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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: December 31, 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        February 11, 2005
-------------------------------    ------------------------  -----------------
(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: $18,160,538 (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      94       4,262 SH        SOLE        1        4,262
1-800-FLOWERS.COM INC               EQUITY   68243Q106     109      13,009 SH        SOLE        1       13,009
1ST SOURCE CORP.                    EQUITY   336901103     176       6,913 SH        SOLE        1        6,913
21ST CENTURY INSURANCE COMPANY      EQUITY   90130N103  762860  53,445,620 SH        SOLE        1   53,445,620
21ST CENTURY INSURANCE COMPANY      EQUITY   90130N103     177      12,993 SH        SOLE        1       12,993
24/7 REAL MEDIA INC                 EQUITY   901314203      72      16,677 SH        SOLE        1       16,677
3COM CORP.                          EQUITY   885535104    2695     646,238 SH        SOLE        1      646,238
3M                                  EQUITY   88579Y101    2708      33,000 SH        SOLE        4       33,000
3M CO                               EQUITY   88579Y101   37637     458,601 SH        SOLE        1      458,601
3M CO                               EQUITY   88579Y101     106       1,295 SH        DEFINED     2                  1,295
4KIDS ENTERTAINMENT INC             EQUITY   350865101     171       8,122 SH        SOLE        1        8,122
7-ELEVEN INC.                       EQUITY   817826209      14         588 SH        SOLE        1          588
99 CENTS ONLY STORES                EQUITY   65440K106    2349     145,354 SH        SOLE        1      145,354
A C MOORE ARTS & CRAFT              EQUITY   00086T103     232       8,069 SH        SOLE        1        8,069
A.G. EDWARDS, INC.                  EQUITY   281760108    5620     130,067 SH        SOLE        1      130,067
A.S.V. INC                          EQUITY   001963107     219       4,582 SH        SOLE        1        4,582
AAMES INVESTMENT CORP               EQUITY   00253G108     229      21,434 SH        SOLE        1       21,434
AAON INC                            EQUITY   000360206      82       5,121 SH        SOLE        1        5,121
AAR CORP.                           EQUITY   000361105     258      18,930 SH        SOLE        1       18,930
AARON RENTS INC COM                 EQUITY   002535201       3      103702 SH        SOLE        3       101252              2450
AARON RENTS INC COM                 EQUITY   002535201       6     279,847 SH        SOLE        3      270,402             9,445
AARON RENTS, INC.                   EQUITY   002535201     557      22,271 SH        SOLE        1       22,271
ABAXIS INC                          EQUITY   002567105     149      10,258 SH        SOLE        1       10,258
ABBEY NATIONAL PLC                  CorpBond 002920809   39672   1,470,900 SH        SOLE        1        1,471
Abbey National PLC 7.375%           EQUITY   002920809    2840     105,000 SH        SOLE        4      105,000
ABBOTT LABORATORIES                 EQUITY   002824100   31222     669,280 SH        SOLE        1      669,280
ABBOTT LABS                         EQUITY   002824100   23556     504,943 SH        DEFINED     2                504,943
Abbott Labs                         EQUITY   002824100    1633      35,000 SH        SOLE        4       35,000
Abbott Labs                         EQUITY   002824100    1059      25,000 SH        SOLE        4       25,000
ABC BANCORP                         EQUITY   000400101     120       5,735 SH        SOLE        1        5,735
ABERCROMBIE & FITCH CO CL A         EQUITY   002896207       2       35100 SH        SOLE        3        35100
ABERCROMBIE AND FITCH CO.           EQUITY   002896207    6967     148,384 SH        SOLE        1      148,384
ABGENIX, INC.                       EQUITY   00339B107     493      47,718 SH        SOLE        1       47,718
ABIOMED, INC.                       EQUITY   003654100     138       8,945 SH        SOLE        1        8,945
ABLE LABORATORIES INC               EQUITY   00371N407     239      10,514 SH        SOLE        1       10,514
ABM INDUSTRIES, INC.                EQUITY   000957100     435      22,046 SH        SOLE        1       22,046
ACADIA REALTY TRUST                 EQUITY   004239109     308      18,922 SH        SOLE        1       18,922
ACCELRYS INC                        EQUITY   00430U103     121      15,494 SH        SOLE        1       15,494
Accenture Ltd Class A USD 0.00002   EQUITY   G1150G111   27483   1,017,820 SH        SOLE        1    1,017,820
ACCREDITED HOME LENDERS             EQUITY   00437P107     477       9,597 SH        SOLE        1        9,597
ACCREDO HEALTH INC.                 EQUITY   00437V104      31       1,120 SH        SOLE        1        1,120
ACE CASH EXPRESS INC                EQUITY   004403101     157       5,292 SH        SOLE        1        5,292
ACE LTD                             EQUITY   G0070K103    5336     124,823 SH        SOLE        1      124,823
ACE LTD                             EQUITY   G0070K103      14         323 SH        DEFINED     2                    323
ACETO CORP                          EQUITY   004446100     178       9,367 SH        SOLE        1        9,367
ACTEL CORP.                         EQUITY   004934105     265      15,114 SH        SOLE        1       15,114
ACTION PERFORMANCE CO., INC.        EQUITY   004933107     100       9,085 SH        SOLE        1        9,085
ACTIVCARD CORP                      EQUITY   00506J107     221      24,779 SH        SOLE        1       24,779
ACTIVISION, INC.                    EQUITY   004930202    4776     236,660 SH        SOLE        1      236,660
ACTUANT CORP                        EQUITY   00508X203     724      13,888 SH        SOLE        1       13,888
ACTUATE CORP.                       EQUITY   00508B102      77      30,363 SH        SOLE        1       30,363
ACUITY BRANDS INC                   EQUITY   00508Y102     795      25,001 SH        SOLE        1       25,001
ACXIOM CORP.                        EQUITY   005125109    3854     146,548 SH        SOLE        1      146,548
ADAPTEC, INC.                       EQUITY   00651F108     484      63,806 SH        SOLE        1       63,806
ADC TELECOMMUNICATIONS INC          EQUITY   000886101       2         919 SH        DEFINED     2                    919
ADC TELECOMMUNICATIONS, INC         EQUITY   000886101    1486     554,367 SH        SOLE        1      554,367
ADE CORP.                           EQUITY   00089C107     104       5,552 SH        SOLE        1        5,552





                                                                                             
ADESA INC                             EQUITY  00686U104    3313    156,138  SH       SOLE     1      156,138
ADMINISTAFF, INC.                     EQUITY  007094105     160     12,697  SH       SOLE     1       12,697
ADOBE SYS INC                         EQUITY  00724F101    6805    108,471  SH       DEFINED  2                   108,471
ADOBE SYSTEMS INC.                    EQUITY  00724F101   12591    200,690  SH       SOLE     1      200,690
ADOLOR CORPORATION                    EQUITY  00724X102     226     22,788  SH       SOLE     1       22,788
ADTRAN, INC.                          EQUITY  00738A106    2480    129,573  SH       SOLE     1      129,573
ADVANCE AUTO PARTS                    EQUITY  00751Y106    5465    125,116  SH       SOLE     1      125,116
Advance Auto Parts                    EQUITY  00751Y106    1310     30,000  SH       SOLE     4       30,000
ADVANCED DIGITAL INFO CORP.           EQUITY  007525108     378     37,681  SH       SOLE     1       37,681
ADVANCED ENERGY INDUSTRIES            EQUITY  007973100     114     12,436  SH       SOLE     1       12,436
ADVANCED MARKETING SERV. INC.         EQUITY  00753T105      84      8,359  SH       SOLE     1        8,359
ADVANCED MEDICAL OPTIC COM            EQUITY  00763M108       7     171894  SH       SOLE     3       168100                  3794
ADVANCED MICRO DEVICES COM            EQUITY  007903107       2      92300  SH       SOLE     3        90000                  2300
ADVANCED MICRO DEVICES, INC.          EQUITY  007903107    3800    172,586  SH       SOLE     1      172,586
ADVANCED NEUROMODULATION S            EQUITY  00757T101    5345    135,639  SH       DEFINED  2                   135,639
ADVANCES NEUROMODULATIONS SYS         EQUITY  00757T101     465     11,792  SH       SOLE     1       11,792
ADVANCIS PHARMACEUTICAL               EQUITY  00764L109      21      5,542  SH       SOLE     1        5,542
ADVANTA CORP [B]                      EQUITY  007942204     280     11,532  SH       SOLE     1       11,532
ADVENT SOFTWARE, INC.                 EQUITY  007974108    1404     68,561  SH       SOLE     1       68,561
ADVISORY BRD CO                       EQUITY  00762W107     383     10,392  SH       SOLE     1       10,392
ADVO, INC.                            EQUITY  007585102     635     17,813  SH       SOLE     1       17,813
AEROFLEX, INC                         EQUITY  007768104     469     38,737  SH       SOLE     1       38,737
AEROPOSTALE INC                       EQUITY  007865108    3707    125,946  SH       SOLE     1      125,946
AES CORP                              EQUITY  00130H105      10        737  SH       DEFINED  2                       737
AES DRAX ENERGY LTD                   EQUITY  00130H105    4645    339,799  SH       SOLE     1      339,799
AETNA INC                             EQUITY  00817Y108      21        168  SH       DEFINED  2                       168
AETNA INC-NEW                         EQUITY  00817Y108   33924    271,937  SH       SOLE     1      271,937
AFFILIATED COMPUTER SERVICES CLASS A  EQUITY  008190100    3870     64,293  SH       SOLE     1       64,293
AFFILIATED COMPUTER SVCS I            EQUITY  008190100       9        146  SH       DEFINED  2                       146
AFFILIATED MANAGERS CORP              EQUITY  008252108      14     206010  SH       SOLE     3       201500                  4510
AFFILIATED MANAGERS GROUP             EQUITY  008252108     969     14,302  SH       SOLE     1       14,302
AFFIRMATIVE INSURANCE HOLDIN          EQUITY  008272106      93      5,521  SH       SOLE     1        5,521
AFFORDABLE RESIDENTIAL COMMU          EQUITY  008273104     274     19,071  SH       SOLE     1       19,071
AFFYMETRIX INC                        EQUITY  00826T108      51      1,393  SH       SOLE     1        1,393
AFLAC INC                             EQUITY  001055102      23        575  SH       DEFINED  2                       575
AFLAC, INC.                           EQUITY  001055102   15770    395,821  SH       SOLE     1      395,821
AFTERMARKET TECHNOLOGY                EQUITY  008318107     111      6,869  SH       SOLE     1        6,869
AGCO CORP.                            EQUITY  001084102    3365    153,728  SH       SOLE     1      153,728
AGERE SYSTEMS INC-CL B W/I            EQUITY  00845V209      53     39,066  SH       SOLE     1       39,066
AGILE SOFTWARE CORP.                  EQUITY  00846X105     250     30,621  SH       SOLE     1       30,621
AGILENT TECHNOLOGIES INC              EQUITY  00846U101      13        552  SH       DEFINED  2                       552
AGILENT TECHNOLOGIES INC.             EQUITY  00846U101    5074    210,522  SH       SOLE     1      210,522
AGILYSYS INC                          EQUITY  00847J105     289     16,862  SH       SOLE     1       16,862
AGL RESOURCES, INC.                   EQUITY  001204106    5464    164,390  SH       SOLE     1      164,390
