156 SH        sole        1        6,156
PENN ENGINERRING & MFG CORP            EQUITY   707389300     109       5,851 SH        sole        1        5,851
PENN NATIONAL GAMING, INC.             EQUITY   707569109     704      17,438 SH        sole        1       17,438
PENN VA CORP COM                       EQUITY   707882106       2      46,500 SH        sole        3       46,500
PENN VIRGINIA CORPORATION              EQUITY   707882106     393       9,932 SH        sole        1        9,932
PENN-AMERICA GROUP INC                 EQUITY   707247102      71       5,229 SH        sole        1        5,229
PENNEY J C INC                         EQUITY   708160106      12         328 SH        defined     2                     328
PENNFED FINANCIAL SVCS INC             EQUITY   708167101      75       2,473 SH        sole        1        2,473
PENNROCK FINL SVCS COR                 EQUITY   708352109     116       4,173 SH        sole        1        4,173
PENNSYLVANIA REAL ESTATE INV.          EQUITY   709102107     819      21,178 SH        sole        1       21,178
PENTAIR INC COM                        EQUITY   709631105       9     260,522 SH        sole        3      247,000            13,522
PENTAIR INC.                           EQUITY   709631105    5784     165,676 SH        sole        1      165,676
PENWEST PHARMACEUTICALS CO             EQUITY   709754105     102       9,045 SH        sole        1        9,045
PEOPLES BANCORP INC                    EQUITY   709789101     152       5,786 SH        sole        1        5,786
PEOPLES BANK                           EQUITY   710198102      28         778 SH        sole        1          778
PEOPLES ENERGY CORP                    EQUITY   711030106       2          43 SH        defined     2                      43
PEOPLES ENERGY CORP.                   EQUITY   711030106    6962     167,036 SH        sole        1      167,036
PEOPLES HOLDING COMPANY                EQUITY   711148106     159       4,884 SH        sole        1        4,884
PEOPLESOFT INC                         EQUITY   712713106       8         418 SH        defined     2                     418
PEOPLESOFT, INC.                       EQUITY   712713106    4022     202,599 SH        sole        1      202,599
PEP BOYS-MANNY, MOE & JACK             EQUITY   713278109     440      31,450 SH        sole        1       31,450
PEPCO HOLDINGS INC                     EQUITY   713291102    6091     306,065 SH        sole        1      306,065
PEPSI BOTTLING                         EQUITY   713409100    3193     117,617 SH        sole        1      117,617
PEPSI BOTTLING GROUP INC               EQUITY   713409100       8         290 SH        defined     2                     290
PEPSIAMERICAS INC                      EQUITY   71343P200    4329     226,634 SH        sole        1      226,634
Pepsico                                EQUITY   713448108    1460      30,000 SH        sole        4       30,000
PEPSICO INC                            EQUITY   713448108   14854     305,331 SH        defined     2                 305,331
PEPSICO, INC.                          EQUITY   713448108   63240   1,299,906 SH        sole        1    1,299,906
PEREGRINE PHARMACEUTICALS INC          EQUITY   713661106     110      68,498 SH        sole        1       68,498
PERFORMANCE FOOD GROUP CO.             EQUITY   713755106     598      25,252 SH        sole        1       25,252
PERICOM SEMICONDUCTOR CORP             EQUITY   713831105     117      12,067 SH        sole        1       12,067
PERINI CORP                            EQUITY   713839108   37979   2,663,346 SH        sole        1    2,663,346
PERKINELMER INC                        EQUITY   714046109       3         146 SH        defined     2                     146
PERKINELMER INC.                       EQUITY   714046109    1032      59,937 SH        sole        1       59,937
PEROT SYSTEM CORP.                     EQUITY   714265105     665      41,420 SH        sole        1       41,420
PERRIGO CO.                            EQUITY   714290103    3072     149,478 SH        sole        1      149,478
PERRY ELLIS INTERNATIONAL              EQUITY   288853104      66       2,950 SH        sole        1        2,950
PER-SE TECHNOLOGIES                    EQUITY   713569309     175      12,729 SH        sole        1       12,729
PETCO ANIMAL SUPPLIES                  EQUITY   716016209      29         884 SH        sole        1          884
PETMED EXPRESS INC                     EQUITY   716382106      25       5,368 SH        sole        1        5,368
PETRO-CANADA                           EQUITY   71644E102    4239      81,500 SH        defined     1            0     81,500
PETROL BRASILEIROS SPONS AD            EQUITY   71654V101     306      12,100 SH        sole        1       12,100
PETROLEO BRASILEIRO S.A. ADR           EQUITY   71654V408    7584     216,550 SH        sole        1      216,550
PETROLEO BRASILEIRO SA                 EQUITY   71654V408    2298      65,200 SH        defined     2                  65,200
PETROLEUM DEVELOPMENT CORP             EQUITY   716578109     388       8,851 SH        sole        1        8,851
PETSMART, INC                          EQUITY   716768106    7095     249,907 SH        sole        1      249,907
PFF BANCORP, INC.                      EQUITY   69331W104     258       6,750 SH        sole        1        6,750
Pfizer Inc                             EQUITY   717081103     612      20,000 SH        sole        4       20,000
PFIZER INC                             EQUITY   717081103   45128   1,474,773 SH        defined     2               1,474,773
Pfizer Inc  USD0.05                    EQUITY   717081103  207221   6,771,916 SH        sole        1    6,771,916
PFIZER INC COM                         EQUITY   717081103       3      90,100 SH        sole        3       90,100
PG+E CORP                              EQUITY   69331C108      14         457 SH        defined     2                     457
PHARMACEUTICAL PRODUCT DEVELOPMENT     EQUITY   717124101      37       1,026 SH        sole        1        1,026





                                                                                             
PHARMACYCLICS INC.                     EQUITY   716933106     110      10,684 SH        sole        1       10,684
PHARMION CORP                          EQUITY   71715B409     419       8,098 SH        sole        1        8,098
PHARMOS CORP                           EQUITY   717139208     138      47,916 SH        sole        1       47,916
PHASE FORWARD INC                      EQUITY   71721R406      25       2,989 SH        sole        1        2,989
PHELPS DODGE CORP                      EQUITY   717265102      10         107 SH        defined     2                     107
PHELPS DODGE CORP.                     EQUITY   717265102    3851      41,845 SH        sole        1       41,845
PHILADELPHIA CONS. HLDG. CO.           EQUITY   717528103     535       9,710 SH        sole        1        9,710
PHILLIPINES LONG DISTANCE TELE ADR     EQUITY   718252604    1387      55,400 SH        sole        1       55,400
PHILLIPS-VAN HEUSEN CORP.              EQUITY   718592108     294      13,205 SH        sole        1       13,205
PHOENIX COMPANIES INC                  EQUITY   71902E109     537      51,538 SH        sole        1       51,538
PHOTON DYNAMICS                        EQUITY   719364101     184       9,067 SH        sole        1        9,067
PHOTRONICS INC.                        EQUITY   719405102     294      17,717 SH        sole        1       17,717
PICO HOLDINGS INC                      EQUITY   693366205      83       4,347 SH        sole        1        4,347
PIEDMONT NATURAL GAS CO., INC.         EQUITY   720186105    3509      79,865 SH        sole        1       79,865
PIER 1 IMPORTS, INC.                   EQUITY   720279108    2608     144,223 SH        sole        1      144,223
PILGRIMS PRIDE CORP.                   EQUITY   721467108       8         293 SH        sole        1          293
PINNACLE AIRLINES CORP                 EQUITY   723443107     107      10,567 SH        sole        1       10,567
PINNACLE SYSTEMS, INC.                 EQUITY   723481107     156      37,485 SH        sole        1       37,485
PINNACLE WEST CAP CORP                 EQUITY   723484101     560      13,504 SH        defined     2                  13,504
PINNACLE WEST CAPITAL CORP.            EQUITY   723484101    8210     197,831 SH        sole        1      197,831
PIONEER NATURAL RESOURCES CORP         EQUITY   723787107    8257     239,480 SH        sole        1      239,480
PIPER JAFFRAY COS                      EQUITY   724078100     434      10,966 SH        sole        1       10,966
PIPER JAFFRAY COS                      EQUITY   724078100    5990     151,300 SH        defined     2                 151,300
PITNEY BOWES INC                       EQUITY   724479100      12         263 SH        defined     2                     263
PITNEY BOWES, INC.                     EQUITY   724479100    4535     102,833 SH        sole        1      102,833
PIXAR INC                              EQUITY   725811103     367       4,651 SH        sole        1        4,651
PIXELWORKS INC                         EQUITY   72581M107     221      22,060 SH        sole        1       22,060
PIXELWORKS INC COM                     EQUITY   72581M107      15   1,461,788 SH        sole        3    1,421,800            39,988
PLACER DOME INC                        EQUITY   725906101    4474     224,400 SH        defined     1            0    224,400
PLACER SIERRA BANCSHARES               EQUITY   726079106      66       3,122 SH        sole        1        3,122
PLAINS EXPL + PRODTN CO                EQUITY   726505100     666      27,900 SH        defined     2                  27,900
PLAINS EXPLORATION & PRODUCT           EQUITY   726505100    4000     167,650 SH        sole        1      167,650
PLANAR SYSTEMS, INC.                   EQUITY   726900103      89       7,967 SH        sole        1        7,967
PLANTRONICS INC NEW                    EQUITY   727493108     778      18,000 SH        defined     2                  18,000
PLANTRONICS, INC.                      EQUITY   727493108    3421      79,122 SH        sole        1       79,122
PLATO LEARNING INC                     EQUITY   72764Y100     111      12,522 SH        sole        1       12,522
PLAYBOY ENTERPRISES, INC.              EQUITY   728117300     107      10,640 SH        sole        1       10,640
PLAYTEX PRODUCTS, INC.                 EQUITY   72813P100     119      18,943 SH        sole        1       18,943
PLEXUS CORP.                           EQUITY   729132100    1036      93,854 SH        sole        1       93,854
PLUG POWER INC                         EQUITY   72919P103     169      26,382 SH        sole        1       26,382
PLUM CREEK TIMBER CO INC               EQUITY   729251108    2863      81,719 SH        sole        1       81,719
PLUM CREEK TIMBER CO INC               EQUITY   729251108       7         209 SH        defined     2                     209
PLX TECHNOLOGY, INC.                   EQUITY   693417107      84      11,713 SH        sole        1       11,713
PMA CAPITAL CORP.                      EQUITY   693419202     111      14,716 SH        sole        1       14,716
PMC SIERRA INC                         EQUITY   69344F106       2         202 SH        defined     2                     202
PMC-SIERRA INC COM                     EQUITY   69344F106       2     229,936 SH        sole        3      217,300            12,636
PMC-SIERRA, INC.                       EQUITY   69344F106     694      78,791 SH        sole        1       78,791
PMI GROUP, INC.                        EQUITY   69344M101    6431     158,476 SH        sole        1      158,476
PNC FINANCIAL SERVICES                 EQUITY   693475105   21453     396,552 SH        sole        1      396,552
PNC FINL SVCS GROUP INC                EQUITY   693475105      17         322 SH        defined     2                     322
PNM RESOURCES INC                      EQUITY   69349H107    2958     131,408 SH        sole        1      131,408
POGO PRODUCING CO                      EQUITY   730448107    5003     105,445 SH        sole        1      105,445
POLARIS INDUSTRIES, INC.               EQUITY   731068102      49         869 SH        sole        1          869
POLO RALPH LAUREN CO                   EQUITY   731572103      31         860 SH        sole        1          860
POLO RALPH LAUREN CORP CL A            EQUITY   731572103       3      85,100 SH        sole        3       85,100
POLYCOM, INC.                          EQUITY   73172K104    3250     163,997 SH        sole        1      163,997





                                                                                              
POLYMEDICA CORP                        EQUITY   731738100     441      14,308 SH        sole        1       14,308
POLYONE CORPORATION                    EQUITY   73179P106     375      49,890 SH        sole        1       49,890
POPE & TALBOT, INC.                    EQUITY   732827100     151       8,589 SH        sole        1        8,589
POPULAR INC                            EQUITY   733174106     145       5,505 SH        sole        1        5,505
PORTAL SOFTWARE INC                    EQUITY   736126301      48      17,570 SH        sole        1       17,570
PORTFOLIO RECOVERY ASS COM             EQUITY   73640Q105       4     132,300 SH        sole        3      132,300
PORTFOLIO RECOVERY ASSOCIATE           EQUITY   73640Q105     194       6,608 SH        sole        1        6,608
POSSIS MEDICAL INC                     EQUITY   737407106     137       8,742 SH        sole        1        8,742
POST PROPERTIES, INC.                  EQUITY   737464107     783      26,185 SH        sole        1       26,185
POTASH CORP SASK INC COM (F)           EQUITY   73755L107       7     105,700 SH        sole        3      101,500             4,200
POTLATCH CORP.                         EQUITY   737628107    3003      64,152 SH        sole        1       64,152
POWELL INDUSTRIES INC                  EQUITY   739128106      62       3,703 SH        sole        1        3,703
POWER INTEGRATIONS, INC.               EQUITY   739276103     307      15,017 SH        sole        1       15,017
POWER ONE INC                          EQUITY   739308104       1          96 SH        defined     2                      96
POWER-ONE , INC.                       EQUITY   739308104     456      70,384 SH        sole        1       70,384
POWERWAVE TECHNOLOGIES INC             EQUITY   739363109    1397     226,776 SH        sole        1      226,776
POZEN INC.                             EQUITY   73941U102     114      13,064 SH        sole        1       13,064
PPG INDS INC                           EQUITY   693506107      12         196 SH        defined     2                     196
PPG INDUSTRIES, INC.                   EQUITY   693506107    4811      78,509 SH        sole        1       78,509
PPL CORP                               EQUITY   69351T106      10         215 SH        defined     2                     215
PPL CORPORATION                        EQUITY   69351T106    4248      90,045 SH        sole        1       90,045
PRAECIS PHARMACEUTICALS IN             EQUITY   739421105     132      60,000 SH        defined     2                  60,000
PRAECIS PHARMACEUTICALS INC            EQUITY   739421105      63      28,506 SH        sole        1       28,506
PRAXAIR INC                            EQUITY   74005P104      16         370 SH        defined     2                     370
PRAXAIR, INC.                          EQUITY   74005P104    6177     144,527 SH        sole        1      144,527
PRECISION CASTPARTS CORP.              EQUITY   740189105    6427     107,033 SH        sole        1      107,033
PRECISION DRILLING CORP C              EQUITY   74022D100    6930     120,600 SH        defined     1            0    120,600
PREMCOR INC                            EQUITY   74045Q104      30         784 SH        sole        1          784
PREMCOR INC COM                        EQUITY   74045Q104       5     137,530 SH        sole        3      127,800             9,730
PRENTISS PROPERTIES TRUST              EQUITY   740706106    8449     234,697 SH        sole        1      234,697
PREPAID LEGAL SERVICES, INC.           EQUITY   740065107     146       5,696 SH        sole        1        5,696
PRESIDENTIAL LIFE CORP.                EQUITY   740884101     199      11,605 SH        sole        1       11,605
PRESSTEK INC                           EQUITY   741113104     135      13,997 SH        sole        1       13,997
PRG-SCHULTZ INTERNATIONAL              EQUITY   69357C107     128      22,343 SH        sole        1       22,343
PRICE COMMUNICATIONS CO.               EQUITY   741437305     333      21,849 SH        sole        1       21,849
PRICE LEGACY CORP                      EQUITY   74144P502     305      16,099 SH        sole        1       16,099
PRICE T ROWE GROUP INC                 EQUITY   74144T108       7         145 SH        defined     2                     145
PRICELINE.COM INC                      EQUITY   741503403     288      13,002 SH        sole        1       13,002
PRIDE INTERNATIONAL                    EQUITY   74153Q102    4432     223,940 SH        sole        1      223,940
PRIME HOSPITALITY CORP.                EQUITY   741917108    1752     143,923 SH        sole        1      143,923
PRIMEDIA INC                           EQUITY   74157K101     169      71,884 SH        sole        1       71,884
PRIMUS TELECOMMUNICATIONS GP           EQUITY   741929103      59      40,324 SH        sole        1       40,324
PRINCETON REVIEW INC                   EQUITY   742352107      67       8,979 SH        sole        1        8,979
PRINCIPAL FINANCIAL GROUP              EQUITY   74251V102   20247     562,883 SH        sole        1      562,883
PRINCIPAL FINANCIAL GROUP              EQUITY   74251V102      13         357 SH        defined     2                     357
PRIORITY HEALTHCARE                    EQUITY   74264T102     314      15,581 SH        sole        1       15,581
PRIVATEBANCORP INC                     EQUITY   742962103     241       8,945 SH        sole        1        8,945
PROASSURANCE CORPORATION               EQUITY   74267C106     500      14,264 SH        sole        1       14,264
PROCTER & GAMBLE CO COM                EQUITY   742718109       1      27,000 SH        sole        3       27,000
Procter & Gamble Co USD1               EQUITY   742718109  166156   3,070,145 SH        sole        1    3,070,145
PROCTER AND GAMBLE CO                  EQUITY   742718109   16095     297,398 SH        defined     2                 297,398
PROFESSIONAL DETAILING, INC.           EQUITY   69329V100     124       4,594 SH        sole        1        4,594
PROGENICS PHARMACEUTICALS              EQUITY   743187106      94       6,408 SH        sole        1        6,408
Progress Energy                        EQUITY   743263105    7410     175,000 SH        sole        4      175,000
PROGRESS ENERGY INC                    EQUITY   743263105      12         281 SH        defined     2                     281
PROGRESS ENERGY INC.                   EQUITY   743263105   28335     669,215 SH        sole        1      669,215