AIR PRODS + CHEMS INC                 EQUITY  009158106      15        258  SH       DEFINED  2                       258
AIR PRODUCTS AND CHEMICALS INC        EQUITY  009158106    5933    102,343  SH       SOLE     1      102,343
AIRGAS, INC.                          EQUITY  009363102    4269    161,050  SH       SOLE     1      161,050
AIRGATE PCS INC                       EQUITY  009367301    3186     89,500  SH       DEFINED  2                    89,500
AIRGATE PCS, INC.                     EQUITY  009367301   15199    426,935  SH       SOLE     1      426,935
AIRSPAN NETWORKS INC                  EQUITY  00950H102      98     18,068  SH       SOLE     1       18,068
AIRTRAN HOLDINGS, INC.                EQUITY  00949P108    2070    193,414  SH       SOLE     1      193,414
AK STEEL CORP.                        EQUITY  001547108     924     63,833  SH       SOLE     1       63,833
AKAMAI  TECHNOLOGIES  INC.            EQUITY  00971T101      32      2,464  SH       SOLE     1        2,464
AKSYS LTD                             EQUITY  010196103      26      4,731  SH       SOLE     1        4,731
ALABAMA NATIONAL BANCORP              EQUITY  010317105     497      7,676  SH       SOLE     1        7,676
ALADDIN KNOWLEDGE SYS ORD (F)         EQUITY  M0392N101      12     496040  SH       SOLE     3       490200                  5840
ALAMOSA HOLDINGS INC.                 EQUITY  011589108     540     43,335  SH       SOLE     1       43,335
ALASKA AIR GROUP, INC.                EQUITY  011659109    2092     62,455  SH       SOLE     1       62,455
ALASKA COMM. SYS. HLDGS., INC.        EQUITY  01167P101      50      5,771  SH       SOLE     1        5,771





                                                                                            
ALBANY INTERNATIONAL CORP. CLASS A    EQUITY  012348108     541     15,394  SH       SOLE     1       15,394
ALBANY MOLECULAR                      EQUITY  012423109     152     13,637  SH       SOLE     1       13,637
ALBEMARLE CORP.                       EQUITY  012653101    3430     88,599  SH       SOLE     1       88,599
ALBERTO CULVER CO                     EQUITY  013068101       5        103  SH       DEFINED  2                       103
ALBERTO-CULVER CO. CLASS B            EQUITY  013068101    2202     45,341  SH       SOLE     1       45,341
ALBERTSONS INC                        EQUITY  013104104   12324    516,085  SH       DEFINED  2                   516,085
ALBERTSON'S, INC.                     EQUITY  013104104    3954    165,589  SH       SOLE     1      165,589
ALCOA INC                             EQUITY  013817101      31        989  SH       DEFINED  2                       989
ALCOA, INC.                           EQUITY  013817101   12822    408,096  SH       SOLE     1      408,096
ALDERWOODS GROUP INC                  EQUITY  014383103     267     23,486  SH       SOLE     1       23,486
ALERIS INTERNATIONAL INC              EQUITY  014477103     136      8,010  SH       SOLE     1        8,010
ALEXANDER & BALDWIN, INC.             EQUITY  014482103    4096     96,559  SH       SOLE     1       96,559
ALEXANDER'S, INC.                     EQUITY  014752109     240      1,116  SH       SOLE     1        1,116
ALEXANDRIA REAL ESTATE EQUITIE        EQUITY  015271109    1008     13,551  SH       SOLE     1       13,551
ALEXION PHARMACEUTICLAS, INC.         EQUITY  015351109     400     15,864  SH       SOLE     1       15,864
ALFA CORP.                            EQUITY  015385107     294     19,384  SH       SOLE     1       19,384
ALICO INC                             EQUITY  016230104     123      2,103  SH       SOLE     1        2,103
ALIGN TECHNOLOGY INC                  EQUITY  016255101     328     30,556  SH       SOLE     1       30,556
ALKERMES INC                          EQUITY  01642T108     742     52,637  SH       SOLE     1       52,637
ALLEGHANY CORP                        EQUITY  017175100      34        119  SH       SOLE     1          119
ALLEGHENY ENERGY INC                  EQUITY  017361106       3        156  SH       DEFINED  2                       156
ALLEGHENY ENERGY, INC.                EQUITY  017361106    1216     61,694  SH       SOLE     1       61,694
ALLEGHENY TECHNOLOGIES INC            EQUITY  01741R102       2        109  SH       DEFINED  2                       109
ALLEGHENY TECHNOLOGIES, INC.          EQUITY  01741R102    2353    108,561  SH       SOLE     1      108,561
ALLERGAN INC                          EQUITY  018490102      12        149  SH       DEFINED  2                       149
ALLERGAN, INC.                        EQUITY  018490102   21130    260,635  SH       SOLE     1      260,635
ALLETE INC.                           EQUITY  018522300      27        729  SH       SOLE     1          729
ALLIANCE DATA SYS CORP COM            EQUITY  018581108       6     129098  SH       SOLE     3       127100                  1998
ALLIANCE DATA SYSTEMS                 EQUITY  018581108    6554    138,038  SH       SOLE     1      138,038
ALLIANCE GAMING CORP                  EQUITY  01859P609     417     30,193  SH       SOLE     1       30,193
ALLIANCE IMAGING INC                  EQUITY  018606202      83      7,386  SH       SOLE     1        7,386
ALLIANCE SEMICONDUCTOR CORP.          EQUITY  01877H100      44     11,978  SH       SOLE     1       11,978
ALLIANT ENERGY CORP.                  EQUITY  018802108    5621    196,554  SH       SOLE     1      196,554
ALLIANT TECHSYSTEMS INC               EQUITY  018804104    4190     64,088  SH       SOLE     1       64,088
ALLIANT TECHSYSTEMS INC               EQUITY  018804104   22811    348,900  SH       DEFINED  2                   348,900
ALLIED CAPITAL CORP                   EQUITY  01903Q108      82      3,181  SH       SOLE     1        3,181
ALLIED WASTE INDUSTRIES IN            EQUITY  019589308       3        362  SH       DEFINED  2                       362
ALLIED WASTE INDUSTRIES, INC.         EQUITY  019589308    1319    142,081  SH       SOLE     1      142,081
ALLMERICA FINANCIAL CORP              EQUITY  019754100    2975     90,614  SH       SOLE     1       90,614
ALLOS THERAPEUTICS INC                EQUITY  019777101      20      8,294  SH       SOLE     1        8,294
ALLOY ONLINE, INC                     EQUITY  019855105     156     19,330  SH       SOLE     1       19,330
ALLSCRIPTS HEALTHCARE SOLUTION        EQUITY  01988P108     171     16,064  SH       SOLE     1       16,064
ALLSTATE CORP                         EQUITY  020002101    4049     78,280  SH       DEFINED  2                    78,280
ALLSTATE CORP.                        EQUITY  020002101   33240    642,691  SH       SOLE     1      642,691
ALLTEL CORP                           EQUITY  020039103      20        345  SH       DEFINED  2                       345
ALLTEL CORP.                          EQUITY  020039103    8466    144,084  SH       SOLE     1      144,084
ALPHARMA INC. CLASS A                 EQUITY  020813101     391     23,062  SH       SOLE     1       23,062
ALTERA CORP                           EQUITY  021441100       9        423  SH       DEFINED  2                       423
ALTERA CORP.                          EQUITY  021441100    4205    203,155  SH       SOLE     1      203,155
ALTIRIS INC                           EQUITY  02148M100     432     12,203  SH       SOLE     1       12,203
ALTRIA GROUP INC                      EQUITY  02209S103   87873  1,438,180  SH       SOLE     1    1,438,180
ALTRIA GROUP INC                      EQUITY  02209S103   25318    414,375  SH       DEFINED  2                   414,375
Altria Group Inc                      EQUITY  02209S103    1528     25,000  SH       SOLE     4       25,000
ALVARION LTD SHS (F)                  EQUITY  M0861T100      12     917310  SH       SOLE     3       904900                 12410
AMAZON                                EQUITY  023135106      40        905  SH       DEFINED  2                       905
AMAZON.COM, INC.                      EQUITY  023135106     844     19,060  SH       SOLE     1       19,060
AMB PPTY CORP                         EQUITY  00163T109               9250  SH       SOLE     3                               9250
AMB PROPERTY CORP                     EQUITY  00163T109    6078    150,492  SH       SOLE     1      150,492
AMBAC FINANCIAL GROUP INC.            EQUITY  023139108    4408     53,665  SH       SOLE     1       53,665





                                                                                             
AMBAC FINL GROUP INC                  EQUITY  023139108      10        124  SH        DEFINED  2                       124
AMBASSADORS GROUP INC                 EQUITY  023177108     167      4,701  SH        SOLE     1        4,701
AMCOL INTERNATIONAL CORP.             EQUITY  02341W103     254     12,641  SH        SOLE     1       12,641
AMCORE FINANCIAL, INC.                EQUITY  023912108     474     14,729  SH        SOLE     1       14,729
AMDOCS LIMITED                        EQUITY  G02602103    3367    128,260  SH        SOLE     1      128,260
AMEDISYS INC                          EQUITY  023436108     250      7,720  SH        SOLE     1        7,720
AMEDISYS INC COM                      EQUITY  023436108       2      70500  SH        SOLE     3        70500
AMERADA HESS CORP                     EQUITY  023551104    4566     55,424  SH        SOLE     1       55,424
AMERADA HESS CORP                     EQUITY  023551104       9        104  SH        DEFINED  2                       104
AMERCO, INC.                          EQUITY  023586100     251      5,464  SH        SOLE     1        5,464
Ameren                                EQUITY  023608102    5014    100,000  SH        SOLE     4      100,000
AMEREN CORP                           EQUITY  023608102      11        221  SH        DEFINED  2                       221
AMEREN CORP.                          EQUITY  023608102    4393     87,614  SH        SOLE     1       87,614
AMERICA FIRST APARTMENT INV           EQUITY  02363X104      14      1,180  SH        SOLE     1        1,180
AMERICA MOVIL SA ADR EACH R           EQUITY  02364W105    8834    171,990  SH        SOLE     1      171,990
AMERICA SERVICE GROUP INC             EQUITY  02364L109     167      6,241  SH        SOLE     1        6,241
AMERICAN AXLE & MFG HOLDINGS          EQUITY  024061103      27        877  SH        SOLE     1          877
AMERICAN CAMPUS COMMUNITIES           EQUITY  024835100     160      7,101  SH        SOLE     1        7,101
AMERICAN CAP. STRATEGIES, INC.        EQUITY  024937104      65      1,961  SH        SOLE     1        1,961
AMERICAN EAGLE OUTFITTERS             EQUITY  02553E106    5885    124,947  SH        SOLE     1      124,947
AMERICAN ECOLOGY CORP COM NEW         EQUITY  025533407       3     215200  SH        SOLE     3       215200
AMERICAN ELEC PWR INC                 EQUITY  025537101      15        450  SH        DEFINED  2                       450
AMERICAN ELECTRIC POWER, INC.         EQUITY  025537101    7277    211,920  SH        SOLE     1      211,920
AMERICAN EQUITY INVT LIFE HL          EQUITY  025676206     136     12,623  SH        SOLE     1       12,623
AMERICAN EXPRESS CO                   EQUITY  025816109   26390    468,167  SH        DEFINED  2                   468,167
AMERICAN EXPRESS CO.                  EQUITY  025816109   49579    879,530  SH        SOLE     1      879,530
AMERICAN FINANCIAL GROUP, INC.        EQUITY  025932104    3905    124,718  SH        SOLE     1      124,718
AMERICAN FINANCIAL REALTY TR          EQUITY  02607P305    1241     76,726  SH        SOLE     1       76,726
AMERICAN FINL REALTY                  EQUITY  02607P305              12340  SH        SOLE     3                              12340
AMERICAN FIRST MORTGAGE INVES         EQUITY  55272X102     596     67,530  SH        SOLE     1       67,530
AMERICAN GREETINGS CORP. CLASS A      EQUITY  026375105    3855    152,090  SH        SOLE     1      152,090
AMERICAN HEALTHWAYS INC               EQUITY  02649V104     561     16,982  SH        SOLE     1       16,982
AMERICAN HOME MORTGAGE INVESTMENT COR EQUITY  02660R107    2396     69,970  SH        SOLE     1       69,970
AMERICAN INTL GROUP INC               EQUITY  026874107     194      2,960  SH        DEFINED  2                     2,960
AMERICAN INTL GRP INC COM             EQUITY  026874107  153931  2,344,009  SH        SOLE     1    2,344,009
AMERICAN ITALIAN PASTA CO. CLASS A    EQUITY  027070101     219      9,419  SH        SOLE     1        9,419
AMERICAN LAND LEASE INC               EQUITY  027118108      18        820  SH        SOLE     1          820
AMERICAN MEDICAL SYSTEMS HOLDI        EQUITY  02744M108    1255     30,025  SH        SOLE     1       30,025
AMERICAN NATIONAL IN                  EQUITY  028591105      20        196  SH        SOLE     1          196
AMERICAN PHARMACEUTICA                EQUITY  02886P109      17        442  SH        SOLE     1          442
AMERICAN PHYSICIANS CAPITAL IN        EQUITY  028884104     180      4,995  SH        SOLE     1        4,995
AMERICAN POWER CONVERSION             EQUITY  029066107    2118     98,982  SH        SOLE     1       98,982
AMERICAN PWR CONVERSION CO            EQUITY  029066107       5        217  SH        DEFINED  2                       217
AMERICAN SCIENCE &ENGR COM            EQUITY  029429107       5     109200  SH        SOLE     3       109200
AMERICAN STANDARD COMPANIES           EQUITY  029712106    3927     95,039  SH        SOLE     1       95,039
AMERICAN STATES WATER CO.             EQUITY  029899101     254      9,787  SH        SOLE     1        9,787
AMERICAN STD COS INC DEL              EQUITY  029712106      10        244  SH        DEFINED  2                       244
AMERICAN SUPERCONDUCTOR CORP          EQUITY  030111108     213     14,320  SH        SOLE     1       14,320
AMERICAN TOWER CORP                   EQUITY  029912201   46811  2,576,099  SH        SOLE     1    2,576,099
AMERICAN VANGUARD CORP                EQUITY  030371108     108      2,937  SH        SOLE     1        2,937
AMERICAN WEST HOLDINGS CORP. CLASS B  EQUITY  023657208     136     20,620  SH        SOLE     1       20,620
AMERICAN WOODMARK CORP.               EQUITY  030506109     275      6,286  SH        SOLE     1        6,286
AMERICANWEST BANCORPORATION           EQUITY  03058P109     121      5,994  SH        SOLE     1        5,994
AMERICA'S CAR-MART INC                EQUITY  03062T105     125      3,297  SH        SOLE     1        3,297
AMERICREDIT CORP.                     EQUITY  03060R101    6467    264,494  SH        SOLE     1      264,494
AMERIGROUP CORP                       EQUITY  03073T102    1099     14,530  SH        SOLE     1       14,530
AMERISOURCEBERGEN CO                  EQUITY  03073E105    4667     79,530  SH        SOLE     1       79,530
AMERISOURCEBERGEN CORP                EQUITY  03073E105       7        119  SH        DEFINED  2                       119
AMERISTAR CASINOS                     EQUITY  03070Q101     289      6,695  SH        SOLE     1        6,695





                                                                                             
AMERITRADE HLDG CORP COM              EQUITY  03074K100       2     127300  SH       SOLE     3        120900                  6400
AMERITRADE HLDG CORP NEW              EQUITY  03074K100    7127    501,200  SH       DEFINED  2                    501,200
AMERITRADE HOLDING CORP - CL A        EQUITY  03074K100      77      5,445  SH       SOLE     1         5,445
AMERN EAGLE OUTFIT NEW COM            EQUITY  02553E106       3      55364  SH       SOLE     3         54800                   564
AMERON, INC.                          EQUITY  030710107     183      4,824  SH       SOLE     1         4,824
AMERUS GROUP CO.                      EQUITY  03072M108    4022     88,790  SH       SOLE     1        88,790
AMETEK INC NEW                        EQUITY  031100100   10334    289,700  SH       DEFINED  2                    289,700
AMETEK, INC.                          EQUITY  031100100    4159    116,592  SH       SOLE     1       116,592
AMGEN INC                             EQUITY  031162100   21045    328,059  SH       DEFINED  2                    328,059
AMGEN INC COM                         EQUITY  031162100       1      22900  SH       SOLE     3         22900
AMGEN, INC.                           EQUITY  031162100   93953  1,472,403  SH       SOLE     1     1,472,403
AMIS HOLDINGS INC                     EQUITY  031538101     303     18,320  SH       SOLE     1        18,320
AMKOR TECHNOLOGY, INC                 EQUITY  031652100      15      2,235  SH       SOLE     1         2,235
AMLI RESIDENTIAL PROPERTIES           EQUITY  001735109     566     17,697  SH       SOLE     1        17,697
AMN HEALTHCARE SERVICE                EQUITY  001744101     107      6,734  SH       SOLE     1         6,734
AMPHENOL CORP. CLASS A                EQUITY  032095101    5513    150,068  SH       SOLE     1       150,068
AMR CORP.                             EQUITY  001765106    9034    825,003  SH       SOLE     1       825,003
Amsouth Bancorp                       EQUITY  032165102    1813     70,000  SH       SOLE     4        70,000
AMSOUTH BANCORPORATION                EQUITY  032165102    4136    159,691  SH       SOLE     1       159,691
AMSOUTH BANCORPORATION                EQUITY  032165102      10        404  SH       DEFINED  2                        404
AMSURG CORP CL A                      EQUITY  03232P405     524     17,754  SH       SOLE     1        17,754
AMYLIN PHARMACEUTICALS, INC.          EQUITY  032346108      51      2,172  SH       SOLE     1         2,172
ANADARKO PETE CORP                    EQUITY  032511107      18        281  SH       DEFINED  2                        281
ANADARKO PETROLEUM CORP.              EQUITY  032511107    7302    112,661  SH       SOLE     1       112,661
ANALOG DEVICES INC                    EQUITY  032654105    8382    227,027  SH       DEFINED  2                    227,027
ANALOG DEVICES, INC.                  EQUITY  032654105   11069    298,380  SH       SOLE     1       298,380
ANALOGIC CORP.                        EQUITY  032657207     301      6,721  SH       SOLE     1         6,721
ANAREN INC                            EQUITY  032744104     150     11,539  SH       SOLE     1        11,539
ANCHOR BANCORP WISCONSIN, INC.        EQUITY  032839102     337     11,555  SH       SOLE     1        11,555
ANCHOR GLASS CONTAINER CORP           EQUITY  03304B300      39      5,774  SH       SOLE     1         5,774
ANDREW CORP                           EQUITY  034425108    6321    463,783  SH       DEFINED  2                    463,783
ANDREW CORP.                          EQUITY  034425108   23176  1,700,351  SH       SOLE     1     1,700,351
ANDRX GROUP                           EQUITY  034553107      37      1,684  SH       SOLE     1         1,684
ANGELICA CORP                         EQUITY  034663104     142      5,247  SH       SOLE     1         5,247
ANGIOTECH PHARMACEUTICALS             EQUITY  034918102    1660     89,900  SH       DEFINED  1             0       89,900
ANHEUSER BUSCH COS INC                EQUITY  035229103   11272    222,202  SH       DEFINED  2                    222,202
ANHEUSER-BUSCH COMPANIES, INC.        EQUITY  035229103   17292    340,858  SH       SOLE     1       340,858
ANIMAS CORP                           EQUITY  03525Y105      41      2,637  SH       SOLE     1         2,637
ANIXTER INTERNATIONALL, INC.          EQUITY  035290105     626     17,407  SH       SOLE     1        17,407
ANN TAYLOR STORES CORP.               EQUITY  036115103    2584    120,015  SH       SOLE     1       120,015
ANNALY MTG MGMT INC                   EQUITY  035710409    4144    211,207  SH       SOLE     1       211,207
ANNTAYLOR STORES CORP                 EQUITY  036115103   10205    474,000  SH       DEFINED  2                    474,000
ANSOFT CORP                           EQUITY  036384105      79      3,905  SH       SOLE     1         3,905
ANSWERTHINK INC                       EQUITY  036916104     123     26,411  SH       SOLE     1        26,411
ANSYS INC                             EQUITY  03662Q105     578     18,039  SH       SOLE     1        18,039
ANTEON INTERNATIONAL CORP             EQUITY  03674E108     662     15,824  SH       SOLE     1        15,824
ANTEON INTL CORP COM                  EQUITY  03674E108       1      24800  SH       SOLE     3         24800
ANTHRACITE CAPITAL INC.               EQUITY  037023108    2858    231,242  SH       SOLE     1       231,242
ANTIGENICS INC.                       EQUITY  037032109     151     14,896  SH       SOLE     1        14,896
ANWORTH MORTGAGE ASSET                EQUITY  037347101     281     26,210  SH       SOLE     1        26,210
AON CORP                              EQUITY  037389103       9        360  SH       DEFINED  2                        360
AON CORP.                             EQUITY  037389103   12723    533,218  SH       SOLE     1       533,218
APACHE CORP                           EQUITY  037411105      84      1,723  SH       DEFINED  2                      1,723
APACHE CORP.                          EQUITY  037411105    7023    138,881  SH       SOLE     1       138,881
APARTMENT INVT & MGMT CL A            EQUITY  03748R101              10590  SH       SOLE     3                               10590
APARTMENT INVT & MGMT CO - A          EQUITY  03748R101    2052     53,249  SH       SOLE     1        53,249
APARTMENT INVT + MGMT CO              EQUITY  03748R101       4        108  SH       DEFINED  2                        108
APOGEE ENTERPRISES, INC.              EQUITY  037598109     216     16,116  SH       SOLE     1        16,116
APOLLO GROUP INC                      EQUITY  037604105      17        211  SH       DEFINED  2                        211





                                                                                             
APOLLO GROUP, INC. CLASS A            EQUITY  037604105    7788     96,492  SH       SOLE     1        96,492
APOLLO INVESTMENT CORP                EQUITY  03761U106     550     36,403  SH       SOLE     1        36,403
APPLE COMPUTER                        EQUITY  037833100      29        457  SH       DEFINED  2                        457
APPLE COMPUTER, INC.                  EQUITY  037833100   17014    264,185  SH       SOLE     1       264,185
APPLEBEES INTERNATIONAL, INC.         EQUITY  037899101    3648    137,907  SH       SOLE     1       137,907
APPLEBEES INTL INC                    EQUITY  037899101   10148    383,650  SH       DEFINED  2                    383,650
APPLERA CORP  APPLIED BIOSYSTEM       EQUITY  038020103    1847     88,334  SH       SOLE     1        88,334
APPLERA CORP APPLIED BIOSY            EQUITY  038020103       5        223  SH       DEFINED  2                        223
APPLICA INC.                          EQUITY  03815A106      70     11,501  SH       SOLE     1        11,501
APPLIED FILMS CORP                    EQUITY  038197109     187      8,660  SH       SOLE     1         8,660
APPLIED INDUSTRIAL TECH., INC.        EQUITY  03820C105     413     15,070  SH       SOLE     1        15,070
APPLIED MATERIALS INC                 EQUITY  038222105   28323  1,656,330  SH       DEFINED  2                  1,656,330
APPLIED MATERIALS, INC.               EQUITY  038222105   18863  1,103,093  SH       SOLE     1     1,103,093
APPLIED MICRO CIRCUITS COR            EQUITY  03822W109       1        350  SH       DEFINED  2                        350
APPLIED MICRO CIRCUITS CORP.          EQUITY  03822W109    1094    259,950  SH       SOLE     1       259,950