                                                                                              
PROGRESS SOFTWARE CORP.                EQUITY   743312100     341      17,136 SH        sole        1       17,136
PROGRESSIVE CORP OHIO                  EQUITY   743315103      21         247 SH        defined     2                     247
PROGRESSIVE CORP.                      EQUITY   743315103    8834     104,237 SH        sole        1      104,237
PROLOGIS                               EQUITY   743410102    3661     103,879 SH        sole        1      103,879
PROLOGIS                               EQUITY   743410102       7         207 SH        defined     2                     207
PROQUEST CO.                           EQUITY   74346P102     335      13,032 SH        sole        1       13,032
PROSPERITY BANCSHARES INC              EQUITY   743606105     241       9,013 SH        sole        1        9,013
PROTECTIVE LIFE CORP COM               EQUITY   743674103    4507     114,645 SH        sole        1      114,645
PROTEIN DESIGN LABS, INC.              EQUITY   74369L103    3071     156,821 SH        sole        1      156,821
PROVIDE COMMERCE INC                   EQUITY   74373W103      50       2,378 SH        sole        1        2,378
PROVIDENT BANCORP INC                  EQUITY   74383A109     253      21,584 SH        sole        1       21,584
PROVIDENT BANKSHARES CORP.             EQUITY   743859100     594      17,714 SH        sole        1       17,714
PROVIDENT FINANCIAL HLDGS              EQUITY   743868101      79       2,734 SH        sole        1        2,734
PROVIDENT FINANCIAL SERVICES           EQUITY   74386T105     707      41,008 SH        sole        1       41,008
PROVIDIAN FINANCIAL CORP.              EQUITY   74406A102    2029     130,542 SH        sole        1      130,542
PROVIDIAN FINL CORP                    EQUITY   74406A102    9326     600,134 SH        defined     2                 600,134
PROVINCE HEALTHCARE CO.                EQUITY   743977100     562      26,883 SH        sole        1       26,883
PROXIM CORP CL-A                       COM    z 744283102                   1 SH        sole        1            1
PROXYMED PHARMACY INC                  EQUITY   744290305      33       3,267 SH        sole        1        3,267
PRUDENTIAL FINANCIAL INC               EQUITY   744320102   10394     220,952 SH        sole        1      220,952
PRUDENTIAL FINL INC                    EQUITY   744320102      28         592 SH        defined     2                     592
PS BUSINESS PARKS, INC.                EQUITY   69360J107     441      11,057 SH        sole        1       11,057
PSEG ENERGY HOLDINGS                   EQUITY   744573106    4825     113,261 SH        sole        1      113,261
PSS WORLD MEDICAL, INC                 EQUITY   69366A100     369      36,726 SH        sole        1       36,726
PSYCHIATRIC SOLUTIONS INC              EQUITY   74439H108     137       5,401 SH        sole        1        5,401
PTEK HLDGS INC                         EQUITY   69366M104     294      34,269 SH        sole        1       34,269
Public Service                         EQUITY   744573106    5325     125,000 SH        sole        4      125,000
PUBLIC STORAGE INC                     EQUITY   74460D109     806      16,268 SH        sole        1       16,268
PUBLIC SVC ENTERPRISE GROU             EQUITY   744573106      12         270 SH        defined     2                     270
PUGET ENEGY INC.                       EQUITY   745310102   13515     595,362 SH        sole        1      595,362
PULITZER INC.                          EQUITY   745769109     225       4,555 SH        sole        1        4,555
PULTE HOMES                            EQUITY   745867101       9     152,400 SH        sole        3      149,100             3,300
PULTE HOMES INC                        EQUITY   745867101   11516     187,645 SH        defined     2                 187,645
PULTE HOMES INC.                       EQUITY   745867101    3486      56,803 SH        sole        1       56,803
QAD INC                                EQUITY   74727D108      49       6,979 SH        sole        1        6,979
QC HOLDINGS INC                        EQUITY   74729T101      43       2,719 SH        sole        1        2,719
QLOGIC CORP                            EQUITY   747277101       3         105 SH        defined     2                     105
QLOGIC CORP.                           EQUITY   747277101    1478      49,745 SH        sole        1       49,745
QUAKER CHEM CORP COM                   EQUITY   747316107     577      23,910 SH        sole        1       23,910
QUALCOMM INC                           EQUITY   747525103   25394     650,455 SH        defined     2                 650,455
QUALCOMM, INC.                         EQUITY   747525103   48391   1,239,515 SH        sole        1    1,239,515
QUALITY SYSTEMS INC                    EQUITY   747582104      93       1,837 SH        sole        1        1,837
QUALTY DISTRIBUTION INC                EQUITY   74756M102      28       4,541 SH        sole        1        4,541
QUANEX CORP.                           EQUITY   747620102     459       8,947 SH        sole        1        8,947
QUANTA SERVICES, INC.                  EQUITY   74762E102    1394     230,346 SH        sole        1      230,346
QUANTUM CORP DLT & STORAGE             EQUITY   747906204     911     394,557 SH        sole        1      394,557
QUEST DIAGNOSTICS INC                  EQUITY   74834L100      10         116 SH        defined     2                     116
QUEST DIAGNOSTICS, INC.                EQUITY   74834L100   15016     170,214 SH        sole        1      170,214
QUEST SOFTWARE INC                     EQUITY   74834T103     301      27,087 SH        sole        1       27,087
QUESTAR CORP.                          EQUITY   748356102    6352     138,635 SH        sole        1      138,635
QUICKSILVER RESOURCES COM              EQUITY   74837R104       7     214,842 SH        sole        3      208,000             6,842
QUICKSILVER RESOURCES INC              EQUITY   74837R104     525      16,084 SH        sole        1       16,084
QUICKSILVER, INC.                      EQUITY   74838C106     771      30,339 SH        sole        1       30,339
QUIDEL CORPORATION                     EQUITY   74838J101      78      17,216 SH        sole        1       17,216
QUIMICA Y MINERA ADR-EACH R            EQUITY   833635105     267       7,000 SH        sole        1        7,000
QUIXOTE CORP                           EQUITY   749056107      79       4,094 SH        sole        1        4,094





                                                                                             
QWEST COMMUNICATIONS INTL              EQUITY   749121109       7       2,069 SH        defined     2                   2,069
QWEST COMMUNICATIONS INTL.             EQUITY   749121109    2676     803,589 SH        sole        1      803,589
R&G FINANCIAL CO.                      EQUITY   749136107     585      15,145 SH        sole        1       15,145
R. R. DONNELLEY AND SONS CO.           EQUITY   257867101    3058      97,645 SH        sole        1       97,645
R.H. DONNELLEY CORP.                   EQUITY   74955W307     606      12,270 SH        sole        1       12,270
RADIAN GROUP, INC.                     EQUITY   750236101    7072     152,978 SH        sole        1      152,978
RADIATION THERAPY SERVICES             EQUITY   750323206      34       2,997 SH        sole        1        2,997
RADIO ONE INC                          EQUITY   75040P405    1631     114,600 SH        defined     2                 114,600
RADIO ONE INC -CL D                    EQUITY   75040P405      24       1,682 SH        sole        1        1,682
RADIOSHACK CORP                        EQUITY   750438103       5         182 SH        defined     2                     182
RADIOSHACK CORP.                       EQUITY   750438103    2910     101,618 SH        sole        1      101,618
RADISYS CORP.                          EQUITY   750459109     142      10,210 SH        sole        1       10,210
RAE SYSTEMS INC                        EQUITY   75061P102     105      18,804 SH        sole        1       18,804
RAILAMERICA INC                        EQUITY   750753105     221      20,022 SH        sole        1       20,022
RAIT INVESTMENT TRUST                  EQUITY   749227104    4727     172,847 SH        sole        1      172,847
RALCORP HOLDINGS, INC.                 EQUITY   751028101     575      15,923 SH        sole        1       15,923
RAMBUS INC.                            EQUITY   750917106      29       1,861 SH        sole        1        1,861
RAMCO-GERSHENSON PROPERTIES            EQUITY   751452202     262       9,681 SH        sole        1        9,681
RANGE RES CORP COM                     EQUITY   75281A109      13     771,808 SH        sole        3      745,600            26,208
RANGE RESOURCES CORP                   EQUITY   75281A109     644      36,799 SH        sole        1       36,799
RARE HOSPITALITY INTERNATIONAL         EQUITY   753820109     493      18,514 SH        sole        1       18,514
RARE HOSPITALITY INTL INC              EQUITY   753820109     525      19,700 SH        defined     2                  19,700
RAVEN INDUSTRIES INC                   EQUITY   754212108     187       4,216 SH        sole        1        4,216
RAYMOND JAMES FINANCIAL, INC.          EQUITY   754730109    2932     121,541 SH        sole        1      121,541
RAYONIER, INC.                         EQUITY   754907103    3712      82,041 SH        sole        1       82,041
RAYOVAC CORP.                          EQUITY   755081106     494      18,765 SH        sole        1       18,765
RAYTHEON CO                            EQUITY   755111507     551      14,514 SH        defined     2                  14,514
RAYTHEON CO.                           EQUITY   755111507    8666     228,184 SH        sole        1      228,184
RC2 CORP                               EQUITY   749388104     296       8,988 SH        sole        1        8,988
READER'S DIGEST ASSOC., INC.           EQUITY   755267101    3153     216,136 SH        sole        1      216,136
READING INTERNATIONAL INC-A            EQUITY   755408101      63       7,850 SH        sole        1        7,850
REALNETWORKS, INC.                     EQUITY   75605L104     286      61,283 SH        sole        1       61,283
REALTY INCOME CORP.                    EQUITY   756109104    1174      26,082 SH        sole        1       26,082
RECKSON ASSOC REALTY CORP.             EQUITY   75621K106     275       9,552 SH        sole        1        9,552
RED HAT INC                            EQUITY   756577102     905     146,000 SH        defined     2                 146,000
RED HAT, INC.                          EQUITY   756577102      42       3,473 SH        sole        1        3,473
RED ROBIN GOURMET BURGERS              EQUITY   75689M101     285       6,520 SH        sole        1        6,520
RED ROBIN GOURMET BURGERS              EQUITY   75689M101     598      13,700 SH        defined     2                  13,700
REDBACK NETWORKS INC                   EQUITY   757209507      89      17,002 SH        sole        1       17,002
REDWOOD TRUST, INC.                    EQUITY   758075402     543       8,707 SH        sole        1        8,707
REEBOK INTERNATIONAL, LTD.             EQUITY   758110100    1040      28,317 SH        sole        1       28,317
REEBOK INTL LTD                        EQUITY   758110100       2          67 SH        defined     2                      67
REGAL ENTMT GROUP                      EQUITY   758766109      16         838 SH        sole        1          838
REGAL-BELOIT CORP.                     EQUITY   758750103     322      13,320 SH        sole        1       13,320
REGENCY CENTERS CORPORATION            EQUITY   758849103     377       8,106 SH        sole        1        8,106
REGENERATION TECHNOLOGIES              EQUITY   75886N100     101      12,646 SH        sole        1       12,646
REGENERON PHARMACEUTICALS INC.         EQUITY   75886F107     179      20,675 SH        sole        1       20,675
REGENT COMMUNICATIONS, INC             EQUITY   758865109     107      18,988 SH        sole        1       18,988
REGIONS FINANCIAL CORP                 EQUITY   7591EP100   16052     485,531 SH        sole        1      485,531
REGIONS FINL CORP NEW                  EQUITY   7591EP100      17         527 SH        defined     2                     527
REGIS CORP.                            EQUITY   758932107    2937      73,017 SH        sole        1       73,017
REHAB CARE GROUP                       EQUITY   759148109     203       8,829 SH        sole        1        8,829
REINSURANCE GROUP OF                   EQUITY   759351109      24         589 SH        sole        1          589
RELIANCE STEEL & ALUMINIUM CO.         EQUITY   759509102     610      15,358 SH        sole        1       15,358
RELIANT ENERGY INC                     EQUITY   75952B105      58       6,167 SH        sole        1        6,167
REMEC, INC.                            EQUITY   759543101     158      33,522 SH        sole        1       33,522





                                                                                              
REMINGTON OIL & GAS CORP               EQUITY   759594302     309      11,763 SH        sole        1       11,763
RENAISSANCE LEARNING, INC.             EQUITY   75968L105      90       4,146 SH        sole        1        4,146
RENAISSANCERE HOLDINGS LTD             EQUITY   G7496G103     511       9,900 SH        defined     2                   9,900
RENAL CARE GROUP, INC.                 EQUITY   759930100    3566     110,654 SH        sole        1      110,654
RENOVIS INC                            EQUITY   759885106      26       3,249 SH        sole        1        3,249
RENT-A-CENTER INC                      EQUITY   76009N100    3373     130,431 SH        sole        1      130,431
RENT-WAY, INC.                         EQUITY   76009U104      98      14,284 SH        sole        1       14,284
REPUBLIC AIRWAYS HOLDINGS IN           EQUITY   760276105      24       2,718 SH        sole        1        2,718
REPUBLIC BANCORP, INC.                 EQUITY   760281204     640      39,307 SH        sole        1       39,307
REPUBLIC SERVICES IN                   EQUITY   760759100    7457     250,575 SH        sole        1      250,575
RES-CARE INC                           EQUITY   760943100     113       9,494 SH        sole        1        9,494
RESEARCH IN MOTION LTD                 EQUITY   760975102    2199      28,800 SH        defined     2                  28,800
RESMED INC                             EQUITY   761152107      35         725 SH        sole        1          725
RESOURCE AMERICA, INC.                 EQUITY   761195205     191       8,096 SH        sole        1        8,096
RESOURCES CONNECTION INC               EQUITY   76122Q105     476      12,597 SH        sole        1       12,597
RESPIRONICS INC                        EQUITY   761230101     476       8,900 SH        defined     2                   8,900
RESPIRONICS INC.                       EQUITY   761230101      40         747 SH        sole        1          747
RESTORATION HARDWARE I                 EQUITY   760981100      74      14,327 SH        sole        1       14,327
RETAIL VENTURES INC                    EQUITY   76128Y102      54       7,204 SH        sole        1        7,204
RETEK INC.                             EQUITY   76128Q109     554     121,592 SH        sole        1      121,592
REVLON, INC.-CL A                      EQUITY   761525500     200      79,500 SH        sole        1       79,500
REYNOLDS AMERICAN INC                  EQUITY   761713106    4500      66,131 SH        sole        1       66,131
REYNOLDS AMERN INC                     EQUITY   761713106      11         169 SH        defined     2                     169
REYNOLDS AND REYNOLDS CO., CLASS A     EQUITY   761695105    2631     106,635 SH        sole        1      106,635
RF MICRO DEVICES INC                   EQUITY   749941100    2569     405,229 SH        sole        1      405,229
RF MONOLITHICS INC COM(OXFORD PTNRS L  EQUITY   74955F106      35       4,973 SH        sole        1        4,973
RHODIA SA - SPONSORED ADR              EQUITY   762397107     577     387,300 SH        sole        1      387,300
RIGEL PHARMACEUTICALS COM NEW          EQUITY   766559603       7     284,172 SH        sole        3      276,700             7,472
RIGEL PHARMACEUTICALS INC              EQUITY   766559603     293      11,592 SH        sole        1       11,592
RIGGS NATIONAL CORP.                   EQUITY   766570105     192       8,660 SH        sole        1        8,660
RIGHTNOW TECHNOLOGIES INC              EQUITY   76657R106      43       3,429 SH        sole        1        3,429
RITE AID CORP                          EQUITY   767754104      32       9,089 SH        sole        1        9,089
RIVIERA HOLDINGS CORP                  EQUITY   769627100    6676     345,900 SH        sole        1      345,900
RLI CORP.                              EQUITY   749607107     458      12,201 SH        sole        1       12,201
ROBBINS & MYERS, INC.                  EQUITY   770196103     130       5,924 SH        sole        1        5,924
ROBERT HALF INTERNATIONAL INC.         EQUITY   770323103    1962      76,143 SH        sole        1       76,143
ROBERT HALF INTL INC                   EQUITY   770323103       5         196 SH        defined     2                     196
ROCK-TENN CO., CLASS A                 EQUITY   772739207     251      15,915 SH        sole        1       15,915
ROCKWELL AUTOMATION INC                EQUITY   773903109    3418      88,327 SH        sole        1       88,327
ROCKWELL COLLINS INC                   EQUITY   774341101    2932      78,933 SH        sole        1       78,933
ROCKWELL COLLINS INC                   EQUITY   774341101     598      16,102 SH        defined     2                  16,102
ROFIN-SINAR TECHNOLOGIES INC           EQUITY   775043102     239       8,130 SH        sole        1        8,130
ROGERS COMMUNICATIONS INC B            EQUITY   775109200    2122     104,800 SH        defined     1            0    104,800
ROGERS CORP.                           EQUITY   775133101     384       9,027 SH        sole        1        9,027
ROHM + HAAS CO                         EQUITY   775371107   12016     279,640 SH        defined     2                 279,640
ROHM AND HAAS CO.                      EQUITY   775371107   11609     270,169 SH        sole        1      270,169
ROLLINS, INC.                          EQUITY   775711104    2066      85,045 SH        sole        1       85,045
ROPER INDS                             EQUITY   776696106    6843     119,100 SH        defined     2                 119,100
ROPER INDUSTRIES, INC.                 EQUITY   776696106      44         761 SH        sole        1          761
ROSS STORES, INC.                      EQUITY   778296103    5951     253,864 SH        sole        1      253,864
Rostelecom ADR                         EQUITY   778529107    2341     173,000 SH        sole        1      173,000
ROUSE CO                               EQUITY   779273101    2729      40,797 SH        sole        1       40,797
ROWAN COMPANIES, INC.                  EQUITY   779382100    1260      47,718 SH        sole        1       47,718
ROWAN COS INC                          EQUITY   779382100   12902     488,722 SH        defined     2                 488,722
ROYAL BANCSHARES OF PENN-A             EQUITY   780081105      57       2,334 SH        sole        1        2,334
ROYAL BANK CDA COMMON                  EQUITY   780087102    5697     120,100 SH        defined     1            0    120,100





                                                                                             
ROYAL BK OF SCOT GRP PLC PERP          CorpBond 780097796     920      36,400 SH        sole        1           36
Royal Bk Scotland 8.5%                 EQUITY   780097804     549      20,000 SH        sole        4       20,000
Royal Bk Scotland 8.8889%              EQUITY   780097861    3036     120,000 SH        sole        4      120,000
Royal Bk Scotland 9.125%               EQUITY   780097606    1189      45,000 SH        sole        4       45,000
ROYAL CARIBBEAN CRUISES LT             EQUITY   V7780T103     680      15,600 SH        defined     2                  15,600
ROYAL CARIBBEAN CRUISES LTD            EQUITY   V7780T103   16683     382,648 SH        sole        1      382,648
ROYAL GOLD INC                         EQUITY   780287108     153       8,945 SH        sole        1        8,945
RPC                                    EQUITY   749660106      93       5,196 SH        sole        1        5,196
RPM INTERNATIONAL INC.                 EQUITY   749685103    3386     191,851 SH        sole        1      191,851
RSA SEC INC                            EQUITY   749719100     762      39,500 SH        defined     2                  39,500
RSA SECURITY INC.                      EQUITY   749719100    2649     137,247 SH        sole        1      137,247
RTI INTERNATIONAL METALS, INC.         EQUITY   74973W107     224      11,545 SH        sole        1       11,545
RUBY TUESDAY INC                       EQUITY   781182100    4718     169,300 SH        defined     2                 169,300
RUBY TUESDAY, INC.                     EQUITY   781182100    3022     108,428 SH        sole        1      108,428
RUDDICK CORP.                          EQUITY   781258108    1848      94,095 SH        sole        1       94,095
RUDOLPH TECHNOLOGIES INC.              EQUITY   781270103     117       7,002 SH        sole        1        7,002
RUSH ENTERPRISES INC - CL B            EQUITY   781846308      37       3,177 SH        sole        1        3,177
RUSH ENTERPRISES INC CL B              EQUITY   781846308       2     132,000 SH        sole        3      132,000
RUSS BERRIE AND CO., INC.              EQUITY   782233100      88       4,359 SH        sole        1        4,359
RUSSELL CORP.                          EQUITY   782352108     262      15,571 SH        sole        1       15,571
RYANAIR HOLDINGS PLC-SP ADR            EQUITY   783513104     173       5,938 SH        sole        1        5,938
RYAN'S RESTAURANT GROUP INC            EQUITY   783520109     340      22,912 SH        sole        1       22,912
RYDER SYS INC                          EQUITY   783549108       3          73 SH        defined     2                      73
RYDER SYSTEM, INC.                     EQUITY   783549108    1577      33,531 SH        sole        1       33,531
RYERSON TULL, INC.                     EQUITY   78375P107     220      12,808 SH        sole        1       12,808
RYLAND GROUP                           EQUITY   783764103    3633      39,210 SH        sole        1       39,210
RYLAND GROUP INC COM                   EQUITY   783764103       2      25,794 SH        sole        3       24,600             1,194
S J W CORP COM                         EQUITY   784305104     116       3,514 SH        sole        1        3,514
S&P 500 DEPOSITORY RECEIPT             EQUITY   78462F103   39127     350,100 SH        sole        1      350,100
S&T BANCORP, INC.                      EQUITY   783859101     461      12,903 SH        sole        1       12,903
S.Y. BANCORP INC                       EQUITY   785060104     145       6,439 SH        sole        1        6,439
S1 CORPORATION                         EQUITY   78463B101     307      38,431 SH        sole        1       38,431
SABRE HLDGS CORP                       EQUITY   785905100       4         156 SH        defined     2                     156
SABRE HOLDINGS CORP.                   EQUITY   785905100    1523      62,089 SH        sole        1       62,089
SAFECO CORP                            EQUITY   786429100       7         143 SH        defined     2                     143
SAFECO CORP.                           EQUITY   786429100    2577      56,451 SH        sole        1       56,451
SAFEGUARD SCIENTIFICS, INC.            EQUITY   786449108     122      65,216 SH        sole        1       65,216
SAFENET INC                            EQUITY   78645R107     342      12,947 SH        sole        1       12,947
SAFETY INSURANCE GROUP INC             EQUITY   78648T100     121       5,464 SH        sole        1        5,464
SAFEWAY INC                            EQUITY   786514208    3848     199,294 SH        sole        1      199,294
SAFEWAY INC                            EQUITY   786514208      10         509 SH        defined     2                     509
SAGA COMMUNICATIONS, INC. CLASS A      EQUITY   786598102     151       8,896 SH        sole        1        8,896
SAKS INC.                              EQUITY   79377W108    2817     233,757 SH        sole        1      233,757
SALEM COMMUNICATION- CLASS A           EQUITY   794093104     132       5,229 SH        sole        1        5,229
SALESFORCE COM INC                     EQUITY   79466L302     663      42,400 SH        defined     2                  42,400
SALESFORCE.COM INC                     EQUITY   79466L302      98       6,279 SH        sole        1        6,279
SALIX PHARMACEUTICALS                  EQUITY   795435106     422      19,613 SH        sole        1       19,613
SALIX PHARMACEUTICALS LTD              EQUITY   795435106    1076      50,000 SH        defined     2                  50,000
SALIX PHARMACEUTICALS ORD              EQUITY   795435106      10     486,376 SH        sole        3      461,200            25,176
SANDERS MORRIS HARRIS GRP IN           EQUITY   80000Q104      78       6,503 SH        sole        1        6,503
SANDERSON FARMS, INC.                  EQUITY   800013104     188       5,612 SH        sole        1        5,612
SANDISK CORP COM                       EQUITY   80004C101       7     245,776 SH        sole        3      240,100             5,676
SANDISK CORP.                          EQUITY   80004C101    8094     277,953 SH        sole        1      277,953
SANDY SPRING BANCORP, INC.             EQUITY   800363103     259       7,906 SH        sole        1        7,906
SANMINA - SCI CORP                     EQUITY   800907107    1923     272,787 SH        sole        1      272,787
SANMINA SCI CORP                       EQUITY   800907107       4         594 SH        defined     2                     594





                                                                                               
SANTANDER BANCORP                      EQUITY   802809103      72       2,871 SH        sole        1        2,871
SANTARUS INC                           EQUITY   802817304      41       4,555 SH        sole        1        4,555
SANTARUS INC                           EQUITY   802817304     181      20,000 SH        defined     2                  20,000
SAPIENT CORP.                          EQUITY   803062108     327      42,906 SH        sole        1       42,906
SARA LEE CORP                          EQUITY   803111103      21         904 SH        defined     2                     904
SARA LEE CORP.                         EQUITY   803111103    9087     397,504 SH        sole        1      397,504
SAUER-DANFOSS INC.                     EQUITY   804137107      94       5,479 SH        sole        1        5,479
SAUL CENTERS, INC.                     EQUITY   804395101     260       7,913 SH        sole        1        7,913
SBA COMMUNICATIONS CORPORATION         EQUITY   78388J106     155      22,175 SH        sole        1       22,175
SBC Communications Inc                 EQUITY   78387G103    1038      40,000 SH        sole        4       40,000
SBC COMMUNICATIONS INC                 EQUITY   78387G103   12242     471,746 SH        defined     2                 471,746
SBC COMMUNICATIONS, INC.               EQUITY   78387G103   54852   2,113,773 SH        sole        1    2,113,773
SBS TECHNOLOGIES INC                   EQUITY   78387P103     101       8,317 SH        sole        1        8,317
SCANA CORP                             EQUITY   80589M102    6878     184,190 SH        sole        1      184,190
SCANSOFT INC                           EQUITY   80603P107     179      43,974 SH        sole        1       43,974
SCANSOURCE INC                         EQUITY   806037107     436       6,829 SH        sole        1        6,829
SCBT FINANCIAL CORP                    EQUITY   78401V102     124       4,205 SH        sole        1        4,205
SCHAWK, INC.                           EQUITY   806373106      72       4,942 SH        sole        1        4,942
SCHERING PLOUGH CORP                   EQUITY   806605101      43       2,238 SH        defined     2                   2,238
SCHERING-PLOUGH CORP.                  EQUITY   806605101   11997     629,438 SH        sole        1      629,438
Schlumberger LTD                       EQUITY   806857108    1010      15,000 SH        sole        4       15,000
SCHLUMBERGER LTD                       EQUITY   806857108     147       2,183 SH        defined     2                   2,183
SCHLUMBERGER, LTD.                     EQUITY   806857108   20341     302,203 SH        sole        1      302,203
SCHNITZER STL INDS                     EQUITY   806882106     345      10,678 SH        sole        1       10,678
SCHOLASTIC CORP.                       EQUITY   807066105    2500      80,943 SH        sole        1       80,943
SCHOOL SPECIALTY, INC.                 EQUITY   807863105     408      10,351 SH        sole        1       10,351
SCHULMAN, A. INC.                      EQUITY   808194104     362      16,428 SH        sole        1       16,428
SCHWAB CHARLES CORP                    EQUITY   808513105     156      16,958 SH        defined     2                  16,958
SCHWEITZER-MAUDUIT INC.                EQUITY   808541106     265       8,182 SH        sole        1        8,182
SCICLONE PHARMACEUTICALS, INC.         EQUITY   80862K104      86      24,289 SH        sole        1       24,289
SCIENTIFIC ATLANTA INC                 EQUITY   808655104     642      24,775 SH        defined     2                  24,775
SCIENTIFIC GAMES CORP A                EQUITY   80874P109     796      41,689 SH        sole        1       41,689
SCIENTIFIC-ATLANTA, INC.               EQUITY   808655104    1884      72,684 SH        sole        1       72,684
SCOTTISH RE GROUP LTD                  EQUITY   G7885T104     504      23,800 SH        defined     2                  23,800
SCOTTS CO.                             EQUITY   810186106    3454      53,839 SH        sole        1       53,839
SCP POOL CORPORATION                   EQUITY   784028102     777      29,051 SH        sole        1       29,051
SCRIPPS CO                             EQUITY   811054204      65       1,352 SH        sole        1        1,352
SCRIPPS E W CO OH                      EQUITY   811054204     726      15,200 SH        defined     2                  15,200
SCS TRANSPORTATION INC                 EQUITY   81111T102     153       8,097 SH        sole        1        8,097
Scudder Strategic Muni Inc             EQUITY   811234103     250      20,000 SH        sole        4       20,000
SEABOARD CORP.                         EQUITY   811543107     113         193 SH        sole        1          193
SEABULK INTERNATIONAL INC              EQUITY   81169P101      33       3,163 SH        sole        1        3,163
SEACHANGE INTERNATIONAL, INC.          EQUITY   811699107     213      13,322 SH        sole        1       13,322
SEACOAST BANKING CORP FL               EQUITY   811707306     135       6,302 SH        sole        1        6,302
SEACOR HOLDINGS INC                    EQUITY   811904101     473      10,108 SH        sole        1       10,108
SEALED AIR CORP                        EQUITY   81211K100    1736      37,446 SH        sole        1       37,446
SEALED AIR CORP NEW                    EQUITY   81211K100       4          96 SH        defined     2                      96
SEARS ROEBUCK & CO                     EQUITY   812387108    3770      94,613 SH        sole        1       94,613
SEARS ROEBUCK + CO                     EQUITY   812387108      10         242 SH        defined     2                     242
SEATTLE GENETICS INC WA                EQUITY   812578102     112      16,999 SH        sole        1       16,999
SECURE COMPUTING CORP                  EQUITY   813705100     147      19,384 SH        sole        1       19,384
SECURE COMPUTING CORP                  EQUITY   813705100    3921     516,600 SH        defined     2                 516,600
SECURITY BANK CORP                     EQUITY   814047106      89       2,545 SH        sole        1        2,545
SEEBEYOND TECHNOLOGY CORP.             EQUITY   815704101      83      27,018 SH        sole        1       27,018
SEI INVESTMENTS CO.                    EQUITY   784117103    5701     169,273 SH        sole        1      169,273
SELECT COMFORT CORP                    EQUITY   81616X103     361      19,828 SH        sole        1       19,828