APPLIED SIGNAL TECH COM               EQUITY  038237103      14     385548  SH       SOLE     3        380900                  4648
APPLIED SIGNAL TECHNOLOGY             EQUITY  038237103     203      5,770  SH       SOLE     1         5,770
APRIA HEALTHCARE GROUP, INC.          EQUITY  037933108    3642    110,540  SH       SOLE     1       110,540
APTARGROUP, INC.                      EQUITY  038336103    1133     21,458  SH       SOLE     1        21,458
AQUA AMERICA INC                      EQUITY  03836W103    3905    158,791  SH       SOLE     1       158,791
AQUANTIVE INC                         EQUITY  03839G105     249     27,867  SH       SOLE     1        27,867
AQUILA INC                            EQUITY  03840P102    2007    543,901  SH       SOLE     1       543,901
ARAID PHARAMACEUTICLAS, INC.          EQUITY  04033A100     228     30,706  SH       SOLE     1        30,706
ARAMARK CORP                          EQUITY  038521100      62      2,351  SH       SOLE     1         2,351
ARBITRON, INC.                        EQUITY  03875Q108     711     18,156  SH       SOLE     1        18,156
ARBOR REALTY TRUST INC                EQUITY  038923108     107      4,351  SH       SOLE     1         4,351
ARCH CHEMICALS, INC.                  EQUITY  03937R102     393     13,669  SH       SOLE     1        13,669
ARCH COAL INC COM                     EQUITY  039380100       7     187914  SH       SOLE     3        185314                  2600
ARCH COAL, INC.                       EQUITY  039380100    3770    106,077  SH       SOLE     1       106,077
ARCHER DANIELS MIDLAND CO             EQUITY  039483102      17        744  SH       DEFINED  2                        744
ARCHER DANIELS MIDLAND CO.            EQUITY  039483102    7525    337,292  SH       SOLE     1       337,292
ARCHIPELAGO HOLDINGS INC              EQUITY  03957A104     131      6,253  SH       SOLE     1         6,253
ARCHSTONE COMMUNITIES TRUST           EQUITY  039583109    4212    109,982  SH       SOLE     1       109,982
ARCHSTONE SMITH TR                    EQUITY  039583109       9        222  SH       DEFINED  2                        222
ARCHSTONE SMITH TR COM                EQUITY  039583109       1      21890  SH       SOLE     3                               21890
ARCTIC CAT, INC.                      EQUITY  039670104     214      8,087  SH       SOLE     1         8,087
ARDEN GROUP INC                       EQUITY  039762109      81        819  SH       SOLE     1           819
ARDEN REALTY INC.                     EQUITY  039793104     338      8,952  SH       SOLE     1         8,952
ARDEN RLTY GROUP INC COM              EQUITY  039793104               7330  SH       SOLE     3                                7330
ARES CAPITAL CORP                     EQUITY  04010L103     126      6,489  SH       SOLE     1         6,489
ARGON ST INC COM                      EQUITY  040149106       1      41800  SH       SOLE     3         41800
ARGONAUT GROUP, INC.                  EQUITY  040157109     290     13,737  SH       SOLE     1        13,737
ARGOSY GAMING CO.                     EQUITY  040228108    1728     37,003  SH       SOLE     1        37,003
ARIBA INC                             EQUITY  04033V203     583     35,109  SH       SOLE     1        35,109
ARKANSAS BEST CORP.                   EQUITY  040790107     581     12,932  SH       SOLE     1        12,932
ARMOR HOLDINGS, INC.                  EQUITY  042260109     788     16,766  SH       SOLE     1        16,766
ARRAY BIOPHARMA INC                   EQUITY  04269X105     133     14,019  SH       SOLE     1        14,019
ARRIS GROUP INC                       EQUITY  04269Q100     359     51,059  SH       SOLE     1        51,059
ARROW ELECTRONICS INC                 EQUITY  042735100    4793    197,245  SH       SOLE     1       197,245
ARROW FINANCIAL CORP                  EQUITY  042744102     158      5,091  SH       SOLE     1         5,091
ARROW INTERNATIONAL, INC.             EQUITY  042764100     348     11,244  SH       SOLE     1        11,244
ARTESYN TECHNOLOGIES, INC.            EQUITY  043127109     228     20,186  SH       SOLE     1        20,186
ARTHROCARE CORP COM                   EQUITY  043136100      16     495398  SH       SOLE     3        486400                  8998
ARTHROCARE CORP.                      EQUITY  043136100     400     12,482  SH       SOLE     1        12,482
ARVINMERITOR, INC                     EQUITY  043353101    3515    157,140  SH       SOLE     1       157,140
ASBURY AUTOMOTIVE GROUP               EQUITY  043436104      91      6,577  SH       SOLE     1         6,577
ASCENTIAL SOFTWARE CORP               EQUITY  04362P207    2174    133,305  SH       SOLE     1       133,305
ASHFORD HOSPITALITY TRUST             EQUITY  044103109     159     14,646  SH       SOLE     1        14,646
ASHLAND INC                           EQUITY  044204105       5         81  SH       DEFINED  2                         81





                                                                                              
ASHLAND OIL, INC.                     EQUITY  044204105    1868     31,997  SH       SOLE     1        31,997
ASIAINFO HOLDINGS INC.                EQUITY  04518A104     124     20,724  SH       SOLE     1        20,724
ASK JEEVES INC                        EQUITY  045174109      36      1,331  SH       SOLE     1         1,331
ASPECT COMMUNICATIONS INC.            EQUITY  04523Q102     266     23,868  SH       SOLE     1        23,868
ASPECT MED SYS INC COM                EQUITY  045235108      11     430728  SH       SOLE     3        426800                  3928
ASPECT MEDICAL SYSTEMS, INC.          EQUITY  045235108     176      7,208  SH       SOLE     1         7,208
ASPEN TECHNOLOGY, INC.                EQUITY  045327103     151     24,236  SH       SOLE     1        24,236
ASSET ACCEPTANCE CAPITAL              EQUITY  04543P100      98      4,616  SH       SOLE     1         4,616
ASSOCIATED BANC-CORP.                 EQUITY  045487105    7322    220,346  SH       SOLE     1       220,346
ASSOCIATED ESTATES REALTY             EQUITY  045604105      22      2,200  SH       SOLE     1         2,200
ASSURANT INC                          EQUITY  04621X108      60      1,979  SH       SOLE     1         1,979
ASTA FUNDING INC                      EQUITY  046220109     146      5,453  SH       SOLE     1         5,453
ASTEC INDS INC COM                    EQUITY  046224101     139      8,071  SH       SOLE     1         8,071
ASTORIA FINANCIAL CORP.               EQUITY  046265104    5069    126,827  SH       SOLE     1       126,827
ASYST TECHNOLOGIES, INC.              EQUITY  04648X107     140     27,572  SH       SOLE     1        27,572
AT & T CORP                           EQUITY  001957505    6546    343,435  SH       SOLE     1       343,435
AT RD INC                             EQUITY  04648K105     139     20,051  SH       SOLE     1        20,051
AT+T CORP                             EQUITY  001957505    7111    373,090  SH       DEFINED  2                    373,090
ATARI INC                             EQUITY  04651M105      16      5,411  SH       SOLE     1         5,411
ATHEROGENICS INC                      EQUITY  047439104     512     21,728  SH       SOLE     1        21,728
ATHEROS COMMUNICATIONS                EQUITY  04743P108      56      5,453  SH       SOLE     1         5,453
ATI TECHNOLOGIES                      EQUITY  001941103    3865    200,000  SH       DEFINED  1             0      200,000
ATLANTIC COAST FEDERAL/WAYCR          EQUITY  048425102      46      3,376  SH       SOLE     1         3,376
ATLAS AMERICA INC                     EQUITY  049167109      48      1,356  SH       SOLE     1         1,356
ATMEL CORP.                           EQUITY  049513104    3177    810,354  SH       SOLE     1       810,354
ATMI, INC.                            EQUITY  00207R101     413     18,323  SH       SOLE     1        18,323
ATMOS ENERGY CORP.                    EQUITY  049560105    1229     44,918  SH       SOLE     1        44,918
ATWOOD OCEANICS INC                   EQUITY  050095108    3022     58,000  SH       DEFINED  2                     58,000
ATWOOD OCEANICS INC COM               EQUITY  050095108      11     202160  SH       SOLE     3        200300                  1860
ATWOOD OCEANICS, INC.                 EQUITY  050095108     359      6,886  SH       SOLE     1         6,886
AUDIOVOX COPR.                        EQUITY  050757103     159     10,099  SH       SOLE     1        10,099
AUGUST TECHNOLOGY CORP.               EQUITY  05106U105     110     10,430  SH       SOLE     1        10,430
AUTHENTIDATE HOLDING CORP             EQUITY  052666104     105     16,982  SH       SOLE     1        16,982
AUTOBYTEL.COM INC                     EQUITY  05275N106     147     24,380  SH       SOLE     1        24,380
AUTODESK INCORPORATED                 EQUITY  052769106      10        260  SH       DEFINED  2                        260
AUTODESK, INC.                        EQUITY  052769106    4540    119,624  SH       SOLE     1       119,624
AUTOLIV, INC.                         EQUITY  052800109     113      2,337  SH       SOLE     1         2,337
AUTOMATIC DATA PROCESSING             EQUITY  053015103      29        662  SH       DEFINED  2                        662
AUTOMATIC DATA PROCESSING INC.        EQUITY  053015103   36147    815,050  SH       SOLE     1       815,050
AUTONATION INC                        EQUITY  05329W102    2246    116,895  SH       SOLE     1       116,895
AUTONATION INC DEL                    EQUITY  05329W102       6        301  SH       DEFINED  2                        301
AUTOZONE INC                          EQUITY  053332102       8         91  SH       DEFINED  2                         91
AUTOZONE, INC.                        EQUITY  053332102    3392     37,143  SH       SOLE     1        37,143
AVALONBAY COMM                        EQUITY  053484101       1       8050  SH       SOLE     3                                8050
AVALONBAY COMMUNITIE                  EQUITY  053484101     739      9,814  SH       SOLE     1         9,814
AVANEX CORP                           EQUITY  05348W109     155     46,775  SH       SOLE     1        46,775
AVANT IMMUNOTHERAPEUTICS INC          EQUITY  053491106      88     43,625  SH       SOLE     1        43,625
AVATAR HOLDINGS, INC.                 EQUITY  053494100     130      2,703  SH       SOLE     1         2,703
AVAYA INC                             EQUITY  053499109   23380  1,359,330  SH       DEFINED  2                  1,359,330
AVAYA INC.                            EQUITY  053499109   13733    798,447  SH       SOLE     1       798,447
AVERY DENNISON CORP                   EQUITY  053611109   12507    208,554  SH       DEFINED  2                    208,554
AVERY DENNISON CORP.                  EQUITY  053611109    3438     57,333  SH       SOLE     1        57,333
AVIALL, INC.                          EQUITY  05366B102     318     13,864  SH       SOLE     1        13,864
AVID TECHNOLOGY, INC.                 EQUITY  05367P100      49        790  SH       SOLE     1           790
AVISTA CORP                           EQUITY  05379B107     502     28,411  SH       SOLE     1        28,411
AVNET, INC.                           EQUITY  053807103    3742    205,177  SH       SOLE     1       205,177
AVOCENT CORP COM                      EQUITY  053893103       1      36200  SH       SOLE     3         33100                  3100
AVOCENT CORPORATION                   EQUITY  053893103    3441     84,741  SH       SOLE     1        84,741
AVON PRODS INC                        EQUITY  054303102      21        538  SH       DEFINED  2                        538





                                                                                               
AVON PRODUCTS, INC.                   EQUITY  054303102   54816  1,408,306  SH        SOLE     1     1,408,306