                                                                                              
SELECT COMFORT CORP                    EQUITY   81616X103     342      18,800 SH        defined     2                  18,800
SELECT MEDICAL CORP                    EQUITY   816196109     673      50,138 SH        sole        1       50,138
SELECTIVE INSURANCE GROUP, INC         EQUITY   816300107     562      15,101 SH        sole        1       15,101
SEMITOOL, INC.                         EQUITY   816909105      67       8,865 SH        sole        1        8,865
SEMPRA ENERGY                          EQUITY   816851109    4180     115,499 SH        sole        1      115,499
SEMPRA ENERGY                          EQUITY   816851109      10         264 SH        defined     2                     264
SEMTECH CORP.                          EQUITY   816850101    2354     122,795 SH        sole        1      122,795
SENIOR HOUSING PROP TRUST              EQUITY   81721M109     649      36,418 SH        sole        1       36,418
SENSIENT TECHNOLOGIES CORP.            EQUITY   81725T100    2205     101,889 SH        sole        1      101,889
SEPRACOR INC                           EQUITY   817315104     288       5,900 SH        defined     2                   5,900
SEPRACOR, INC.                         EQUITY   817315104    7043     144,385 SH        sole        1      144,385
SEQUA CORP CLASS A                     EQUITY   817320104    1065      20,396 SH        sole        1       20,396
SERENA SOFTWARE, INC.                  EQUITY   817492101     229      13,674 SH        sole        1       13,674
SEROLOGICALS CORP.                     EQUITY   817523103     317      13,601 SH        sole        1       13,601
SERVICE CORP INTERNATIONAL             EQUITY   817565104      43       6,942 SH        sole        1        6,942
SERVICEMASTER COMPAN                   EQUITY   81760N109      77       6,019 SH        sole        1        6,019
SFBC INTERNATIONAL INC                 EQUITY   784121105     179       6,794 SH        sole        1        6,794
SHARPER IMAGE CORP                     EQUITY   820013100     137       6,383 SH        sole        1        6,383
SHARPER IMAGE CORP                     EQUITY   820013100    1502      70,000 SH        defined     2                  70,000
SHAW GROUP INC                         EQUITY   820280105     413      34,444 SH        sole        1       34,444
SHENANDOAH TELECOMMUNI                 EQUITY   82312B106      92       3,575 SH        sole        1        3,575
SHERWIN WILLIAMS CO                    EQUITY   824348106   15273     347,419 SH        defined     2                 347,419
SHERWIN-WILLIAMS CO.                   EQUITY   824348106    2769      62,985 SH        sole        1       62,985
SHOE CARNIVAL INC                      EQUITY   824889109      47       4,011 SH        sole        1        4,011
SHOPKO STORES, INC.                    EQUITY   824911101     278      15,988 SH        sole        1       15,988
SHUFFLE MASTER INC                     EQUITY   825549108      13     334,512 SH        sole        3      326,900             7,612
SHUFFLE MASTER, INC.                   EQUITY   825549108     473      12,639 SH        sole        1       12,639
SHURGARD STORAGE CENTERS, INC. CLASS   EQUITY   82567D104     240       6,193 SH        sole        1        6,193
SI INTERNATIONAL                       EQUITY   78427V102       5     248,800 SH        sole        3      246,100             2,700
SI INTERNATIONAL INC                   EQUITY   78427V102      60       2,736 SH        sole        1        2,736
SIDER NACIONAL CIA SPONS AD            EQUITY   20440W105     408      33,200 SH        sole        1       33,200
SIEBEL SYS INC                         EQUITY   826170102    2450     324,876 SH        defined     2                 324,876
SIEBEL SYSTEMS, INC.                   EQUITY   826170102    2296     304,516 SH        sole        1      304,516
SIERRA HEALTH SERVICES, INC.           EQUITY   826322109     601      12,529 SH        sole        1       12,529
SIERRA PACIFIC RESOURCES               EQUITY   826428104    2283     255,084 SH        sole        1      255,084
SIGMA ALDRICH                          EQUITY   826552101       5          79 SH        defined     2                      79
SIGMA ALDRICH CORP.                    EQUITY   826552101    2061      35,537 SH        sole        1       35,537
SIGMATEL INC                           EQUITY   82661W107     284      13,398 SH        sole        1       13,398
SIGMATEL INC COM                       EQUITY   82661W107       2      88,600 SH        sole        3       88,600
SIGNATURE BANK                         EQUITY   82669G104      81       3,042 SH        sole        1        3,042
SIGNATURE BK NEW YORK NY               EQUITY   82669G104    7439     278,100 SH        defined     2                 278,100
SILGAN HOLDINGS, INC.                  EQUITY   827048109     276       5,970 SH        sole        1        5,970
SILICON GRAPHICS, INC.                 EQUITY   827056102     205     142,215 SH        sole        1      142,215
SILICON IMAGE INC                      EQUITY   82705T102     510      40,326 SH        sole        1       40,326
SILICON LABORATORIES INC               EQUITY   826919102    2816      85,090 SH        sole        1       85,090
SILICON STORAGE TECHNOLOGY             EQUITY   827057100     282      44,228 SH        sole        1       44,228
SILICON VALLEY BANCSHARES              EQUITY   827064106    2875      77,342 SH        sole        1       77,342
SILICONIX, INC.                        EQUITY   827079203     114       3,191 SH        sole        1        3,191
SIMMONS FIRST NATIONAL CORP.           EQUITY   828730200     204       7,992 SH        sole        1        7,992
SIMON PPTY GROUP INC NEW               EQUITY   828806109      13         237 SH        defined     2                     237
SIMON PROPERTY GROUP INC               EQUITY   828806109    6174     115,130 SH        sole        1      115,130
SIMPLETECH INC                         EQUITY   828823104      40      10,980 SH        sole        1       10,980
SIMPSON MANUFACTURING CO.              EQUITY   829073105     632       9,999 SH        sole        1        9,999
SINCLAIR BROADCAST GROUP, INC.         EQUITY   829226109     178      24,387 SH        sole        1       24,387
SIPEX CORP.                            EQUITY   829909100      57      10,775 SH        sole        1       10,775
SIRF TECHNOLOGY HOLDINGS INC           EQUITY   82967H101      85       5,972 SH        sole        1        5,972





                                                                                             
SIRIUS SATELLITE RADIO INC.            EQUITY   82966U103    1335     417,305 SH        sole        1      417,305
SIRVA INC                              EQUITY   82967Y104      10         434 SH        sole        1          434
SIRVA INC                              EQUITY   82967Y104     568      24,800 SH        defined     2                  24,800
SITEL CORP.                            EQUITY   82980K107      69      31,739 SH        sole        1       31,739
SIX FLAGS, INC                         EQUITY   83001P109    1100     202,289 SH        sole        1      202,289
SIZELER PPTY INVS INC                  EQUITY   830137105      14       1,500 SH        sole        1        1,500
SKECHERS USA INC. CL-A                 EQUITY   830566105     157      10,802 SH        sole        1       10,802
SKY FINANCIAL GROUP                    EQUITY   83080P103      54       2,157 SH        sole        1        2,157
SKYLINE CORP.                          EQUITY   830830105     149       3,716 SH        sole        1        3,716
SKYWEST INC                            EQUITY   830879102   47496   3,155,898 SH        sole        1    3,155,898
SKYWORKS SOLUTIONS INC                 EQUITY   83088M102     773      81,548 SH        sole        1       81,548
SKYWORKS SOLUTIONS INC COM             EQUITY   83088M102      17   1,835,970 SH        sole        3    1,773,500            62,470
SL GREEN REALTY CORP.                  EQUITY   78440X101     269       5,195 SH        sole        1        5,195
SLM CORP                               EQUITY   78442P106   37557   1,331,751 SH        sole        1      252,232
SLM CORP                               EQUITY   78442P106    3670      82,297 SH        defined     2                  82,297
SMART & FINAL, INC.,                   EQUITY   831683107     114       6,801 SH        sole        1        6,801
SMITH INTERNATIONAL, INC.              EQUITY   832110100   10494     172,796 SH        sole        1      172,796
SMITH INTL INC                         EQUITY   832110100    3328      54,800 SH        defined     2                  54,800
SMITH, A.O. CORP.                      EQUITY   831865209     226       9,274 SH        sole        1        9,274
SMITHFIELD FOODS INC                   EQUITY   832248108    4547     181,882 SH        sole        1      181,882
SMITHTOWN BANCORP INC                  EQUITY   832449102      71       2,839 SH        sole        1        2,839
SMURFIT STONE CONTAINER CO             EQUITY   832727101    1046      54,000 SH        defined     2                  54,000
SMURFIT-STONE CONTAINER CORP.          EQUITY   832727101   49331   2,546,790 SH        sole        1    2,546,790
SNAP ON INC                            EQUITY   833034101       2          66 SH        defined     2                      66
SNAP-ON, INC.                          EQUITY   833034101     714      25,925 SH        sole        1       25,925
SOHU.COM INC                           EQUITY   83408W103     200      12,024 SH        sole        1       12,024
SOLA INTERNATIONAL, INC.               EQUITY   834092108     332      17,414 SH        sole        1       17,414
SOLECTRON CORP                         EQUITY   834182107       5       1,096 SH        defined     2                   1,096
SOLECTRON CORP.                        EQUITY   834182107    2116     427,486 SH        sole        1      427,486
SONIC AUTOMOTIVE INC                   EQUITY   83545G102     302      15,080 SH        sole        1       15,080
SONIC CORP.                            EQUITY   835451105     829      32,339 SH        sole        1       32,339
SONIC INNOVATIONS INC                  EQUITY   83545M109      46      10,034 SH        sole        1       10,034
SONIC SOLUTIONS                        EQUITY   835460106     166      10,172 SH        sole        1       10,172
SONICWALL INC                          EQUITY   835470105     219      32,388 SH        sole        1       32,388
SONOCO PRODUCTS CO.                    EQUITY   835495102    4277     161,744 SH        sole        1      161,744
SONOSIGHT, INC.                        EQUITY   83568G104     209       8,022 SH        sole        1        8,022
SOTHEBY'S HOLDINGS, INC. CLASS A       EQUITY   835898107    2010     127,877 SH        sole        1      127,877
SOURCE INTERLINK COS INC               EQUITY   836151209     104      10,709 SH        sole        1       10,709
SOURCECORP                             EQUITY   836167106     194       8,773 SH        sole        1        8,773
SOUTH FINANCIAL GROUP INC.             EQUITY   837841105      40       1,425 SH        sole        1        1,425
SOUTH JERSEY INDUSTRIES, INC.          EQUITY   838518108     357       7,481 SH        sole        1        7,481
SOUTHERN CO                            EQUITY   842587107   37409   1,247,791 SH        sole        1    1,247,791
SOUTHERN CO                            EQUITY   842587107      25         841 SH        defined     2                     841
SOUTHERN COMMUNITY FINANCIAL           EQUITY   842632101      90       8,109 SH        sole        1        8,109
SOUTHERN PERU COPPER CORP.             EQUITY   843611104      15         293 SH        sole        1          293
SOUTHERN UNION CO.                     EQUITY   844030106     694      33,844 SH        sole        1       33,844
SOUTHSIDE BANCSHARES INC               EQUITY   84470P109     103       5,075 SH        sole        1        5,075
SOUTHTRUST CORP                        EQUITY   844730101      16         379 SH        defined     2                     379
SOUTHTRUST CORP.                       EQUITY   844730101    6997     167,965 SH        sole        1      167,965
SOUTHWEST AIRLINES CO.                 EQUITY   844741108    4850     356,106 SH        sole        1      356,106
SOUTHWEST AIRLS CO                     EQUITY   844741108    1799     132,101 SH        defined     2                 132,101
SOUTHWEST BANCORP INC                  EQUITY   844767103     129       5,836 SH        sole        1        5,836
SOUTHWEST BANCORPORATION OF TX         EQUITY   84476R109     753      37,391 SH        sole        1       37,391
SOUTHWEST GAS CORP                     EQUITY   844895102     452      18,893 SH        sole        1       18,893
SOUTHWEST WTR CO                       EQUITY   845331107     110       8,989 SH        sole        1        8,989
SOUTHWESTERN ENERGY CO.                EQUITY   845467109     825      19,655 SH        sole        1       19,655





                                                                                              
SOVEREIGN BANCORP INC                  EQUITY   845905108       9         391 SH        defined     2                     391
SOVEREIGN BANCORP, INC.                EQUITY   845905108    3342     153,185 SH        sole        1      153,185
SOVRAN SELF STORAGE, INC.              EQUITY   84610H108    2064      52,691 SH        sole        1       52,691
SPANISH BROADCASTING SYS, INC. CLASS   EQUITY   846425882     198      20,129 SH        sole        1       20,129
SPARTAN MTRS INC COM                   EQUITY   846819100       3     219,800 SH        sole        3      219,800
SPARTECH CORP.                         EQUITY   847220209     343      13,665 SH        sole        1       13,665
SPATIALIGHT INC                        EQUITY   847248101      75      12,789 SH        sole        1       12,789
SPECIALTY LABORATORIES INC             EQUITY   84749R100      46       4,348 SH        sole        1        4,348
SPECTRALINK CORP                       EQUITY   847580107      99      10,374 SH        sole        1       10,374
SPECTRASITE INC                        EQUITY   84761M104      39         839 SH        sole        1          839
SPEEDWAY MOTORSPORTS                   EQUITY   847788106     269       8,061 SH        sole        1        8,061
SPHERION CORPORATION                   EQUITY   848420105     257      32,888 SH        sole        1       32,888
SPINNAKER EXPLORATION CO               EQUITY   84855W109     479      13,664 SH        sole        1       13,664
SPORTS AUTHORITY INC                   EQUITY   84917U109     281      12,129 SH        sole        1       12,129
SPORTS RESORTS INTL INC                EQUITY   84918U108       3         764 SH        sole        1          764
SPRINT CORP                            EQUITY   852061100   17403     864,516 SH        sole        1      864,516
SPRINT CORP                            EQUITY   852061100      33       1,656 SH        defined     2                   1,656
SPSS, INC.                             EQUITY   78462K102     103       7,710 SH        sole        1        7,710
SPX CORP.                              EQUITY   784635104    4442     125,488 SH        sole        1      125,488
SRA INTERNATIONAL CL A                 EQUITY   78464R105     366       7,092 SH        sole        1        7,092
SRA INTL INC                           EQUITY   78464R105     712      13,800 SH        defined     2                  13,800
SRA INTL INC CL A                      EQUITY   78464R105       7     142,974 SH        sole        3      137,900             5,074
SS&C TECHNOLOGIES INC                  EQUITY   85227Q100     145       7,401 SH        sole        1        7,401
ST JUDE MED INC                        EQUITY   790849103   21828     290,002 SH        defined     2                 290,002
ST JUDE MEDICAL, INC.                  EQUITY   790849103    5652      75,092 SH        sole        1       75,092
ST. MARY LAND & EXPLORATION            EQUITY   792228108     619      15,549 SH        sole        1       15,549
ST. PAUL TRAVELERS COMPANIES, INC.     EQUITY   792860108   15125     457,513 SH        sole        1      457,513
STAGE STORES INC                       EQUITY   85254C305     349      10,209 SH        sole        1       10,209
STAKTEK HOLDINGS INC                   EQUITY   85256P106      22       5,569 SH        sole        1        5,569
STAMPS.COM INC                         EQUITY   852857200     122       9,145 SH        sole        1        9,145
STANCORP FINANCIAL GROUP, INC.         EQUITY   852891100    3340      46,908 SH        sole        1       46,908
STANDARD COML CORP. COM                EQUITY   853258101      87       5,500 SH        sole        1        5,500
STANDARD MICROSYSTEMS CORP.            EQUITY   853626109     176      10,023 SH        sole        1       10,023
STANDARD MOTOR PRODUCTS, INC.          EQUITY   853666105     103       6,846 SH        sole        1        6,846
STANDARD PACIFIC CORP.                 EQUITY   85375C101      39         690 SH        sole        1          690
STANDARD REGISTER CO.                  EQUITY   853887107     269      25,585 SH        sole        1       25,585
STANDEX INTERNATIONAL CORP.            EQUITY   854231107     163       6,644 SH        sole        1        6,644
STANLEY FURNITURE CO INC               EQUITY   854305208     134       3,046 SH        sole        1        3,046
STANLEY WORKS                          EQUITY   854616109    2507      58,945 SH        sole        1       58,945
STANLEY WORKS                          EQUITY   854616109       4          93 SH        defined     2                      93
STAPLES INC                            EQUITY   855030102     983      32,967 SH        defined     2                  32,967
Staples Inc. Com Stk USD.0006          EQUITY   855030102   55028   1,845,347 SH        sole        1    1,845,347
STAR SCIENTIFIC INC                    EQUITY   85517P101      83      13,966 SH        sole        1       13,966
STARBUCKS CORP                         EQUITY   855244109      21         453 SH        defined     2                     453
STARBUCKS CORP.                        EQUITY   855244109    9486     208,663 SH        sole        1      208,663
STARTEK INC                            EQUITY   85569C107     186       5,920 SH        sole        1        5,920
STARWOOD HOTELS & RESORTS  WW          EQUITY   85590A203    4308      92,806 SH        sole        1       92,806
STARWOOD HOTELS + RESORTS              EQUITY   85590A203    2796      60,237 SH        defined     2                  60,237
STATE AUTO FINANCIAL CORP.             EQUITY   855707105     212       7,337 SH        sole        1        7,337
STATE BANCORP INC                      EQUITY   855716106     100       4,403 SH        sole        1        4,403
STATE FINL SERVICES CORP-A             EQUITY   856855101      86       3,134 SH        sole        1        3,134
STATE STREET CORP.                     EQUITY   857477103    6107     142,993 SH        sole        1      142,993
STATE STREET CORPORATION               EQUITY   857477103      16         383 SH        defined     2                     383
STATION CASINOS INC                    EQUITY   857689103     701      14,300 SH        defined     2                  14,300
STATION CASINOS, INC.                  EQUITY   857689103      42         854 SH        sole        1          854
Statoil ASA - ADR                      EQUITY   85771P102     454      31,430 SH        sole        1       31,430





                                                                                             
STATS CHIPPAC LTD-ADR                  EQUITY   85771T104     262      43,742 SH        sole        1       43,742
STEEL DYNAMICS, INC.                   EQUITY   858119100     787      20,388 SH        sole        1       20,388
STEEL TECHNOLOGIES INC                 EQUITY   858147101     140       5,465 SH        sole        1        5,465
STEELCASE INC-CL A                     EQUITY   858155203      14         996 SH        sole        1          996
STEIN MART INC COM                     EQUITY   858375108       6     414,904 SH        sole        3      402,900            12,004
STEIN MART, INC.                       EQUITY   858375108     205      13,482 SH        sole        1       13,482
STEINWAY MUSICAL INSTRUMENTS           EQUITY   858495104   13699     503,640 SH        sole        1      503,640
STELLENT INC                           EQUITY   85856W105      85      11,054 SH        sole        1       11,054
STEPAN CO.                             EQUITY   858586100      68       2,876 SH        sole        1        2,876
STEREOTAXIS INC                        EQUITY   85916J102      29       3,004 SH        sole        1        3,004
STERICYCLE INC                         EQUITY   858912108    4457      97,100 SH        defined     2                  97,100
STERICYCLE INC COM                     EQUITY   858912108       1      32,500 SH        sole        3       25,700             6,800
STERICYCLE, INC.                       EQUITY   858912108    3525      76,796 SH        sole        1       76,796
STERIS CORP COM                        EQUITY   859152100    3305     150,638 SH        sole        1      150,638
STERLING BANCORP                       EQUITY   859158107     198       7,330 SH        sole        1        7,330
STERLING BANCSHARES, INC.              EQUITY   858907108     328      24,384 SH        sole        1       24,384
STERLING FINANCIAL CORP                EQUITY   859317109     314      11,704 SH        sole        1       11,704
STERLING FINL CORP WAS                 EQUITY   859319105     434      12,310 SH        sole        1       12,310
STEVEN MADDEN, LTD.                    EQUITY   556269108     112       6,321 SH        sole        1        6,321
STEWART & STEVENSON SERVICES           EQUITY   860342104     277      15,652 SH        sole        1       15,652
STEWART ENTERPRISES, INC.              EQUITY   860370105     407      58,498 SH        sole        1       58,498
STEWART INFORMATION SERVICES COM       EQUITY   860372101     365       9,269 SH        sole        1        9,269
STIFEL FINANCIAL CORP                  EQUITY   860630102      77       3,931 SH        sole        1        3,931
STILLWATER MINING CO.                  EQUITY   86074Q102     339      21,893 SH        sole        1       21,893
STONE ENERGY CORP.                     EQUITY   861642106     549      12,554 SH        sole        1       12,554
STONERIDGE, INC.                       EQUITY   86183P102     119       8,469 SH        sole        1        8,469
STORAGE TECHNOLOGY CORP.               EQUITY   862111200    4632     183,370 SH        sole        1      183,370
STRATASYS INC                          EQUITY   862685104     158       4,999 SH        sole        1        4,999
STRATEGIC HOTEL CAPITAL INC            EQUITY   86272T106     149      11,020 SH        sole        1       11,020
STRATEX NETWORKS INC                   EQUITY   86279T109     103      45,857 SH        sole        1       45,857
STRATTEC SEC CORP                      EQUITY   863111100     130       2,082 SH        sole        1        2,082
STRAYER EDUCATION, INC                 EQUITY   863236105     927       8,061 SH        sole        1        8,061
STRIDE RITE CORP.                      EQUITY   863314100     218      21,284 SH        sole        1       21,284
STRYKER CORP                           EQUITY   863667101   10696     222,457 SH        defined     2                 222,457
STRYKER CORP.                          EQUITY   863667101    8575     178,357 SH        sole        1      178,357
STUDENT LOAN CORP.                     EQUITY   863902102      11          78 SH        sole        1           78
STURM, RUGER & CO., INC.               EQUITY   864159108     104      11,539 SH        sole        1       11,539
SUBURBAN PROPANE PARTNERS LP           EQUITY   864482104    1629      47,230 SH        sole        1       47,230
SUFFOLK BANCORP                        EQUITY   864739107     179       5,931 SH        sole        1        5,931
SUMMIT PROPERTIES, INC.                EQUITY   866239106    3207     118,575 SH        sole        1      118,575
SUN BANCORP INC                        EQUITY   86663B102     116       5,296 SH        sole        1        5,296
SUN COMMUNITIES, INC.                  EQUITY   866674104    3031      77,340 SH        sole        1       77,340
SUN HEALTHCARE GROUP INC - W/I         EQUITY   866933401      22       2,793 SH        sole        1        2,793
SUN MICROSYSTEMS INC                   EQUITY   866810104      15       3,791 SH        defined     2                   3,791
SUN MICROSYSTEMS, INC.                 EQUITY   866810104    6294   1,558,012 SH        sole        1    1,558,012
SUNGARD DATA SYS INC                   EQUITY   867363103       8         329 SH        defined     2                     329
SUNGARD DATA SYSTEMS, INC.             EQUITY   867363103    3424     144,038 SH        sole        1      144,038
SUNOCO INC                             EQUITY   86764P109       6          86 SH        defined     2                      86
SUNOCO, INC.                           EQUITY   86764P109    2490      33,657 SH        sole        1       33,657
SUNOPTA INC                            EQUITY   8676EP108    1652     212,300 SH        defined     2                 212,300
SUNRISE SENIOR LIVING INC              EQUITY   86768K106     311       8,844 SH        sole        1        8,844
SUNTERRA CORP                          EQUITY   86787D208      96      10,104 SH        sole        1       10,104
SUNTRON CORP                           EQUITY   86789P100       7       1,329 SH        sole        1        1,329
SUNTRUST BANKS, INC.                   EQUITY   867914103   26946     382,697 SH        sole        1      382,697
SUNTRUST BKS INC                       EQUITY   867914103      23         322 SH        defined     2                     322
SUPERGEN, INC.                         EQUITY   868059106     149      24,130 SH        sole        1       24,130





                                                                                             
SUPERIOR ENERGY SERVICES, INC.         EQUITY   868157108     382      29,545 SH        sole        1       29,545
SUPERIOR INDUSTRIES INTL, INC.         EQUITY   868168105    1664      55,558 SH        sole        1       55,558
SUPERTEX INC                           EQUITY   868532102      94       4,861 SH        sole        1        4,861
SUPERVALU INC                          EQUITY   868536103       4         155 SH        defined     2                     155
SUPERVALU, INC.                        EQUITY   868536103    1670      60,631 SH        sole        1       60,631
SUPPORTSOFT INC                        EQUITY   868587106     193      19,768 SH        sole        1       19,768
SUPPORTSOFT INC                        EQUITY   868587106    6146     631,000 SH        defined     2                 631,000
SUREWEST COMMUNICATION                 EQUITY   868733106     228       7,940 SH        sole        1        7,940
SURMODICS INC                          EQUITY   868873100     184       7,727 SH        sole        1        7,727
SUSQUEHANNA BANCSHARES, INC.           EQUITY   869099101     617      25,093 SH        sole        1       25,093
SWIFT ENERGY CO.                       EQUITY   870738101     362      15,098 SH        sole        1       15,098
SWIFT TRANSPORTATION CO., INC.         EQUITY   870756103    2646     157,327 SH        sole        1      157,327
SWS GROUP INC                          EQUITY   78503N107     132       8,223 SH        sole        1        8,223
SYBASE, INC.                           EQUITY   871130100    2162     156,755 SH        sole        1      156,755
SYBRON DENTAL SPECIALTIES INC.         EQUITY   871142105     623      20,999 SH        sole        1       20,999
SYCAMORE NETWORKS, INC                 EQUITY   871206108     359      95,100 SH        sole        1       95,100
SYKES ENTERPRISES, INC.                EQUITY   871237103      63      13,628 SH        sole        1       13,628
SYMANTEC CORP                          EQUITY   871503108   12198     222,259 SH        defined     2                 222,259
SYMANTEC CORP COM                      EQUITY   871503108      11     199,600 SH        sole        3      193,400             6,200
SYMANTEC CORP.                         EQUITY   871503108    9103     165,879 SH        sole        1      165,879
SYMBION INC                            EQUITY   871507109      73       4,508 SH        sole        1        4,508
SYMBOL TECHNOLOGIES INC                EQUITY   871508107       3         273 SH        defined     2                     273
SYMBOL TECHNOLOGIES, INC.              EQUITY   871508107    1344     106,340 SH        sole        1      106,340
SYMMETRICOM, INC.                      EQUITY   871543104     231      24,448 SH        sole        1       24,448
SYMX TECHNOLOGIES INC.                 EQUITY   87155S108     361      15,329 SH        sole        1       15,329
SYNAPTICS INC                          EQUITY   87157D109     242      11,988 SH        sole        1       11,988
SYNAPTICS INC COM                      EQUITY   87157D109      14     675,780 SH        sole        3      656,200            19,580
SYNNEX CORP                            EQUITY   87162W100      63       3,569 SH        sole        1        3,569
SYNOPSYS INC.                          EQUITY   871607107    4218     267,632 SH        sole        1      267,632
SYNOVUS FINANCIAL CORP.                EQUITY   87161C105    4814     184,080 SH        sole        1      184,080
SYNOVUS FINL CORP                      EQUITY   87161C105       9         353 SH        defined     2                     353
SYNTEL, INC.                           EQUITY   87162H103      66       3,992 SH        sole        1        3,992
SYNTROLEUM CORPORATION                 EQUITY   871630109     107      15,291 SH        sole        1       15,291
SYPRIS SOLUTIONS INC                   EQUITY   871655106      50       3,677 SH        sole        1        3,677
SYSCO CORP                             EQUITY   871829107      22         729 SH        defined     2                     729
SYSCO CORP.                            EQUITY   871829107    9381     313,529 SH        sole        1      313,529
SYSTEMAX INC                           EQUITY   871851101      30       5,242 SH        sole        1        5,242
T ROWE PRICE GROUP INC.                EQUITY   74144T108    2866      56,258 SH        sole        1       56,258
TAKE-TWO INTERACTIVE SOFTWARE          EQUITY   874054109     798      24,299 SH        sole        1       24,299
TALBOTS INC                            EQUITY   874161102      10         417 SH        sole        1          417
TALISMAN ENERGY INC.                   EQUITY   87425E103    8219     316,800 SH        defined     1            0    316,800
TALK AMERICA HOLDINGS INC              EQUITY   87426R202      76      14,539 SH        sole        1       14,539
TALX CORP                              EQUITY   874918105     172       7,432 SH        sole        1        7,432
TANGER FACTORY OUTLET CTRS             EQUITY   875465106     856      19,117 SH        sole        1       19,117
TANOX INC                              EQUITY   87588Q109     218      12,927 SH        sole        1       12,927
TANOX INC                              EQUITY   87588Q109    1687     100,000 SH        defined     2                 100,000
TARGET CORP                            EQUITY   87612E106     608     100,000 SH        defined     2                 100,000
TARGET CORPORATION                     EQUITY   87612E106   54100   1,195,590 SH        sole        1    1,195,590
TARRAGON CORP                          EQUITY   876287103      47       3,640 SH        sole        1        3,640
TASER INTERNATIONAL INC                EQUITY   87651B104     493      13,118 SH        sole        1       13,118
TAUBMAN CENTERS, INC.                  EQUITY   876664103    8904     344,700 SH        sole        1      344,700
TAYLOR CAPITAL GROUP INC               EQUITY   876851106      51       2,117 SH        sole        1        2,117
TBC CORP.                              EQUITY   872180104     241      10,779 SH        sole        1       10,779
TCF FINANCIAL CORP.                    EQUITY   872275102    6976     230,312 SH        sole        1      230,312
TECH DATA CORP.                        EQUITY   878237106    3690      95,716 SH        sole        1       95,716
TECHE CORP.                            EQUITY   878377100     855      22,391 SH        sole        1       22,391





                                                                                              
TECHNICAL OLYMPIC USA INC              EQUITY   878483106     141       5,008 SH        sole        1        5,008
TECHNITROL, INC.                       EQUITY   878555101     429      21,979 SH        sole        1       21,979
TECO ENERGY INC                        EQUITY   872375100       3         227 SH        defined     2                     227
TECO ENERGY, INC.                      EQUITY   872375100   12088     893,391 SH        sole        1      893,391
TECUMSEH PRODUCTS CO. CLASS A          EQUITY   878895200    1640      39,160 SH        sole        1       39,160
TEJON RANCH CO.                        EQUITY   879080109     155       4,125 SH        sole        1        4,125
TEKELEC                                EQUITY   879101103     451      27,027 SH        sole        1       27,027
TEKELEC INC                            EQUITY   879101103    5166     309,700 SH        defined     2                 309,700
TEKTRONIX INC                          EQUITY   879131100       3          96 SH        defined     2                      96
TEKTRONIX, INC.                        EQUITY   879131100    1569      47,189 SH        sole        1       47,189
TELE CENTRO OESTE CELULAR  S.A. ADR    EQUITY   87923P105     245      24,000 SH        sole        1       24,000
Telebras - Spons ADR Pfd Block         EQUITY   879287308     349       5,500 SH        sole        1        5,500
TELECOM DE CHILE SPONS ADR             EQUITY   204449300     222      20,000 SH        sole        1       20,000
TELEDYNE TECHOLOGIES INC               EQUITY   879360105     443      17,686 SH        sole        1       17,686
TELEFLEX INC.                          EQUITY   879369106    2820      66,357 SH        sole        1       66,357
TELEFONOS DE MEXIC ADR-EACH            EQUITY   879403780    6574     183,300 SH        sole        1      183,300
TELEPHONE AND DATA SYSTEMS             EQUITY   879433100    7933      94,248 SH        sole        1       94,248
TELETECH HOLDINGS                      EQUITY   879939106     194      20,498 SH        sole        1       20,498
TELEWEST GLOBAL INC                    EQUITY   87956T107   13335   1,147,597 SH        sole        1    1,147,597
TELEWEST GLOBAL INC                    EQUITY   87956T107    3438     295,912 SH        defined     2                 295,912
TELIK INC                              EQUITY   87959M109     531      23,802 SH        sole        1       23,802
TELIK INC COM                          EQUITY   87959M109       9     423,040 SH        sole        3      414,400             8,640
TELLABS INC                            EQUITY   879664100       4         474 SH        defined     2                     474
TEMPLE INLAND INC                      EQUITY   879868107     662       9,864 SH        defined     2                   9,864
TEMPLE-INLAND INC.                     EQUITY   879868107    1664      24,778 SH        sole        1       24,778
TEMPUR-PEDIC INTERNATIONAL             EQUITY   88023U101     154      10,243 SH        sole        1       10,243
TENARIS SA-ADR                         EQUITY   88031M109    2545      57,379 SH        sole        1       57,379
TENET HEALTHCARE CORP.                 EQUITY   88033G100    2243     207,854 SH        sole        1      207,854
TENNANT CO.                            EQUITY   880345103     168       4,137 SH        sole        1        4,137
TENNECO AUTOMOTIVE INC                 EQUITY   880349105     299      22,823 SH        sole        1       22,823
TERADYNE INC                           EQUITY   880770102       3         221 SH        defined     2                     221
TERADYNE, INC.                         EQUITY   880770102    1365     101,862 SH        sole        1      101,862
TERAYON COMMUNICATION                  EQUITY   880775101      80      37,631 SH        sole        1       37,631
TERCICA INC                            EQUITY   88078L105      28       3,100 SH        sole        1        3,100
TEREX CORP.                            EQUITY   880779103    1166      26,859 SH        sole        1       26,859
TERRA INDS INC COM                     EQUITY   880915103       3     384,000 SH        sole        3      384,000
TERRA INDUSTRIES, INC.                 EQUITY   880915103     184      21,259 SH        sole        1       21,259
TERREMARK WORLDWIDE INC                EQUITY   881448104     105     163,542 SH        sole        1      163,542
TESORO PETROLEUM CORP.                 EQUITY   881609101    1054      35,694 SH        sole        1       35,694
TESSERA TECHNOLOGIES INC               EQUITY   88164L100     519      23,497 SH        sole        1       23,497
TETRA TECH, INC.                       EQUITY   88162G103     386      30,451 SH        sole        1       30,451
TETRA TECHNOLOGIES, INC.               EQUITY   88162F105     377      12,155 SH        sole        1       12,155
TEVA PHARMACEUTCL INDS (ADR)           EQUITY   881624209       1      37,600 SH        sole        3       37,600
TEVA PHARMACEUTICAL ADR                EQUITY   881624209    2306      88,880 SH        sole        1       88,880
TEVA PHARMACEUTICAL INDS L             EQUITY   881624209    4249     163,720 SH        defined     2                 163,720
TEXAS CAPITAL BANCSHARES INC           EQUITY   88224Q107     211      11,615 SH        sole        1       11,615
TEXAS GENCO HOLDINGS INC               EQUITY   882443104      14         307 SH        sole        1          307
TEXAS INDUSTRIES, INC.                 EQUITY   882491103     593      11,534 SH        sole        1       11,534
TEXAS INSTRS INC                       EQUITY   882508104   12264     576,298 SH        defined     2                 576,298
TEXAS INSTRUMENTS, INC.                EQUITY   882508104   16573     778,783 SH        sole        1      778,783
TEXAS REGIONAL BANCSHARES, INC CLASS   EQUITY   882673106     695      22,367 SH        sole        1       22,367
TEXTRON FINANCIAL CORP                 EQUITY   883203101    3941      61,319 SH        sole        1       61,319
TEXTRON INC                            EQUITY   883203101      10         158 SH        defined     2                     158
THE GENLYTE GROUP, INC.                EQUITY   372302109     426       6,619 SH        sole        1        6,619
THE ST JOE COMPANY                     EQUITY   790148100      54       1,134 SH        sole        1        1,134
THE ST PAUL TRAVELERS COS              EQUITY   792860108      25         762 SH        defined     2                     762