AVX CORP                              EQUITY  002444107      16      1,248  SH        SOLE     1         1,248
AXCELIS TECHNOLOGIES INC              EQUITY  054540109     475     58,373  SH        SOLE     1        58,373
AXONYX INC                            EQUITY  05461R101     187     30,082  SH        SOLE     1        30,082
AZTAR CORP.                           EQUITY  054802103     708     20,280  SH        SOLE     1        20,280
BAKER HUGHES INC                      EQUITY  057224107      16        381  SH        DEFINED  2                        381
BAKER HUGHES, INC.                    EQUITY  057224107    9970    233,649  SH        SOLE     1       233,649
BALDOR ELECTRIC CO.                   EQUITY  057741100     532     19,339  SH        SOLE     1        19,339
BALDWIN & LYONS, INC., CLASS B        EQUITY  057755209     124      4,640  SH        SOLE     1         4,640
BALL CORP                             EQUITY  058498106       6        128  SH        DEFINED  2                        128
BALL CORP.                            EQUITY  058498106    2215     50,369  SH        SOLE     1        50,369
BANCFIRST CORP.                       EQUITY  05945F103     149      1,886  SH        SOLE     1         1,886
BANCORPSOUTH, INC.                    EQUITY  059692103    1105     45,334  SH        SOLE     1        45,334
BANCTRUST FINANCIAL GROUP IN          EQUITY  05978R107     121      4,935  SH        SOLE     1         4,935
BANDAG, INC.                          EQUITY  059815100    1947     39,085  SH        SOLE     1        39,085
BANK AMER CORP                        EQUITY  060505104   40362    858,941  SH        DEFINED  2                    858,941
Bank America Corp                     EQUITY  060505104    2350     50,000  SH        SOLE     4        50,000
BANK ATLANTIC BANCORP CLASS A         EQUITY  065908501     497     24,978  SH        SOLE     1        24,978
BANK MUTUAL CORP                      EQUITY  063750103     563     46,264  SH        SOLE     1        46,264
BANK NEW YORK INC                     EQUITY  064057102      30        883  SH        DEFINED  2                        883
BANK OF AMERICA CORP                  EQUITY  060505104   94851  2,018,529  SH        SOLE     1     2,018,529
BANK OF GRANITE CORP.                 EQUITY  062401104     166      7,954  SH        SOLE     1         7,954
BANK OF HAWAII CORP                   EQUITY  062540109    4578     90,216  SH        SOLE     1        90,216
BANK OF MONTREAL                      EQUITY  063671101    7515    156,600  SH        DEFINED  1             0      156,600
BANK OF NEW YORK CO., INC.            EQUITY  064057102   45638  1,365,601  SH        SOLE     1     1,365,601
BANK OF NOVA SCOTIA                   EQUITY  064149107    6381    188,700  SH        DEFINED  1             0      188,700
BANK OF THE OZARKS INC                EQUITY  063904106     213      6,251  SH        SOLE     1         6,251
BANK UNITED CORP-CPR WI               EQUITY  065416117      30    506,802  SH        SOLE     1       506,802
BANKNORTH GROUP INC.                  EQUITY  06646R107   14463    395,159  SH        SOLE     1       299,359       95,800
BANKUNITED FINANCIAL CORP CLASS A     EQUITY  06652B103     499     15,612  SH        SOLE     1        15,612
BANNER CORPORATION                    EQUITY  06652V109     185      5,938  SH        SOLE     1         5,938
BANTA CORP.                           EQUITY  066821109    2525     56,416  SH        SOLE     1        56,416
BARD C R INC                          EQUITY  067383109       8        119  SH        DEFINED  2                        119
BARNES & NOBLE, INC.                  EQUITY  067774109    3837    118,907  SH        SOLE     1       118,907
BARNES GROUP, INC.                    EQUITY  067806109     232      8,764  SH        SOLE     1         8,764
BARR PHARMACEUTICALS INC              EQUITY  068306109    7926    174,035  SH        SOLE     1       174,035
BARRIER THERAPEUTICS INC              EQUITY  06850R108      64      3,837  SH        SOLE     1         3,837
BASSETT FURNITURE INDUSTRIES          EQUITY  070203104     119      6,050  SH        SOLE     1         6,050
BAUSCH & LOMB, INC.                   EQUITY  071707103    1546     23,985  SH        SOLE     1        23,985
BAUSCH + LOMB INC                     EQUITY  071707103       4         61  SH        DEFINED  2                         61
BAXTER INTERNATIONAL, INC.            EQUITY  071813109    9016    261,021  SH        SOLE     1       261,021
BAXTER INTL INC                       EQUITY  071813109      24        701  SH        DEFINED  2                        701
BB+T CORP                             EQUITY  054937107      26        628  SH        DEFINED  2                        628
BBT CORP.                             EQUITY  054937107   10065    239,358  SH        SOLE     1       239,358
BCE INC COM                           EQUITY  05534B109    2014     83,805  SH        DEFINED  1             0       83,805
BE AEROSPACE, INC.                    EQUITY  073302101     384     32,961  SH        SOLE     1        32,961
BEA SYSTEMS, INC.                     EQUITY  073325102     307     34,693  SH        SOLE     1        34,693
BEACON ROOFING SUPPLY INC             EQUITY  073685109     159      8,019  SH        SOLE     1         8,019
BEAR STEARNS COS                      EQUITY  073902108    4762     46,542  SH        SOLE     1        46,542
BEAR STEARNS COS INC                  EQUITY  073902108      12        117  SH        DEFINED  2                        117
BEARINGPOINT INC                      EQUITY  074002106      31      3,888  SH        SOLE     1         3,888
BEASLEY BROADCAST GROUP, INC.         EQUITY  074014101      55      3,164  SH        SOLE     1         3,164
BEAZER HOMES USA, INC.                EQUITY  07556Q105    1162      8,029  SH        SOLE     1         8,029
BEBE STORES, INC.                     EQUITY  075571109     145      5,289  SH        SOLE     1         5,289
BECKMAN COULTER, INC.                 EQUITY  075811109    6928    103,419  SH        SOLE     1       103,419
BECTON DICKINSON + CO                 EQUITY  075887109   22293    392,488  SH        DEFINED  2                    392,488
BECTON, DICKINSON AND CO.             EQUITY  075887109    6205    109,238  SH        SOLE     1       109,238
BED BATH & BEYOND, INC.               EQUITY  075896100    8121    203,894  SH        SOLE     1       203,894
BED BATH + BEYOND INC                 EQUITY  075896100    9832    246,842  SH        DEFINED  2                    246,842





                                                                                              
BEDFORD PRPTY INVESTORS, INC.         EQUITY  076446301     293     10,325  SH        SOLE     1        10,325
BEI TECHNOLOGIES INC                  EQUITY  05538P104     201      6,512  SH        SOLE     1         6,512
BEI TECHNOLOGIES INC COM              EQUITY  05538P104       3      85600  SH        SOLE     3         85600
BEL FUSE INC. CLASS B                 EQUITY  077347300     224      6,623  SH        SOLE     1         6,623
BELDEN CDT INC                        EQUITY  077454106     638     27,502  SH        SOLE     1        27,502
BELLSOUTH CORP                        EQUITY  079860102    3948    142,082  SH        DEFINED  2                    142,082
Bellsouth Corp                        EQUITY  079860102    1112     40,000  SH        SOLE     4        40,000
BELLSOUTH CORP.                       EQUITY  079860102   41548  1,495,082  SH        SOLE     1     1,495,082
BELO CORP.                            EQUITY  080555105    5123    195,229  SH        SOLE     1       195,229
BEMA GOLD CORP.                       EQUITY  08135F107    3485  1,143,000  SH        DEFINED  1             0    1,143,000
BEMIS CO INC                          EQUITY  081437105   13708    471,211  SH        DEFINED  2                    471,211
BEMIS CO., INC.                       EQUITY  081437105    1399     48,082  SH        SOLE     1        48,082
BENCHMARK ELECTRONICS, INC.           EQUITY  08160H101     822     24,099  SH        SOLE     1        24,099
BENCHMARK ELECTRS INC COM             EQUITY  08160H101       9     271606  SH        SOLE     3        267200                  4406
BENTLEY PHARMACEUTICAL                EQUITY  082657107      97      9,012  SH        SOLE     1         9,012
BERKSHIRE HATHAWAY INC                EQUITY  084670207      29         10  SH        DEFINED  2                         10
BERKSHIRE HILLS BANCOR                EQUITY  084680107     116      3,128  SH        SOLE     1         3,128
BERRY PETROLEUM CO. CLASS A           EQUITY  085789105     505     10,587  SH        SOLE     1        10,587
BEST BUY CO INC                       EQUITY  086516101      22        369  SH        DEFINED  2                        369
BEST BUY CO., INC.                    EQUITY  086516101   36870    620,506  SH        SOLE     1       620,506
BEVERLY ENTERPRISE INC COM NEW        EQUITY  087851309      13    1418003  SH        SOLE     3       1388400                 29603
BEVERLY ENTERPRISES, INC.             EQUITY  087851309     576     62,969  SH        SOLE     1        62,969
BEVERY HILLS BANCORP INC              EQUITY  087866109      78      7,765  SH        SOLE     1         7,765
BFC FINANCIAL CORPORATION-A           EQUITY  055384200      51      4,055  SH        SOLE     1         4,055
BIG 5 SPORTING GOODS CORP             EQUITY  08915P101     347     11,925  SH        SOLE     1        11,925
BIG LOTS INC                          EQUITY  089302103       2        128  SH        DEFINED  2                        128
BIG LOTS INC.                         EQUITY  089302103     616     50,820  SH        SOLE     1        50,820
BILL BARRETT CORP.                    EQUITY  06846N104       4     134000  SH        SOLE     3        130100                  3900
BIMINI MORTGAGE MANAGEMENT-A          EQUITY  09031E400     147      9,171  SH        SOLE     1         9,171
BIOCRYST PHARMACEUTICALS INC          EQUITY  09058V103      55      9,594  SH        SOLE     1         9,594
BIOENVISION INC                       EQUITY  09059N100     111     12,402  SH        SOLE     1        12,402
BIOGEN IDEC INC                       EQUITY  09062X103   11148    167,359  SH        SOLE     1       167,359
BIOGEN IDEC INC                       EQUITY  09062X103      25        379  SH        DEFINED  2                        379
BIOLASE TECHNOLOGY INC                EQUITY  090911108     127     11,700  SH        SOLE     1        11,700
BIOMARIN PHARMACEUTICAL IN            EQUITY  09061G101     505     79,100  SH        DEFINED  2                     79,100
BIOMARIN PHARMACEUTICAL INC.          EQUITY  09061G101     242     37,797  SH        SOLE     1        37,797
BIOMED REALTY TRUST INC               EQUITY  09063H107     409     18,425  SH        SOLE     1        18,425
BIOMET INC                            EQUITY  090613100      12        288  SH        DEFINED  2                        288
Biomet Inc                            EQUITY  090613100     868     20,000  SH        SOLE     4        20,000
BIOMET, INC.                          EQUITY  090613100    5947    137,051  SH        SOLE     1       137,051
BIO-RAD LABORATORIES, INC., CLASS A   EQUITY  090572207     586     10,209  SH        SOLE     1        10,209
BIO-REFERENCE LABS INC                EQUITY  09057G602      85      4,895  SH        SOLE     1         4,895
BIOSITE INC.                          EQUITY  090945106     468      7,609  SH        SOLE     1         7,609
BIOVERIS CORP                         EQUITY  090676107      88     12,051  SH        SOLE     1        12,051
BISYS GROUP, INC.                     EQUITY  055472104    4479    272,257  SH        SOLE     1       272,257