                                                                                             
THE STEAK N SHAKE COMPANY              EQUITY   857873103     226      13,238 SH        sole        1       13,238
THE TITAN CORPORATION                  EQUITY   888266103    2558     183,113 SH        sole        1      183,113
THE YANKEE CANDLE CO.                  EQUITY   984757104     784      27,080 SH        sole        1       27,080
THERMO ELECTRON CORP                   EQUITY   883556102       5         186 SH        defined     2                     186
THERMO ELECTRON CORP.                  EQUITY   883556102    2777     102,788 SH        sole        1      102,788
THERMOGENESIS CORP                     EQUITY   883623209     117      24,302 SH        sole        1       24,302
THIRD WAVE TECHNOLOGIES                EQUITY   88428W108     105      15,293 SH        sole        1       15,293
THOMAS & BETTS CORP.                   EQUITY   884315102    3436     128,109 SH        sole        1      128,109
THOMAS INDUSTRIES, INC.                EQUITY   884425109     248       7,903 SH        sole        1        7,903
THOMAS NELSON                          EQUITY   640376109     107       5,466 SH        sole        1        5,466
THOR INDUSTRIES, INC.                  EQUITY   885160101    2978     112,504 SH        sole        1      112,504
THORATEC LABORATORIES CORP.            EQUITY   885175307     265      27,499 SH        sole        1       27,499
THORNBURG MORTGAGE INC.                EQUITY   885218107    8723     300,687 SH        sole        1      300,687
THQ INC                                EQUITY   872443403     404      20,735 SH        sole        1       20,735
TIBCO SOFTWARE INC                     EQUITY   88632Q103      36       4,253 SH        sole        1        4,253
TIDEWATER INC                          EQUITY   886423102    2279      70,000 SH        defined     2                  70,000
TIDEWATER, INC.                        EQUITY   886423102    4870     149,612 SH        sole        1      149,612
TIER TECHNOLOGIES INC                  EQUITY   88650Q100      87       9,035 SH        sole        1        9,035
TIERONE CORP                           EQUITY   88650R108     230       9,963 SH        sole        1        9,963
TIFFANY & CO.                          EQUITY   886547108    2008      65,309 SH        sole        1       65,309
TIFFANY + CO NEW                       EQUITY   886547108      20         637 SH        defined     2                     637
TIMBERLAND COMPANY                     EQUITY   887100105    3296      58,031 SH        sole        1       58,031
TIME WARNER INC                        EQUITY   887317105   66778   4,137,428 SH        sole        1    4,137,428
TIME WARNER INC NEW                    EQUITY   887317105   26310   1,629,784 SH        defined     2               1,629,784
TIME WARNER TELECOM                    EQUITY   887319101     130      27,035 SH        sole        1       27,035
TIMKEN CO.                             EQUITY   887389104      35       1,411 SH        sole        1        1,411
TIPPINGPOINT TECHNOLOGIES              EQUITY   888011103      43       1,783 SH        sole        1        1,783
TITANIUM METALS CORPORATION            EQUITY   888339207      84       3,569 SH        sole        1        3,569
TIVO INC                               EQUITY   888706108     165      24,864 SH        sole        1       24,864
TIVO INC                               EQUITY   888706108     492      74,300 SH        defined     2                  74,300
TJX COMPANIES, INC.                    EQUITY   872540109    4637     210,377 SH        sole        1      210,377
TJX COS INC NEW                        EQUITY   872540109     515      23,357 SH        defined     2                  23,357
TLC VISION CORP                        EQUITY   872549100    2609     299,200 SH        defined     1            0    299,200
TNS INC                                EQUITY   872960109      47       2,422 SH        sole        1        2,422
TODCO                                  EQUITY   88889T107    3741     215,600 SH        defined     2                 215,600
TODCO CL A                             EQUITY   88889T107      14     792,296 SH        sole        3      766,300            25,996
TODCO-CL A                             EQUITY   88889T107     114       6,570 SH        sole        1        6,570
TOLL BROTHERS INC COM                  EQUITY   889478103      12     258,154 SH        sole        3      247,000            11,154
TOLL BROTHERS, INC.                    EQUITY   889478103    5685     122,717 SH        sole        1      122,717
TOMPKINS TRUSTCO INC                   EQUITY   890110109     182       3,942 SH        sole        1        3,942
TOO INC                                EQUITY   890333107     339      18,751 SH        sole        1       18,751
TOOTSIE ROLL INDUSTRIES, INC.          EQUITY   890516107    2507      85,798 SH        sole        1       85,798
TOPPS CO. INC.                         EQUITY   890786106     189      19,313 SH        sole        1       19,313
TORCHMARK CORP.                        EQUITY   891027104    2607      49,017 SH        sole        1       49,017
TORCHMARK INC                          EQUITY   891027104     219       4,125 SH        defined     2                   4,125
TORO CO.                               EQUITY   891092108     901      13,189 SH        sole        1       13,189
TORONTO DOMINION BK                    EQUITY   891160509    7005     192,100 SH        defined     1            0    192,100
TOTAL SYSTEM SERVICE                   EQUITY   891906109      20         798 SH        sole        1          798
TOWER AUTOMOTIVE, INC.                 EQUITY   891707101      66      31,618 SH        sole        1       31,618
TOWN & COUNTRY TRUST                   EQUITY   892081100     292      11,469 SH        sole        1       11,469
TOYS R US INC                          EQUITY   892335100       4         244 SH        defined     2                     244
TOYS R US INC.                         EQUITY   892335100    1693      95,425 SH        sole        1       95,425
TRACTOR SUPPLY CO                      EQUITY   892356106     533      16,945 SH        sole        1       16,945
TRADESTATION GROUP INC                 EQUITY   89267P105      63      10,226 SH        sole        1       10,226
TRAMMELL CROW CO.                      EQUITY   89288R106     280      17,822 SH        sole        1       17,822
TRANS WORLD ENTERTAINMENT CORP         EQUITY   89336Q100     124      12,656 SH        sole        1       12,656





                                                                                              
TRANSACT TECHNOLOGIES INC              EQUITY   892918103     120       4,654 SH        sole        1        4,654
TRANSACTION SYSTEMS ARCHITECTS CLASS   EQUITY   893416107    1512      81,359 SH        sole        1       81,359
TRANSATLANTIC HOLDINGS INC             EQUITY   893521104 2124686  39,092,662 SH        sole        1   39,092,662
TRANSATLANTIC HOLDINGS INC             EQUITY   893521104      29         540 SH        sole        1          540
TRANSKARYOTIC THERAPIES, INC.          EQUITY   893735100     283      15,960 SH        sole        1       15,960
TRANSMETA CORP                         EQUITY   89376R109     102      81,135 SH        sole        1       81,135
TRANSMONTAIGNE, INC.                   EQUITY   893934109      69      11,824 SH        sole        1       11,824
TRANSOCEAN INC                         EQUITY   G90078109    7407     207,026 SH        sole        1      207,026
TRANSOCEAN INC                         EQUITY   G90078109    9290     259,655 SH        defined     2                 259,655
TRANSOCEAN INC ORD                     EQUITY   G90078109       3      93,200 SH        sole        3       93,200
TRAVELZOO INC                          EQUITY   89421Q106      44         843 SH        sole        1          843
TRC COS INC                            EQUITY   872625108      93       4,951 SH        sole        1        4,951
TREDEGAR CORP.                         EQUITY   894650100     275      15,091 SH        sole        1       15,091
TREX COMPANY, INC.                     EQUITY   89531P105     248       5,598 SH        sole        1        5,598
TRIAD GUARANTY, INC.                   EQUITY   895925105     282       5,079 SH        sole        1        5,079
TRIAD HOSPITALS, INC.                  EQUITY   89579K109    4362     126,669 SH        sole        1      126,669
TRIARC COS-B                           EQUITY   895927309     223      19,446 SH        sole        1       19,446
TRIBUNE CO NEW                         EQUITY   896047107      15         363 SH        defined     2                     363
TRIBUNE CO.                            EQUITY   896047107    5686     138,173 SH        sole        1      138,173
TRICO BANCSHARES                       EQUITY   896095106     128       6,101 SH        sole        1        6,101
TRIDENT MICROSYSTEMS COM               EQUITY   895919108       1      98,884 SH        sole        3       91,100             7,784
TRIDENT MICROSYSTEMS INC               EQUITY   895919108     103      10,208 SH        sole        1       10,208
TRIMBLE NAVIGATION LTD.                EQUITY   896239100     872      27,599 SH        sole        1       27,599
TRIMERIS INC                           EQUITY   896263100     128       8,499 SH        sole        1        8,499
Trinity Biotech PLC ADR                EQUITY   896438108     957     320,000 SH        sole        1      320,000
TRINITY INDUSTRIES, INC.               EQUITY   896522109    3020      96,877 SH        sole        1       96,877
TRIPATH IMAGIN INC                     EQUITY   896942109     123      14,983 SH        sole        1       14,983
TRIPATH TECHNOLOGY                     EQUITY   89672P104      32      18,631 SH        sole        1       18,631
TRIQUINT SEMICONDUCTOR, INC.           EQUITY   89674K103    1162     297,950 SH        sole        1      297,950
TRITON PCS HOLDINGS                    EQUITY   89677M106      53      20,789 SH        sole        1       20,789
TRIUMPH GROUP, INC.                    EQUITY   896818101     292       8,639 SH        sole        1        8,639
TRIZEC PROPERTIES INC                  EQUITY   89687P107     303      18,997 SH        sole        1       18,997
TRIZETTO GROUP INC                     EQUITY   896882107     100      17,071 SH        sole        1       17,071
TRUSTCO BANK CORP. NY                  EQUITY   898349105     520      40,535 SH        sole        1       40,535
TRUSTMARK CORP.                        EQUITY   898402102     797      25,628 SH        sole        1       25,628
TRW AUTOMOTIVE HOLDINGS CORP           EQUITY   87264S106       9         468 SH        sole        1          468
TTM TECHONOLOGIES                      EQUITY   87305R109     197      22,200 SH        sole        1       22,200
TUESDAY MORNING CORPORATION            EQUITY   899035505     433      14,020 SH        sole        1       14,020
TUMBLEWEED COMMUNICATIONS CP           EQUITY   899690101      66      25,975 SH        sole        1       25,975
TUPPERWARE CORP.                       EQUITY   899896104    2102     123,820 SH        sole        1      123,820
TXU CORP                               EQUITY   873168108    6349     132,485 SH        sole        1      132,485
TXU CORP                               EQUITY   873168108      16         338 SH        defined     2                     338
TYCO INTERNATIONAL, LTD.               EQUITY   902124106   32376   1,055,964 SH        sole        1    1,055,964
TYCO INTL LTD                          EQUITY   902124106   22843     745,035 SH        defined     2                 745,035
TYLER TECHNOLOGIES INC                 EQUITY   902252105     177      20,000 SH        sole        1       20,000
TYSON FOODS, INC. CLASS A              EQUITY   902494103    9284     579,522 SH        sole        1      579,522
U S XPRESS ENTERPRISES                 EQUITY   90338N103      58       3,133 SH        sole        1        3,133
U.S. BANCORP, INC.                     EQUITY   902973304   60494   2,093,202 SH        sole        1    2,093,202
U.S. RESTAURANT PROPERTIES INC         EQUITY   902971100     251      14,847 SH        sole        1       14,847
U.S.B. HOLDING CO., INC.               EQUITY   902910108     159       6,271 SH        sole        1        6,271
UBIQUITEL INC                          EQUITY   903474302     153      38,327 SH        sole        1       38,327
UCBH HOLDINGS INC                      EQUITY   90262T308      35         906 SH        sole        1          906
UGI CORP.                              EQUITY   902681105      38       1,024 SH        sole        1        1,024
UICI                                   EQUITY   902737105     673      20,561 SH        sole        1       20,561
UIL HOLDINGS CORP.                     EQUITY   902748102     334       6,794 SH        sole        1        6,794
ULTICOM INC                            EQUITY   903844108      83       5,637 SH        sole        1        5,637