BJ SERVICES CO.                       EQUITY  055482103    3356     72,114  SH        SOLE     1        72,114
BJ SVCS CO                            EQUITY  055482103       9        184  SH        DEFINED  2                        184
BJ'S RESTAURANTS INC                  EQUITY  09180C106      88      6,308  SH        SOLE     1         6,308
BJ'S WHOLESALE CLUB INC.              EQUITY  05548J106    3447    118,324  SH        SOLE     1       118,324
BKF CAPITAL GROUP INC                 EQUITY  05548G102     136      3,591  SH        SOLE     1         3,591
BLACK & DECKER CORP.                  EQUITY  091797100    5745     65,045  SH        SOLE     1        65,045
BLACK + DECKER CORPORATION            EQUITY  091797100       8         92  SH        DEFINED  2                         92
BLACK BOX CORP.                       EQUITY  091826107     455      9,480  SH        SOLE     1         9,480
BLACK HILLS CORP.                     EQUITY  092113109    2256     73,529  SH        SOLE     1        73,529
BLACKBAUD INC                         EQUITY  09227Q100      70      4,750  SH        SOLE     1         4,750
BLACKBOARD INC                        EQUITY  091935502      56      3,804  SH        SOLE     1         3,804
BLACKROCK INC                         EQUITY  09247X101      33        425  SH        SOLE     1           425
BLAIR CORP                            EQUITY  092828102     170      4,778  SH        SOLE     1         4,778
BLOCK FINANCIAL CORP                  EQUITY  093671105    3602     73,517  SH        SOLE     1        73,517
                                                                       
                                                                               



                                                                                             
BLOCK H + R INC                       EQUITY  093671105       9        187  SH       DEFINED  2                        187
BLOCKBUSTER INC -CLA                  EQUITY  093679108      42      4,382  SH       SOLE     1         4,382
BLOUNT INTERNATIONAL INC              EQUITY  095180105      61      3,473  SH       SOLE     1         3,473
BLUE COAT SYSTEMS INC                 EQUITY  09534T508     103      5,534  SH       SOLE     1         5,534
BLUE NILE INC                         EQUITY  09578R103      61      2,202  SH       SOLE     1         2,202
BLUE NILE INC                         EQUITY  09578R103    1248     45,200  SH       DEFINED  2                     45,200
BLUEGREEN CORP                        EQUITY  096231105     189      9,546  SH       SOLE     1         9,546
BLYTH INC.                            EQUITY  09643P108    2526     85,460  SH       SOLE     1        85,460
BMC SOFTWARE INC                      EQUITY  055921100    3334    179,252  SH       DEFINED  2                    179,252
BMC SOFTWARE, INC.                    EQUITY  055921100    1857     99,840  SH       SOLE     1        99,840
BOB EVANS FARMS, INC.                 EQUITY  096761101    2088     79,874  SH       SOLE     1        79,874
BOEING CO                             EQUITY  097023105     108      2,104  SH       DEFINED  2                      2,104
Boeing Co                             EQUITY  097023105    2071     40,000  SH       SOLE     4        40,000
BOEING CO.                            EQUITY  097023105   19071    368,374  SH       SOLE     1       368,374
BOK FINANCIAL CORP.                   EQUITY  05561Q201      21        435  SH       SOLE     1           435
BOMBAY CO INC                         EQUITY  097924104     115     20,863  SH       SOLE     1        20,863
BONE CARE INTERNATIONAL, INC.         EQUITY  098072101     256      9,180  SH       SOLE     1         9,180
BONE CARE INTL INC COM                EQUITY  098072101      10     355600  SH       SOLE     3        348500                  7100
BON-TON STORES INC/THE                EQUITY  09776J101      48      3,035  SH       SOLE     1         3,035
BORDERS GROUP, INC.                   EQUITY  099709107    3249    127,914  SH       SOLE     1       127,914
BORG WARNER INC                       EQUITY  099724106    5176     95,554  SH       SOLE     1        95,554
BORLAND SOFTWARE CORP.                EQUITY  099849101     554     47,412  SH       SOLE     1        47,412
BOSTON BEER, INC. CLASS A             EQUITY  100557107     105      4,950  SH       SOLE     1         4,950
BOSTON COMMUNICATIONS GROUP           EQUITY  100582105      99     10,759  SH       SOLE     1        10,759
BOSTON PRIVATE FINANCIAL HOLDI        EQUITY  101119105     452     16,031  SH       SOLE     1        16,031
BOSTON PROPERTIES INC                 EQUITY  101121101     915     14,150  SH       SOLE     1        14,150
BOSTON PROPERTIES INC COM             EQUITY  101121101       1      12110  SH       SOLE     3                               12110
BOSTON SCIENTIFIC CORP                EQUITY  101137107      34        960  SH       DEFINED  2                        960
BOSTON SCIENTIFIC CORP.               EQUITY  101137107   27279    767,345  SH       SOLE     1       767,345
BOWATER, INC.                         EQUITY  102183100    4167     94,770  SH       SOLE     1        94,770
BOWNE & CO., INC.                     EQUITY  103043105     334     20,538  SH       SOLE     1        20,538
BOYD GAMING CORP                      EQUITY  103304101    2062     49,500  SH       DEFINED  2                     49,500
BOYD GAMING CORP.                     EQUITY  103304101    9522    228,622  SH       SOLE     1       228,622
BOYKIN LODGING CO.                    EQUITY  103430104      18      1,960  SH       SOLE     1         1,960
BP AMOCO                              EQUITY  055622104     119      2,076  SH       DEFINED  2                      2,076
BRADLEY PHARMACEUTICAL                EQUITY  104576103     154      7,944  SH       SOLE     1         7,944
BRADY CORP.                           EQUITY  104674106     668     10,679  SH       SOLE     1        10,679
BRANDYWINE REALTY TRUST               EQUITY  105368203    1005     34,183  SH       SOLE     1        34,183
BRASIL DISTR PAO ACU-SP ADR           EQUITY  20440T201    2112     82,500  SH       SOLE     1        82,500
BRASKEM SA-SPON ADR                   EQUITY  105532105    6248    122,600  SH       SOLE     1       122,600
BRE PROPERTIES INC CL A               EQUITY  05564E106               5610  SH       SOLE     3                                5610
BRE PROPERTIES, INC., CLASS A         EQUITY  05564E106     276      6,852  SH       SOLE     1         6,852
BRIGGS & STRATTON CORP.               EQUITY  109043109      50      1,206  SH       SOLE     1         1,206
BRIGHAM EXPLORATION CO                EQUITY  109178103     124     13,809  SH       SOLE     1        13,809
BRIGHT HORIZON FAMILY COM             EQUITY  109195107      12     179846  SH       SOLE     3        178050                  1796
BRIGHT HORIZONS FAM. SOLUTIONS        EQUITY  109195107     502      7,752  SH       SOLE     1         7,752
BRIGHTPOINT INC                       EQUITY  109473405     206     10,534  SH       SOLE     1        10,534
BRINKER INTERNATIONAL, INC.           EQUITY  109641100    5158    147,083  SH       SOLE     1       147,083
BRINK'S CO/THE                        EQUITY  109696104    3814     96,516  SH       SOLE     1        96,516
BRISTOL MYERS SQUIBB CO               EQUITY  110122108   10516    410,462  SH       DEFINED  2                    410,462
BRISTOL MYERS SQUIBB CO.              EQUITY  110122108   42642  1,664,401  SH       SOLE     1     1,664,401
BRISTOL WEST HOLDINGS INC             EQUITY  11037M105     178      8,882  SH       SOLE     1         8,882
BROADCOM CORP                         EQUITY  111320107      12        374  SH       DEFINED  2                        374
BROADCOM CORP CL A                    EQUITY  111320107       2      65800  SH       SOLE     3         64200                  1600
BROADCOM CORP.                        EQUITY  111320107    5057    156,674  SH       SOLE     1       156,674
BROADWING CORP                        EQUITY  11161E101     260     28,576  SH       SOLE     1        28,576
BROCADE COMMUNICATION                 EQUITY  111621108    1162    152,053  SH       SOLE     1       152,053
BROOKFIELD HOMES CORP                 EQUITY  112723101     297      8,759  SH       SOLE     1         8,759
BROOKLINE BANCORP INC                 EQUITY  11373M107     566     34,654  SH       SOLE     1        34,654




                                                                                              
BROOKS AUTOMATION INC                  EQUITY   114340102    449      26,061  SH        SOLE        1      26,061             
BROOKSTONE INC                         EQUITY   114537103    230      11,768  SH        SOLE        1      11,768
BROWN & BROWN INC                      EQUITY   115236101   5106     117,256  SH        SOLE        1     117,256
BROWN FORMAN CORP                      EQUITY   115637209  12084     248,230  SH        DEFINED     2                248,230
BROWN SHOE COMANY, INC.                EQUITY   115736100    317      10,623  SH        SOLE        1      10,623
BROWN-FORMAN CORP CLASS B              EQUITY   115637209   2867      58,885  SH        SOLE        1      58,885
BRUKER BIOSCIENCES CORP                EQUITY   116794108     51      12,552  SH        SOLE        1      12,552
BRUNSWICK CORP                         EQUITY   117043109      5         109  SH        DEFINED     2                    109
BRUNSWICK CORP.                        EQUITY   117043109   2201      44,461  SH        SOLE        1      44,461
BRUSH ENGINEERED  MATERIALS            EQUITY   117421107    206      11,122  SH        SOLE        1      11,122
BRYN MAWR BK CORP                      EQUITY   117665109     91       4,135  SH        SOLE        1       4,135
BUCKEYE TECHNOLOGIES INC               EQUITY   118255108    224      17,245  SH        SOLE        1      17,245
BUCKLE, INC.                           EQUITY   118440106    132       4,460  SH        SOLE        1       4,460
BUCYRUS INTERNATIONAL INC-A            EQUITY   118759109    295       7,253  SH        SOLE        1       7,253
BUCYRUS INTL INC NEW CL A              EQUITY   118759109      8      204500  SH        SOLE        3      201500              3000
BUFFALO WILD WINGS INC                 EQUITY   119848109    116       3,336  SH        SOLE        1       3,336
BUILD-A-BEAR WORKSHOP INC              EQUITY   120076104    184       5,248  SH        SOLE        1       5,248
BUILDING MATERIAL HOLDING CORP         EQUITY   120113105    301       7,873  SH        SOLE        1       7,873
BUILDING MATLS HLDG CP COM             EQUITY   120113105      3       66800  SH        SOLE        3       66800
BUNGE LIMITED                          EQUITY   G16962105   2709      47,510  SH        SOLE        1      47,510
BURLINGTON COAT FACTORY WHSE           EQUITY   121579106    244      10,749  SH        SOLE        1      10,749
BURLINGTON NORTHERN SANTA FE           EQUITY   12189T104   7999     169,070  SH        SOLE        1     169,070
BURLINGTON NORTHN SANTA FE             EQUITY   12189T104     20         427  SH        DEFINED     2                    427
BURLINGTON RES INC                     EQUITY   122014103     19         445  SH        DEFINED     2                    445
BURLINGTON RESOURCES, INC.             EQUITY   122014103   7242     166,485  SH        SOLE        1     166,485
C & D TECHNOLOGIES, INC.               EQUITY   124661109    254      14,916  SH        SOLE        1      14,916
C H ROBINSON WORLDWIDE                 EQUITY   12541W100  11221     202,100  SH        DEFINED     2                202,100