                                                                                             
ULTIMATE SOFTWARE GROUP INC            EQUITY   90385D107     110       8,932 SH        sole        1        8,932
ULTRALIFE BATTERIES INC                EQUITY   903899102      78       7,649 SH        sole        1        7,649
ULTRATECH , INC.                       EQUITY   904034105     181      11,545 SH        sole        1       11,545
UMB FINANCIAL CORP.                    EQUITY   902788108     392       8,218 SH        sole        1        8,218
UMPQUA HOLDINGS CORP                   EQUITY   904214103     538      23,827 SH        sole        1       23,827
UNIFIRST CORP.                         EQUITY   904708104     141       4,927 SH        sole        1        4,927
UNION BANKSHARES CORP                  EQUITY   905399101     147       4,726 SH        sole        1        4,726
UNION PAC CORP                         EQUITY   907818108     404       6,895 SH        defined     2                   6,895
UNION PACIFIC CORP.                    EQUITY   907818108    6462     110,265 SH        sole        1      110,265
UNIONBANCAL CORP                       EQUITY   908906100      69       1,159 SH        sole        1        1,159
UNISOURCE ENERGY CORP.                 EQUITY   909205106     453      18,602 SH        sole        1       18,602
UNISYS CORP                            EQUITY   909214108       4         382 SH        defined     2                     382
UNISYS CORP.                           EQUITY   909214108    1622     157,188 SH        sole        1      157,188
UNIT CORP.                             EQUITY   909218109     721      20,548 SH        sole        1       20,548
UNITED AUTO GROUP, INC.                EQUITY   909440109     262      10,434 SH        sole        1       10,434
UNITED BANKSHARES INC. WV              EQUITY   909907107     707      20,400 SH        sole        1       20,400
UNITED CMNTY BKS BLAIR                 EQUITY   90984P105     376      15,495 SH        sole        1       15,495
UNITED COMMUNITY FINANCIAL CO          EQUITY   909839102     167      14,711 SH        sole        1       14,711
UNITED DEFENSE INDS COM                EQUITY   91018B104      14     359,856 SH        sole        3      344,400            15,456
UNITED DEFENSE INDS IN                 EQUITY   91018B104      40         989 SH        sole        1          989
UNITED DOMINION REALTY TRUST           EQUITY   910197102    4471     225,479 SH        sole        1      225,479
UNITED FIRE & CASUALTY CO.             EQUITY   910331107     225       3,923 SH        sole        1        3,923
UNITED INDL CORP COM                   EQUITY   910671106       3      80,000 SH        sole        3       80,000
UNITED INDUSTRIAL CORP                 EQUITY   910671106     190       5,783 SH        sole        1        5,783
UNITED MOBILE HOMES INC                EQUITY   911024107      14         960 SH        sole        1          960
UNITED NATURAL FOODS, INC.             EQUITY   911163103     574      21,574 SH        sole        1       21,574
UNITED ONLINE INC                      EQUITY   911268100     279      29,005 SH        sole        1       29,005
UNITED PANAM FINANCIAL CORP            EQUITY   911301109      45       2,515 SH        sole        1        2,515
UNITED PARCEL SERVICE CLASS -B         EQUITY   911312106   42719     562,683 SH        sole        1      562,683
UNITED PARCEL SVC INC                  EQUITY   911312106   28863     380,173 SH        defined     2                 380,173
UNITED RENTALS, INC.                   EQUITY   911363109    2385     150,093 SH        sole        1      150,093
UNITED STATES STEEL CORP               EQUITY   912909108    1900      50,512 SH        sole        1       50,512
UNITED STATIONERS, INC.                EQUITY   913004107     800      18,444 SH        sole        1       18,444
UNITED STS STL CORP NEW                EQUITY   912909108       5         129 SH        defined     2                     129
UNITED SURGICAL PARTNE                 EQUITY   913016309     526      15,316 SH        sole        1       15,316
UNITED TECHNOLOGIES CORP               EQUITY   913017109   30702     328,783 SH        defined     2                 328,783
UNITED TECHNOLOGIES CORP.              EQUITY   913017109   43255     463,218 SH        sole        1      463,218
UNITED THERAPEUTICS CORP.              EQUITY   91307C102     360      10,295 SH        sole        1       10,295
UNITEDGLOBALCOM INC. CLASS A           EQUITY   913247508      54       7,178 SH        sole        1        7,178
UNITEDHEALTH GROUP INC                 EQUITY   91324P102   23513     318,868 SH        sole        1      318,868
UNITEDHEALTH GROUP INC                 EQUITY   91324P102     385       5,223 SH        defined     2                   5,223
UNITRIN, INC.                          EQUITY   913275103    4675     112,465 SH        sole        1      112,465
UNIVERSAL AMER FINANCIAL CORP          EQUITY   913377107     186      14,402 SH        sole        1       14,402
UNIVERSAL COMPRESSION HLDGS            EQUITY   913431102     319       9,371 SH        sole        1        9,371
UNIVERSAL CORP.                        EQUITY   913456109    2473      55,397 SH        sole        1       55,397
UNIVERSAL DISPLAY CORP.                EQUITY   91347P105      95      11,333 SH        sole        1       11,333
UNIVERSAL ELECTRONICS INC.             EQUITY   913483103     123       7,349 SH        sole        1        7,349
UNIVERSAL FOREST PRODUCTS, INC         EQUITY   913543104     294       8,588 SH        sole        1        8,588
UNIVERSAL HEALTH REALTY INCOME         EQUITY   91359E105     234       7,727 SH        sole        1        7,727
UNIVERSAL HEALTH SERVICES - B          EQUITY   913903100    4168      95,810 SH        sole        1       95,810
UNIVERSAL TECHNICAL INSTITUT           EQUITY   913915104     232       7,700 SH        sole        1        7,700
UNIVEST CORP OF PENNSYLVANIA           EQUITY   915271100     169       4,135 SH        sole        1        4,135
UNIVISION COMMUNICATIONS I             EQUITY   914906102     350      11,068 SH        defined     2                  11,068
UNIVISION COMMUNICATIONS, INC.         EQUITY   914906102    4493     142,140 SH        sole        1      142,140
UNIZAN FINANCIAL CORP                  EQUITY   91528W101     327      11,855 SH        sole        1       11,855
UNOCAL CORP                            EQUITY   915289102      13         302 SH        defined     2                     302





                                                                                               
UNOCAL CORP.                           EQUITY   915289102    5739     133,467 SH        sole        1      133,467
UNOVA, INC.                            EQUITY   91529B106     367      26,119 SH        sole        1       26,119
UNUMPROVIDENT CORP                     EQUITY   91529Y106       5         338 SH        defined     2                     338
UNUMPROVIDENT CORP.                    EQUITY   91529Y106    3277     208,848 SH        sole        1      208,848
URBAN OUTFITTERS INC                   EQUITY   917047102    4207     122,300 SH        defined     2                 122,300
URBAN OUTFITTERS, INC.                 EQUITY   917047102    4540     131,980 SH        sole        1      131,980
UROLOGIX INC                           EQUITY   917273104      48       7,658 SH        sole        1        7,658
URS CORP.                              EQUITY   903236107     456      17,086 SH        sole        1       17,086
URSTADT BIDDLE [A]                     EQUITY   917286205     207      13,578 SH        sole        1       13,578
US AIRWAYS GROUP INC-CL A              EQUITY   911905503       8      10,236 SH        sole        1       10,236
US BANCORP DEL                         EQUITY   902973304   13264     458,973 SH        defined     2                 458,973
US CELLULAR                            EQUITY   911684108    6675     238,121 SH        sole        1          559
US CONCRETE INC                        EQUITY   90333L102      71      11,517 SH        sole        1       11,517
USANA HEALTH SCIENCES INC              EQUITY   90328M107     199       5,724 SH        sole        1        5,724
USEC, INC                              EQUITY   90333E108     474      45,678 SH        sole        1       45,678
USF CORP                               EQUITY   91729Q101     542      15,100 SH        sole        1       15,100
USG CORP.                              EQUITY   903293405     320      17,553 SH        sole        1       17,553
USI HOLDINGS CORP                      EQUITY   90333H101     262      19,205 SH        sole        1       19,205
UST INC                                EQUITY   902911106       8         188 SH        defined     2                     188
UST INC.                               EQUITY   902911106    2961      73,549 SH        sole        1       73,549
UTSTARCOM INC                          EQUITY   918076100    3019     187,398 SH        sole        1      187,398
V F CORP                               EQUITY   918204108       6         126 SH        defined     2                     126
V. F. CORP.                            EQUITY   918204108    2407      48,669 SH        sole        1       48,669
VAIL RESORTS, INC.                     EQUITY   91879Q109     193      10,693 SH        sole        1       10,693
VALANCE TECHNOLOGY, INC                EQUITY   918914102     102      29,533 SH        sole        1       29,533
VALASSIS COMMUNICATIONS, INC.          EQUITY   918866104    3336     112,785 SH        sole        1      112,785
VALEANT PHARMACEUTICALS INTE           EQUITY   91911X104    4401     182,444 SH        sole        1      182,444
VALERO ENERGY CORP                     EQUITY   91913Y100      12         146 SH        defined     2                     146
VALERO ENERGY CORP.                    EQUITY   91913Y100    4579      57,082 SH        sole        1       57,082
VALHI INC                              EQUITY   918905100      83       5,532 SH        sole        1        5,532
VALLEY NATIONAL BANC                   EQUITY   919794107      53       2,069 SH        sole        1        2,069
VALMONT INDUSTRIES, INC.               EQUITY   920253101     164       7,836 SH        sole        1        7,836
VALSPAR CORP.                          EQUITY   920355104    3952      84,672 SH        sole        1       84,672
VALUE LINE, INC.                       EQUITY   920437100      28         745 SH        sole        1          745
VALUECLICK INC.                        EQUITY   92046N102     407      43,074 SH        sole        1       43,074
VALUEVISION MEDIA INC                  EQUITY   92047K107     131       9,789 SH        sole        1        9,789
VARCO INTERNATIONAL                    EQUITY   922122106    4467     166,542 SH        sole        1      166,542
VARIAN MEDICAL SYSTEMS INC             EQUITY   92220P105    7746     224,059 SH        sole        1      224,059
VARIAN SEMICONDUCTOR EQUIPMENT         EQUITY   922207105     611      19,777 SH        sole        1       19,777
VARIAN, INC.                           EQUITY   922206107    2859      75,489 SH        sole        1       75,489
VCA ANTECH INC                         EQUITY   918194101      28       1,346 SH        sole        1        1,346
VECTOR GROUP LTD.                      EQUITY   92240M108     809      53,829 SH        sole        1       53,829
VECTREN CORP                           EQUITY   92240G101    3158     125,403 SH        sole        1      125,403
VEECO INSTRUMENTS, INC.                EQUITY   922417100     295      14,076 SH        sole        1       14,076
VENTANA MEDICAL SYSTEMS, INC.          EQUITY   92276H106    1357      26,896 SH        sole        1       26,896
VENTAS, INC.                           EQUITY   92276F100     292      11,261 SH        sole        1       11,261
VENTIV HEALTH                          EQUITY   922793104     171      10,060 SH        sole        1       10,060
VERINT SYSTEMS                         EQUITY   92343X100     235       6,367 SH        sole        1        6,367
VERISIGN INC                           EQUITY   92343E102    4994     251,200 SH        defined     2                 251,200
VERISIGN INC COM                       EQUITY   92343E102       3     164,400 SH        sole        3      164,400
VERISIGN, INC.                         EQUITY   92343E102     450      22,654 SH        sole        1       22,654
VERITAS DGC, INC.                      EQUITY   92343P107     422      18,528 SH        sole        1       18,528
VERITAS SOFTWARE CORP                  EQUITY   923436109       9         493 SH        defined     2                     493
VERITAS SOFTWARE CORP.                 EQUITY   923436109    4374     245,717 SH        sole        1      245,717
VERITY INC COM                         EQUITY   92343C106     209      16,217 SH        sole        1       16,217
VERIZON COMMUNICATIONS                 EQUITY   92343V104  109150   2,771,713 SH        sole        1    2,771,713





                                                                                               
Verizon Communications                 EQUITY   92343V104    1575      40,000 SH        sole        4       40,000
VERIZON COMMUNICATIONS                 EQUITY   92343V104   15296     388,408 SH        defined     2                 388,408
VERSO TECHNOLOGIES INC                 EQUITY   925317109      69      72,410 SH        sole        1       72,410
VERTEX PHARMACEUTICALS, INC.           EQUITY   92532F100    1819     173,224 SH        sole        1      173,224
VESTA INSURANCE GROUP, INC.            EQUITY   925391104      88      19,650 SH        sole        1       19,650
VIACOM INC                             EQUITY   925524308     844      25,163 SH        defined     2                  25,163
VIACOM INC CLASS A                     EQUITY   925524100      30         890 SH        defined     2                     890
VIACOM, INC. CLASS B                   EQUITY   925524308   28890     860,837 SH        sole        1      860,837
VIAD CORP                              EQUITY   92552R406      11         459 SH        sole        1          459
VIASAT, INC.                           EQUITY   92552V100     228      11,345 SH        sole        1       11,345
VIASYS HEALTHCARE INC                  EQUITY   92553Q209     281      16,770 SH        sole        1       16,770
VICOR CORP.                            EQUITY   925815102     105      10,415 SH        sole        1       10,415
VICURON PHARMACEUTICALS                EQUITY   926471103     375      25,524 SH        sole        1       25,524
VIGNETTE CORPORATION                   EQUITY   926734104     209     157,295 SH        sole        1      157,295
VIISAGE TECHNOLOGY INC                 EQUITY   92675K106      86      15,004 SH        sole        1       15,004
VINTAGE PETROLEUM, INC.                EQUITY   927460105     556      27,697 SH        sole        1       27,697
VION PHARMACEUTICALS INC               EQUITY   927624106     127      30,156 SH        sole        1       30,156
VIRGINIA COMMERCE BANCORP              EQUITY   92778Q109     100       3,713 SH        sole        1        3,713
VIRGINIA FINL CORP                     EQUITY   927810101     127       3,901 SH        sole        1        3,901
VISHAY INTERTECHNOLOGY, INC.           EQUITY   928298108    3531     273,710 SH        sole        1      273,710
VISTACARE INC-CL A                     EQUITY   92839Y109      75       4,901 SH        sole        1        4,901
VISTEON CORP                           EQUITY   92839U107       1         148 SH        defined     2                     148
VISTEON CORP.                          EQUITY   92839U107    1004     125,595 SH        sole        1      125,595
VISX, INC.                             EQUITY   92844S105    2205     107,040 SH        sole        1      107,040
VITAL SIGNS, INC.                      EQUITY   928469105      98       3,057 SH        sole        1        3,057
VITESSE SEMICONDUCTOR CORP.            EQUITY   928497106     323     118,249 SH        sole        1      118,249
VOLT INFORMATION SCIENCES INC.         EQUITY   928703107     124       4,313 SH        sole        1        4,313
VOLTERRA SEMICONDUCTOR CORP            EQUITY   928708106      31       2,463 SH        sole        1        2,463
Volvo AB-Sponsored ADR USD             EQUITY   928856400     401      11,370 SH        sole        1       11,370
VORNADO                                EQUITY   929042109    1017      16,230 SH        sole        1       16,230
VOTORANTIM CELULOSE - SPON ADR         EQUITY   92906P106    4238     122,674 SH        sole        1      122,674
VULCAN MATERIALS CO.                   EQUITY   929160109    2320      45,543 SH        sole        1       45,543
VULCAN MATLS CO                        EQUITY   929160109       6         117 SH        defined     2                     117
W HOLDING COMPANY INC.                 EQUITY   929251106      28       1,478 SH        sole        1        1,478
W. R. BERKLEY CORP.                    EQUITY   084423102    5839     138,486 SH        sole        1      138,486
W. W. GRAINGER, INC.                   EQUITY   384802104    2321      40,264 SH        sole        1       40,264
Wabash National Corp                   EQUITY   929566107     275      10,000 SH        sole        4       10,000
WABASH NATIONAL CORP.                  EQUITY   929566107     405      14,757 SH        sole        1       14,757
WABTEC                                 EQUITY   929740108     404      21,638 SH        sole        1       21,638
WACHOVIA CORP                          EQUITY   929903102   94102   1,991,489 SH        sole        1    1,991,489
Wachovia Corp                          EQUITY   929566107    1878      40,000 SH        sole        4       40,000
WACHOVIA CORP 2ND NEW                  EQUITY   929903102    4258      90,692 SH        defined     2                  90,692
WADDELL & REED FINANCIAL, INC.         EQUITY   930059100    2998     136,270 SH        sole        1      136,270
WAL MART STORES INC                    EQUITY   931142103   26636     500,686 SH        defined     2                 500,686
WAL MART STORES INC COM                EQUITY   931142103       2      29,700 SH        sole        3       29,700
WALGREEN CO                            EQUITY   931422109      42       1,168 SH        defined     2                   1,168
WALGREEN CO.                           EQUITY   931422109   15571     434,588 SH        sole        1      434,588
WAL-MART STORES, INC.                  EQUITY   931142103  120574   2,266,421 SH        sole        1    2,266,421
WALT DISNEY                            EQUITY   254687106   24605   1,091,132 SH        sole        1    1,091,132
WALTER INDUSTRIES, INC.                EQUITY   93317Q105     224      13,969 SH        sole        1       13,969
WARNACO GROUP INC                      EQUITY   934390402     556      25,008 SH        sole        1       25,008
WASHINGTON FEDERAL I                   EQUITY   938824109    3256     129,452 SH        sole        1      129,452
WASHINGTON GROUP INTL INC              EQUITY   938862208     476      13,737 SH        sole        1       13,737
WASHINGTON MUT INC                     EQUITY   939322103     434      11,095 SH        defined     2                  11,095
WASHINGTON MUTUAL INC                  EQUITY   939322103   14508     371,235 SH        sole        1      371,235
WASHINGTON POST CO. CLASS B            EQUITY   939640108   14366      15,615 SH        sole        1       15,615