C. H. ROBINSON WORLDWIDE, INC.         EQUITY   12541W100   8381     150,946  SH        SOLE        1     150,946
C. R. BARD, INC.                       EQUITY   067383109   2985      46,660  SH        SOLE        1      46,660
CABELA'S INC-CL A                      EQUITY   126804301      5         228  SH        SOLE        1         228
CABLEVISION NY GROUP CLASS             EQUITY   12686C109   2240      89,944  SH        DEFINED     2                 89,944
CABLEVISION SYSTEMS-NY GRP-A           EQUITY   12686C109   2590     104,010  SH        SOLE        1     104,010
CABOT CORP.                            EQUITY   127055101   4063     105,036  SH        SOLE        1     105,036
CABOT MICROELECTRONICS CORP            EQUITY   12709P103   2251      56,174  SH        SOLE        1      56,174
CABOT OIL & GAS CORP., CLASS A         EQUITY   127097103    853      19,275  SH        SOLE        1      19,275
CACHE INC                              EQUITY   127150308    101       5,610  SH        SOLE        1       5,610
CACI INTERNATIONAL                     EQUITY   127190304   1164      17,082  SH        SOLE        1      17,082
CACI INTL INC CL A                     EQUITY   127190304      4       55300  SH        SOLE        3       53100              2200
CADENCE DESIGN SYSTEMS, INC.           EQUITY   127387108   6353     460,009  SH        SOLE        1     460,009
CAESARS ENTERTAINMENT INC              EQUITY   127687101  10730     532,789  SH        SOLE        1     532,789
CAKTRONICS INC                         EQUITY   234264109    211       8,460  SH        SOLE        1       8,460
CAL DIVE INTERNATIONAL, INC.           EQUITY   127914109    913      22,394  SH        SOLE        1      22,394
CALAMOS ASSET MANAGEMENT               EQUITY   12811R104     16      598200  SH        SOLE        3      588900              9300
CALAMOS ASSET MANAGEMENT-A             EQUITY   12811R104    317      11,741  SH        SOLE        1      11,741
CALGON CARBON CORP.                    EQUITY   129603106    181      19,897  SH        SOLE        1      19,897
CALIFORNIA MICRO DEVICES CP            EQUITY   130439102     88      12,380  SH        SOLE        1      12,380
CALIFORNIA PIZZA KITCHEN INC           EQUITY   13054D109    258      11,228  SH        SOLE        1      11,228
CALIFORNIA WATER SERVICE GROUP         EQUITY   130788102    377      10,001  SH        SOLE        1      10,001
CALLAWAY GOLF CO.                      EQUITY   131193104   2261     167,482  SH        SOLE        1     167,482
CALLON PETROLEUM CO.                   EQUITY   13123X102    106       7,365  SH        SOLE        1       7,365
CALLWAVE INC                           EQUITY   13126N101     36       2,341  SH        SOLE        1       2,341
CAL-MAINE FOODS INC                    EQUITY   128030202    106       8,799  SH        SOLE        1       8,799
CALPINE CORP                           EQUITY   131347106      2         607  SH        DEFINED     2                    607
CALPINE CORP.                          EQUITY   131347106   2275     577,385  SH        SOLE        1     577,385
CAMBREX CORP.                          EQUITY   132011107    415      15,330  SH        SOLE        1      15,330
CAMDEN NATL CORP                       EQUITY   133034108    179       4,544  SH        SOLE        1       4,544
CAMDEN POPERTY TRUST                   EQUITY   133131102    277       5,441  SH        SOLE        1       5,441
CAMDEN PPTY TR SH BEN INT              EQUITY   133131102               4460  SH        SOLE        3                          4460
CAMPBELL SOUP CO                       EQUITY   134429109     14         468  SH        DEFINED     2                    468





                                                                                             
CAMPBELL SOUP CO.                      EQUITY   134429109   5808     194,309  SH        SOLE        1     194,309
CANADIAN IMPERIAL BANK OF COMMERCE     EQUITY   136069101   5449      90,800  SH        DEFINED     1           0     90,800
CANCERVAX CORP                         EQUITY   13738Y107    105       9,700  SH        SOLE        1       9,700
CANDELA CORP                           EQUITY   136907102    128      11,288  SH        SOLE        1      11,288
CAPITAL AUTOMOTIVE REIT                EQUITY   139733109    858      24,150  SH        SOLE        1      24,150
CAPITAL CITY BANK GROUP, INC.          EQUITY   139674105    231       5,529  SH        SOLE        1       5,529
CAPITAL CORP OF THE WEST               EQUITY   140065103    139       2,958  SH        SOLE        1       2,958
CAPITAL CROSSING BANK                  EQUITY   140071101     77       2,485  SH        SOLE        1       2,485
CAPITAL LEASE FUNDING INC              EQUITY   140288101    166      13,291  SH        SOLE        1      13,291
CAPITAL ONE FINANCIAL CORP.            EQUITY   14040H105  14241     169,114  SH        SOLE        1     169,114
CAPITAL ONE FINL CORP                  EQUITY   14040H105  24326     288,876  SH        DEFINED     2                288,876
CAPITAL SOUTHWEST CORP                 EQUITY   140501107    125       1,587  SH        SOLE        1       1,587
CAPITAL TRUST-CL A                     EQUITY   14052H506    210       6,827  SH        SOLE        1       6,827
CAPITALSOURCE INC                      EQUITY   14055X102     38       1,489  SH        SOLE        1       1,489
CAPITOL BANCORP LTD                    EQUITY   14056D105    210       5,971  SH        SOLE        1       5,971
CAPITOL FEDERAL FINANCIAL              EQUITY   14057C106     19         529  SH        SOLE        1         529
CAPSTEAD MORTGAGE CORP.                EQUITY   14067E506    109      10,308  SH        SOLE        1      10,308
CAPSTONE TURBINE COR                   EQUITY   14067D102     89      48,882  SH        SOLE        1      48,882
CAPTARIS INC                           EQUITY   14071N104     90      17,506  SH        SOLE        1      17,506
CARACO PHARM LABS INC                  EQUITY   14075T107     51       5,327  SH        SOLE        1       5,327
CARAUSTAR INDUSTRIES, INC.             EQUITY   140909102    281      16,705  SH        SOLE        1      16,705
CARBO CERAMICS INC                     EQUITY   140781105    514       7,456  SH        SOLE        1       7,456
CARDIAC SCIENCE INC.                   EQUITY   141410209     92      43,052  SH        SOLE        1      43,052
CARDINAL HEALTH INC                    EQUITY   14149Y108  10866     186,864  SH        SOLE        1     186,864
CARDINAL HEALTH INC                    EQUITY   14149Y108   2517      43,291  SH        DEFINED     2                 43,291
CARDIODYNAMICS INTERNATIONAL           EQUITY   141597104    109      21,131  SH        SOLE        1      21,131
CARDIODYNAMICS INTL COM                EQUITY   141597104      4      737300  SH        SOLE        3      729000              8300
CAREER EDUCATION CORP                  EQUITY   141665109   7267     181,674  SH        SOLE        1     181,674
CAREER EDUCATION CORP COM              EQUITY   141665109      4       91212  SH        SOLE        3       88300              2912
CAREMARK RX INC                        EQUITY   141705103  13741     348,490  SH        SOLE        1     348,490
CAREMARK RX INC                        EQUITY   141705103     20         517  SH        DEFINED     2                    517
CAREMARK RX INC COM                    EQUITY   141705103      4       96300  SH        SOLE        3       94000              2300
CARLISLE COS INC.                      EQUITY   142339100   3439      52,967  SH        SOLE        1      52,967
CARMAX INC                             EQUITY   143130102   5496     177,001  SH        SOLE        1     177,001
CARMIKE CINEMAS INC                    EQUITY   143436400    164       4,506  SH        SOLE        1       4,506
CARNIVAL CORP                          EQUITY   143658300  17249     299,310  SH        SOLE        1     299,310
CARNIVAL CORP                          EQUITY   143658300  18748     325,320  SH        DEFINED     2                325,320
CARPENTER TECHNOLOGY CORP.             EQUITY   144285103    820      14,032  SH        SOLE        1      14,032
CARRAMERICA REALTY C                   EQUITY   144418100   1254      37,994  SH        SOLE        1      37,994
CARRAMERICA REALTY CORPORATION         EQUITY   144418100               6080  SH        SOLE        3                          6080
CARREKER CORP                          EQUITY   144433109    102      11,878  SH        SOLE        1      11,878
CARRIER ACCESS CORP.                   EQUITY   144460102    125      11,745  SH        SOLE        1      11,745
CARTER INC                             EQUITY   146229109   1147      33,742  SH        SOLE        1      33,742
CASCADE BANCORP                        EQUITY   147154108    197       9,763  SH        SOLE        1       9,763
CASCADE CORP                           EQUITY   147195101    250       6,246  SH        SOLE        1       6,246
CASCADE NAT GAS CORP COM               EQUITY   147339105    140       6,585  SH        SOLE        1       6,585
CASELLA WASTE SYSTEMS, INC.            EQUITY   147448104    169      11,532  SH        SOLE        1      11,532
CASEYS GENERAL STORES, INC.            EQUITY   147528103    533      29,355  SH        SOLE        1      29,355
CASH AMERICA INTERNATIONAL             EQUITY   14754D100    495      16,649  SH        SOLE        1      16,649
CASUAL MALE RETAIL GROUP INC           EQUITY   148711104     90      16,512  SH        SOLE        1      16,512
CATALINA MARKETING CORP.               EQUITY   148867104   3505     118,309  SH        SOLE        1     118,309
CATAPULT COMM CORP                     EQUITY   149016107    100       4,125  SH        SOLE        1       4,125
CATAPULT COMMUNICATNS COM              EQUITY   149016107      4      165262  SH        SOLE        3      164200              1062
CATELLUS DEVELOPMENT                   EQUITY   149113102    422      13,806  SH        SOLE        1      13,806
CATELLUS DEVELOPMENT CORP              EQUITY   149113102              11530  SH        SOLE        3                         11530
Caterpillar                            EQUITY   149123101   2243      23,000  SH        SOLE        4      23,000
CATERPILLAR INC                        EQUITY   149123101     38         388  SH        DEFINED     2                    388
CATERPILLAR, INC.                      EQUITY   149123101  41629     426,925  SH        SOLE        1     426,925
CATHAY GENERAL BANCORP INC.            EQUITY   149150104    954      25,453  SH        SOLE        1      25,453





                                                                                              
CATO CORP. CLASS A                     EQUITY   149205106    330      11,445  SH        SOLE        1      11,445
CB RICHARD ELLIS GROUP CL A            EQUITY   12497T101     14      427042  SH        SOLE        3      419100              7942
CB RICHARD ELLIS GROUP INC-A           EQUITY   12497T101    497      14,811  SH        SOLE        1      14,811
CBL & ASSOC PPTYS INC COM              EQUITY   124830100               3450  SH        SOLE        3                          3450
CBL & ASSOCIATES PROPERTIES            EQUITY   124830100    303       3,968  SH        SOLE        1       3,968
CBRL GROUP, INC.                       EQUITY   12489V106   4600     109,924  SH        SOLE        1     109,924
CCC INFORMATION SERVICES               EQUITY   12487Q109     99       4,452  SH        SOLE        1       4,452
C-COR INC.                             EQUITY   125010108    235      25,261  SH        SOLE        1      25,261
CDI CORP.                              EQUITY   125071100    154       7,224  SH        SOLE        1       7,224
CDW CORP                               EQUITY   12512N105   9752     146,971  SH        SOLE        1     146,971