                                                                                             
WASHINGTON REAL ESTATE INV.            EQUITY   939653101     833      27,503 SH        sole        1       27,503
WASHINGTON TRUST BANCORP, INC.         EQUITY   940610108     188       7,206 SH        sole        1        7,206
WASTE CONNECTIONS INC                  EQUITY   941053100    6853     216,320 SH        defined     2                 216,320
WASTE CONNECTIONS, INC.                EQUITY   941053100     828      26,148 SH        sole        1       26,148
WASTE MANAGEMENT, INC.                 EQUITY   94106L109   12722     465,312 SH        sole        1      465,312
WASTE MGMT INC DEL                     EQUITY   94106L109      18         661 SH        defined     2                     661
WATCHGUARD TECH. INC.                  EQUITY   941105108      85      18,231 SH        sole        1       18,231
WATCHGUARD TECHNOLOGIES IN             EQUITY   941105108    2440     521,300 SH        defined     2                 521,300
WATER PIK TECHNOLOGIES INC             EQUITY   94113U100      81       5,408 SH        sole        1        5,408
WATERS CORP                            EQUITY   941848103       6         135 SH        defined     2                     135
WATERS CORP.                           EQUITY   941848103    2851      64,651 SH        sole        1       64,651
WATSCO, INC.                           EQUITY   942622200     364      12,128 SH        sole        1       12,128
WATSON PHARMACEUTICALS INC             EQUITY   942683103     451      15,325 SH        defined     2                  15,325
WATSON PHARMACEUTICALS, INC            EQUITY   942683103    2336      79,291 SH        sole        1       79,291
WATSON WYATT & CO HOLDINGS             EQUITY   942712100     461      17,544 SH        sole        1       17,544
WATTS WATER TECHNOLOGIES INC., CLASS   EQUITY   942749102     351      13,059 SH        sole        1       13,059
WAUSAU-MOSINEE PAPER CORP.             EQUITY   943315101     414      24,877 SH        sole        1       24,877
WAYPOINT FINANCIAL CORP.               EQUITY   946756103     449      16,302 SH        sole        1       16,302
WCI COMMUNITIES INC                    EQUITY   92923C104     430      18,437 SH        sole        1       18,437
WD-40 CO.                              EQUITY   929236107     266       9,298 SH        sole        1        9,298
WEATHERFORDNINTL LTD                   EQUITY   G95089101   11097     217,500 SH        sole        1      217,500
WEBEX COMMUNICATIONS INC (USD)         EQUITY   94767L109     358      16,412 SH        sole        1       16,412
WEBEX COMMUNICATNS INC COM             EQUITY   94767L109       5     239,300 SH        sole        3      227,500            11,800
WEBMD CORPORATION                      EQUITY   94769M105      45       6,537 SH        sole        1        6,537
WEBMETHODS INC                         EQUITY   94768C108     134      25,201 SH        sole        1       25,201
WEBSENSE INC                           EQUITY   947684106     521      12,496 SH        sole        1       12,496
WEBSENSE INC                           EQUITY   947684106      22     530,535 SH        sole        3      510,619            19,916
WEBSTER FINANCIAL CORP.                EQUITY   947890109    4326      87,589 SH        sole        1       87,589
WEIGHT WATCHERS                        EQUITY   948626106      22         575 SH        defined     2                     575
WEIGHT WATCHERS INTL INC               EQUITY   948626106      34         875 SH        sole        1          875
WEINGARTEN REALTY INVESTORS            EQUITY   948741103     371      11,237 SH        sole        1       11,237
WEIS MARKETS INC                       EQUITY   948849104     523      15,428 SH        sole        1       15,428
WELLCARE HEALTH PLANS INC              EQUITY   94946T106      93       4,928 SH        sole        1        4,928
WELLCHOICE INC                         EQUITY   949475107      17         455 SH        sole        1          455
WELLMAN, INC.                          EQUITY   949702104     147      17,373 SH        sole        1       17,373
WELLPOINT HEALTH NETWORKS              EQUITY   94973H108      19         179 SH        defined     2                     179
WELLPOINT HEALTH NETWORKS INC.         EQUITY   94973H108   13689     130,260 SH        sole        1      130,260
WELLS FARGO + CO NEW                   EQUITY   949746101   13424     225,125 SH        defined     2                 225,125
WELLS FARGO CO.                        EQUITY   949746101   52140     874,395 SH        sole        1      874,395
WENDY'S INTERNATIONAL, INC.            EQUITY   950590109    1707      50,800 SH        sole        1       50,800
WENDYS INTL INC                        EQUITY   950590109       4         129 SH        defined     2                     129
WERNER ENTERPRISES, INC.               EQUITY   950755108    2999     155,321 SH        sole        1      155,321
WESBANCO, INC.                         EQUITY   950810101     279       9,606 SH        sole        1        9,606
WESCO FINANCIAL CORP                   EQUITY   950817106       9          26 SH        sole        1           26
WESCO INTERNATIONAL, INC.              EQUITY   95082P105     237       9,768 SH        sole        1        9,768
WEST BANCORPORATION                    EQUITY   95123P106     154       9,187 SH        sole        1        9,187
WEST COAST BANCORP                     EQUITY   952145100     171       8,193 SH        sole        1        8,193
WEST CORPORATION                       EQUITY   952355105      12         411 SH        sole        1          411
WEST MARINE INC                        EQUITY   954235107     156       7,310 SH        sole        1        7,310
WEST PHARMACEUTICAL SERVICES           EQUITY   955306105     337      16,152 SH        sole        1       16,152
WESTAMERICA BANKCORPORATION            EQUITY   957090103    3787      68,996 SH        sole        1       68,996
WESTAR ENERGY                          EQUITY   95709T100    2861     141,613 SH        sole        1      141,613
WESTCORP                               EQUITY   957907108      21         501 SH        sole        1          501
WESTELL TECHNOLOGIES INC-A             EQUITY   957541105     139      26,812 SH        sole        1       26,812
WESTERN DIGITIAL CORP.                 EQUITY   958102105      38       4,280 SH        sole        1        4,280
WESTERN GAS RESOURCES, INC.            EQUITY   958259103    3467     121,271 SH        sole        1      121,271





                                                                                              
WESTERN SIERRA BANCORP                 EQUITY   959522103     116       3,486 SH        sole        1        3,486
WESTERN WIRELESS CORP. CLASS A         EQUITY   95988E204      42       1,625 SH        sole        1        1,625
WESTFIELD FINANCIAL IN                 EQUITY   96008D101      63       2,656 SH        sole        1        2,656
WESTLAKE CHEM CORP COM                 EQUITY   960413102      10     440,700 SH        sole        3      433,100             7,600
WESTLAKE CHEMICAL CORP                 EQUITY   960413102     143       6,411 SH        sole        1        6,411
WESTWOOD ONE, INC.                     EQUITY   961815107    3164     160,023 SH        sole        1      160,023
WEYCO GROUP INC                        EQUITY   962149100      55       1,479 SH        sole        1        1,479
WEYERHAEUSER CO                        EQUITY   962166104      18         273 SH        defined     2                     273
WEYERHAEUSER CO.                       EQUITY   962166104    6783     102,024 SH        sole        1      102,024
WFS FINANCIAL, INC.                    EQUITY   92923B106       6         129 SH        sole        1          129
WGL HOLDINGS INC.                      EQUITY   92924F106    5177     183,204 SH        sole        1      183,204
W-H ENERGY SERVICES INC                EQUITY   92925E108     276      13,325 SH        sole        1       13,325
WHEATON RIVER MINERALS LTD             EQUITY   962902102    6492   2,066,800 SH        defined     1            0  2,066,800
WHEELING-PITTSBURG CORP                EQUITY   963142302     102       3,269 SH        sole        1        3,269
WHIRLPOOL CORP                         EQUITY   963320106       5          76 SH        defined     2                      76
WHIRLPOOL CORP.                        EQUITY   963320106    1786      29,718 SH        sole        1       29,718
WHITE MOUNTAINS INS GROUP              EQUITY   G9618E107     368         700 SH        defined     2                     700
WHITING PETROLEUM CORP                 EQUITY   966387102     330      10,840 SH        sole        1       10,840
WHITNEY HOLDING CORP.                  EQUITY   966612103      36         862 SH        sole        1          862
WHOLE FOODS MARKET I                   EQUITY   966837106    9190     107,124 SH        sole        1      107,124
WILD OATS MARKETS, INC.                EQUITY   96808B107     134      15,496 SH        sole        1       15,496
WILLIAMS COMPANIES, INC.               EQUITY   969457100    2818     232,882 SH        sole        1      232,882
WILLIAMS COS INC                       EQUITY   969457100       7         595 SH        defined     2                     595
WILLIAMS SONOMA INC                    EQUITY   969904101   14806     394,300 SH        defined     2                 394,300
WILLIAMS SONOMA INC COM                EQUITY   969904101       7     194,872 SH        sole        3      190,600             4,272
WILLIAMS-SONOMA, INC.                  EQUITY   969904101    7181     191,231 SH        sole        1      191,231
WILLIS GROUP HOLDINGS LTD              EQUITY   G96655108     337       9,000 SH        defined     2                   9,000
WILMINGTON TRUST CORP                  EQUITY   971807102    3965     109,489 SH        sole        1      109,489
WILSHIRE BANCORP INC                   EQUITY   97186T108     116       3,838 SH        sole        1        3,838
WILSON GREATBATCH TECHNOLOGIES         EQUITY   972232102     208      11,642 SH        sole        1       11,642
WIMM-BILL-DANN FOODS ADR               EQUITY   97263M109    1665     109,200 SH        sole        1      109,200
WIND RIVER SYSTEMS INC.                EQUITY   973149107    2099     172,078 SH        sole        1      172,078
WINDROSE MEDICAL PROPERTIES            EQUITY   973491103      15       1,130 SH        sole        1        1,130
WINN DIXIE STORES INC                  EQUITY   974280109       1         162 SH        defined     2                     162
WINN-DIXIE STORES, INC.                EQUITY   974280109     326     105,586 SH        sole        1      105,586
WINNEBAGO INDUSTRIES, INC.             EQUITY   974637100     490      14,141 SH        sole        1       14,141
WINSTON HOTELS INC                     EQUITY   97563A102     167      15,628 SH        sole        1       15,628
WINTRUST FINANCIAL CORP                EQUITY   97650W108     632      11,027 SH        sole        1       11,027
WINTRUST FINL CORP COM                 EQUITY   97650W108      15     263,966 SH        sole        3      258,500             5,466
WIRELESS FACILITIES INC.               EQUITY   97653A103     180      25,807 SH        sole        1       25,807
WISCONSIN ENERGY CORP.                 EQUITY   976657106    6193     194,142 SH        sole        1      194,142
WITNESS SYSTEMS INC                    EQUITY   977424100     180      11,183 SH        sole        1       11,183
WJ COMMUNICATIONS INC                  EQUITY   929284107      42      17,246 SH        sole        1       17,246
WM. WRIGLEY JR. CO.                    EQUITY   982526105    6032      95,276 SH        sole        1       95,276
WMS INDUSTRIES INC.                    EQUITY   929297109     272      10,580 SH        sole        1       10,580
WOLVERINE WORLD WIDE, INC.             EQUITY   978097103     546      21,661 SH        sole        1       21,661
WOODHEAD INDS INC COM                  EQUITY   979438108      91       6,596 SH        sole        1        6,596
WOODWARD GOVERNOR CO.                  EQUITY   980745103     357       5,288 SH        sole        1        5,288
WORLD ACCEPTANCE CORP.                 EQUITY   981419104     204       8,777 SH        sole        1        8,777
WORLD FUEL SVCS CORP                   EQUITY   981475106     219       6,109 SH        sole        1        6,109
WORLD WRESTLING ENTMNT                 EQUITY   98156Q108      89       7,271 SH        sole        1        7,271
WORTHINGTON INDS IN                    EQUITY   981811102    3220     150,800 SH        defined     2                 150,800
WORTHINGTON INDUSTRIES, INC.           EQUITY   981811102     821      38,445 SH        sole        1       38,445
WPS RESOURCES CORP.                    EQUITY   92931B106    2766      61,487 SH        sole        1       61,487
WRIGHT MED GROUP INC                   EQUITY   98235T107     364      14,471 SH        sole        1       14,471
WRIGLEY WM JR CO                       EQUITY   982526105   13542     213,906 SH        defined     2                 213,906





                                                                                             
WSFS FINANCIAL CORP                    EQUITY   929328102     164       3,270 SH        sole        1        3,270
WYETH                                  EQUITY   983024100   37308     997,535 SH        sole        1      997,535
WYETH                                  EQUITY   983024100     412      11,020 SH        defined     2                  11,020
WYNDHAM INTERNATIONAL, INC.            EQUITY   983101106     164     200,000 SH        sole        1      200,000
WYNN RESORTS LTD                       EQUITY   983134107      37         710 SH        sole        1          710
XCEL ENERGY INC                        EQUITY   98389B100       8         456 SH        defined     2                     456
XCEL STATES POWER-MINES                EQUITY   98389B100    3088     178,271 SH        sole        1      178,271
XEROX CORP                             EQUITY   984121103      13         956 SH        defined     2                     956
XEROX CORP.                            EQUITY   984121103    6012     426,975 SH        sole        1      426,975
XILINX INC                             EQUITY   983919101      11         396 SH        defined     2                     396
Xilinx Inc USD0.01                     EQUITY   983919101   27161  10,005,976 SH        sole        1    1,005,976
XL CAPITAL LTD                         EQUITY   G98255105    6178     113,838 SH        sole        1       65,786
XL CAPITAL LTD                         EQUITY   G98255105      12         158 SH        defined     2                     158
XM SATELLITE RADIO HLDGS I             EQUITY   983759101     546      17,600 SH        defined     2                  17,600
XM SATTELLITE RADIO HOLDINGS           EQUITY   983759101     105       3,370 SH        sole        1        3,370
X-RITE, INC.                           EQUITY   983857103     165      11,302 SH        sole        1       11,302
XTO ENERGY CORP COM                    EQUITY   98385X106       7     212,032 SH        sole        3      203,532             8,500
XTO ENERGY INC                         EQUITY   98385X106   13875     427,189 SH        sole        1      427,189
XTO ENERGY INC                         EQUITY   98385X106    7509     231,200 SH        defined     2                 231,200
XYBERNAUT CORP.                        EQUITY   984149104     108      96,354 SH        sole        1       96,354
YAHOO INC                              EQUITY   984332106   10355     305,361 SH        defined     2                 305,361
YAHOO!, INC.                           EQUITY   984332106   21885     645,381 SH        sole        1      645,381
YAMANA GOLD INC.                       EQUITY   98462Y100     514     200,000 SH        defined     1            0    200,000
YANKEE CANDLE INC                      EQUITY   984757104    4613     159,300 SH        defined     2                 159,300
YARDVILLE NATL BANCORP                 EQUITY   985021104     133       4,576 SH        sole        1        4,576
YELLOW ROADWAY CORP                    EQUITY   985577105      47       1,009 SH        sole        1        1,009
YORK INTERNATIONAL CORP.               EQUITY   986670107    2844      90,017 SH        sole        1       90,017
YOUNG BROADCASTING, INC. CLASS A       EQUITY   987434107      96       8,811 SH        sole        1        8,811
YOUNG INNOVATIONS INC                  EQUITY   987520103      85       2,561 SH        sole        1        2,561
YPF S.A.-Sponsored ADR                 EQUITY   984245100     265       9,000 SH        sole        1        9,000
Yum Brands Inc                         EQUITY   988498101    2033      50,000 SH        sole        4       50,000
YUM BRANDS INC                         EQUITY   988498101     371       9,131 SH        defined     2                   9,131
YUM! BRANDS INC                        EQUITY   988498101    5260     129,354 SH        sole        1      129,354
ZALE CORP.                             EQUITY   988858106     812      28,897 SH        sole        1       28,897
ZEBRA TECHNOLOGIES CORP. CLASS A       EQUITY   989207105    7195     117,939 SH        sole        1      117,939
ZEBRA TECHNOLOGIES CP CL A             EQUITY   989207105       6      93,975 SH        sole        3       93,975
ZENITH NATIONAL INSURANCE CORP         EQUITY   989390109     245       5,799 SH        sole        1        5,799
ZHONE TECHNOLOGIES INC NEW             EQUITY   98950P108      91      29,539 SH        sole        1       29,539
ZILA INC                               EQUITY   989513205     102      24,702 SH        sole        1       24,702
ZIMMER HOLDINGS INC                    EQUITY   98956P102    8434     106,709 SH        sole        1      106,709
ZIMMER HOLDINGS INC                    EQUITY   98956P102      22         279 SH        defined     2                     279
ZIONS BANCORP                          EQUITY   989701107       6         102 SH        defined     2                     102
ZIONS BANCORPORATION                   EQUITY   989701107    2441      39,983 SH        sole        1       39,983
ZIXIT CORP.                            EQUITY   98974P100      52      11,357 SH        sole        1       11,357
ZOLL MEDICAL CORP.                     EQUITY   989922109     167       5,011 SH        sole        1        5,011
ZORAN CORP COM                         EQUITY   98975F101      12     759,776 SH        sole        3      733,600            26,176
ZORAN CORP.                            EQUITY   98975F101     366      23,277 SH        sole        1       23,277
ZYGO CORP.                             EQUITY   989855101      99       9,734 SH        sole        1        9,734
ZYMOGENETICS INC                       EQUITY   98985T109     184      10,572 SH        sole        1       10,572