CEC ENTERTAINMENT, INC.                EQUITY   125137109    877      21,929  SH        SOLE        1      21,929
CEDAR SHOPPING CENTERS INC             EQUITY   150602209    168      11,780  SH        SOLE        1      11,780
CELEBRATE EXPRESS INC.                 EQUITY   15100A104      3      159900  SH        SOLE        3      159900
CELERA GENOMICS GROU                   EQUITY   038020202    589      42,833  SH        SOLE        1      42,833
CELGENE CORP                           EQUITY   151020104    100       3,780  SH        SOLE        1       3,780
CELL GENESYS, INC.                     EQUITY   150921104    212      26,227  SH        SOLE        1      26,227
CELL THERAPEUTICS, INC.                EQUITY   150934107    292      35,825  SH        SOLE        1      35,825
CEMEX SA - Sponsored ADR               EQUITY   151290889   6295     173,950  SH        SOLE        1     173,950
CEMIG CIA ENERG MG SPON ADR            EQUITY   204409601    324      17,255  SH        SOLE        1      17,255
CENDANT CORP                           EQUITY   151313103     28       1,197  SH        DEFINED     2                  1,197
CENDANT CORP.                          EQUITY   151313103  10920     467,087  SH        SOLE        1     467,087
CENTENE CORP DEL                       EQUITY   15135B101    675      23,793  SH        SOLE        1      23,793
CENTENE CORP DEL                       EQUITY   15135B101  14714     519,000  SH        DEFINED     2                519,000
CENTENNIAL CELLULAR CORP.              EQUITY   15133V208     55       6,959  SH        SOLE        1       6,959
CENTER FINANCIAL CORP                  EQUITY   15146E102    113       5,653  SH        SOLE        1       5,653
CENTERPOINT ENERGY INC                 EQUITY   15189T107   1549     137,082  SH        SOLE        1     137,082
CENTERPOINT ENERGY INC                 EQUITY   15189T107      4         350  SH        DEFINED     2                    350
CENTERPOINT PPTYS TRUST                EQUITY   151895109               5400  SH        SOLE        3                          5400
CENTERPOINT PROPERTIES CORP.           EQUITY   151895109    314       6,551  SH        SOLE        1       6,551
CENTEX CORP                            EQUITY   152312104      8         141  SH        DEFINED     2                    141
CENTEX CORP.                           EQUITY   152312104   3460      58,066  SH        SOLE        1      58,066
CENTRAL COAST BANCORP                  EQUITY   153145107    122       5,264  SH        SOLE        1       5,264
CENTRAL EURO DISTRIBUTION CP           EQUITY   153435102    212       7,187  SH        SOLE        1       7,187
CENTRAL EUROPEAN DIST COM              EQUITY   153435102      3      104400  SH        SOLE        3      104400
CENTRAL FREIGHT LINES INC              EQUITY   153491105     32       5,035  SH        SOLE        1       5,035
CENTRAL GARDEN & PET C                 EQUITY   153527106    413       9,893  SH        SOLE        1       9,893
CENTRAL PACIFIC FINANCIAL CO           EQUITY   154760102    593      16,381  SH        SOLE        1      16,381
CENTRAL PARKING CORP.                  EQUITY   154785109    165      10,860  SH        SOLE        1      10,860
CENTRAL VT PUB SVC CORP COM            EQUITY   155771108    165       7,103  SH        SOLE        1       7,103
CENTURY ALUMINUM CO.                   EQUITY   156431108    289      11,020  SH        SOLE        1      11,020
CENTURY BANCORP INC                    EQUITY   156432106     61       2,053  SH        SOLE        1       2,053
CENTURY BUSINESS SERVICES              EQUITY   156490104    162      37,103  SH        SOLE        1      37,103
CENTURYTEL INC                         EQUITY   156700106      5         153  SH        DEFINED     2                    153
CENTURYTEL, INC.                       EQUITY   156700106   2151      60,650  SH        SOLE        1      60,650
CEPHALON INC                           EQUITY   156708109   4991      98,098  SH        SOLE        1      98,098
CEPHALON INC                           EQUITY   156708109   3134      61,600  SH        DEFINED     2                 61,600
CEPHEID                                EQUITY   15670R107    243      24,489  SH        SOLE        1      24,489
CERADYNE INC                           EQUITY   156710105    536       9,362  SH        SOLE        1       9,362
CERADYNE INC COM                       EQUITY   156710105      4       64100  SH        SOLE        3       62600              1500
CERES GROUP INC                        EQUITY   156772105     91      17,705  SH        SOLE        1      17,705
CERIDIAN CORP                          EQUITY   156779100   4622     252,819  SH        SOLE        1     252,819
CERNER CORP                            EQUITY   156782104    886      16,664  SH        SOLE        1      16,664
CERNER CORP                            EQUITY   156782104   1223      23,000  SH        DEFINED     2                 23,000
CERTEGY INC                            EQUITY   156880106   3779     106,373  SH        SOLE        1     106,373
CH ENERGY GROUP INC.                   EQUITY   12541M102    445       9,254  SH        SOLE        1       9,254
CHAMPION ENTERPRISES, INC.             EQUITY   158496109    489      41,358  SH        SOLE        1      41,358
CHARLES RIVER ASSOCIAT                 EQUITY   159852102    279       5,966  SH        SOLE        1       5,966
CHARLES RIVER LABORATORIES             EQUITY   159864107   5065     110,087  SH        SOLE        1     110,087
CHARLES SCHWAB                         EQUITY   808513105     24       2,050  SH        DEFINED     2                  2,050





                                                                                             
CHARLES SCHWAB CORP.                   EQUITY   808513105   8367     699,623  SH        SOLE        1     699,623
CHARLOTTE RUSSE HOLDING INC            EQUITY   161048103     69       6,809  SH        SOLE        1       6,809
CHARMING SHOPPES, INC.                 EQUITY   161133103    631      67,348  SH        SOLE        1      67,348
CHARTER COMMUNICATIONS INC CLASS A     EQUITY   16117M107    354     158,123  SH        SOLE        1     158,123
CHARTER FINL CORP WEST                 EQUITY   16122M100    102       2,330  SH        SOLE        1       2,330
CHARTER MUNICIPAL MORTGAGE ACC         EQUITY   160908109    630      25,775  SH        SOLE        1      25,775
CHATTEM INC                            EQUITY   162456107    325       9,820  SH        SOLE        1       9,820
CHECK POINT SOFTWARE TECH              EQUITY   M22465104    441      17,890  SH        SOLE        1      17,890
CHECKFREE HOLDINGS CORP.               EQUITY   162813109   5614     147,421  SH        SOLE        1     147,421
CHECKPOINT SYSTEMS, INC.               EQUITY   162825103    398      22,057  SH        SOLE        1      22,057
CHEESECAKE FACTORY                     EQUITY   163072101   4295     132,290  SH        SOLE        1     132,290
CHEMED CORP.                           EQUITY   16359R103    478       7,118  SH        SOLE        1       7,118
CHEMICAL FINANCIAL CORP.               EQUITY   163731102    603      14,057  SH        SOLE        1      14,057
CHENIERE ENERGY INC                    EQUITY   16411R208    706      11,090  SH        SOLE        1      11,090
CHEROKEE INC DEL NEW                   EQUITY   16444H102    140       3,979  SH        SOLE        1       3,979
CHEROKEE INTERNATIONAL CORP            EQUITY   164450108     40       4,163  SH        SOLE        1       4,163
CHESAPEAKE CORP.                       EQUITY   165159104    311      11,454  SH        SOLE        1      11,454
CHESAPEAKE ENERGY CORP.                EQUITY   165167107    109       6,607  SH        SOLE        1       6,607
CHEVRONTEXACO CORP                     EQUITY   166764100  53020   1,009,718  SH        SOLE        1   1,009,718
CHEVRONTEXACO CORP                     EQUITY   166764100  18850     359,038  SH        DEFINED     2                359,038
CHICAGO MERCANTILE EXCHANGE            EQUITY   167760107    174         759  SH        SOLE        1         759
CHICOS'S FAS INC.                      EQUITY   168615102   6914     151,857  SH        SOLE        1     151,857
CHILDREN'S PLACE, INC.                 EQUITY   168905107    368       9,940  SH        SOLE        1       9,940
CHINA MOBILE HK LTD - SPON ADR         EQUITY   16941M109   2305     134,340  SH        SOLE        1     134,340
CHINA PETROLEUM & CHEM-ADR             EQUITY   16941R108   1847      45,060  SH        SOLE        1      45,060
CHIQUITA BRANDS INTL                   EQUITY   170032809    528      23,918  SH        SOLE        1      23,918
CHIRON CORP                            EQUITY   170040109      7         212  SH        DEFINED     2                    212
CHIRON CORP.                           EQUITY   170040109   3849     115,480  SH        SOLE        1     115,480
CHITTENDEN CORP.                       EQUITY   170228100    776      27,013  SH        SOLE        1      27,013
CHOICE HOTELS INTL INC.                EQUITY   169905106     25         429  SH        SOLE        1         429
CHOICEPOINT INC.                       EQUITY   170388102   6937     150,840  SH        SOLE        1     150,840
CHORDIANT SOFTWARE INC                 EQUITY   170404107     96      42,086  SH        SOLE        1      42,086
CHRISTOPHER & BANKS CORPORATIO         EQUITY   171046105    407      22,057  SH        SOLE        1      22,057
CHUBB CORP                             EQUITY   171232101   4392      57,118  SH        DEFINED     2                 57,118
Chubb Corp Com Stk USD1                EQUITY   171232101  27295     357,930  SH        SOLE        1     357,930
CHURCH & DWIGHT CO., INC.              EQUITY   171340102   3568     106,118  SH        SOLE        1     106,118
CHURCHILL DOWNS, INC.                  EQUITY   171484108    199       4,452  SH        SOLE        1       4,452
CIA ANONIMA TELEF DE VEN-ADR (CANTV)   EQUITY   204421101    119       5,300  SH        SOLE        1       5,300
CIA CERVECERIA UNIDAS-ADR              EQUITY   204429104    474      18,800  SH        SOLE        1      18,800
CIA SANEAMENTO BASICODE-ADR            EQUITY   20441A102   5076     339,100  SH        SOLE        1     339,100
CIBER, INC.                            EQUITY   17163B102    289      29,940  SH        SOLE        1      29,940
CIENA CORP                             EQUITY   171779101      2         650  SH        DEFINED     2                    650
CIENA CORP.                            EQUITY   171779101   1165     348,701  SH        SOLE        1     348,701
CIGNA CORP                             EQUITY   125509109     12         153  SH        DEFINED     2                    153
CIGNA CORP.                            EQUITY   125509109   4942      60,590  SH        SOLE        1      60,590
CIMAREX ENERGY CO                      EQUITY   171798101    921      24,290  SH        SOLE        1      24,290
CINCINNATI BELL INC                    EQUITY   171871106   3909     942,024  SH        SOLE        1     942,024
CINCINNATI FINANCIAL CORP.             EQUITY   172062101   3325      75,115  SH        SOLE        1      75,115
CINCINNATI FINL CORP                   EQUITY   172062101      8         191  SH        DEFINED     2                    191
CINERGY CORP                           EQUITY   172474108      9         206  SH        DEFINED     2                    206
Cinergy Corp                           EQUITY   172474108   6140     147,500  SH        SOLE        4     147,500
CINERGY CORP.                          EQUITY   172474108  30329     728,533  SH        SOLE        1     728,533
CINTAS CORP                            EQUITY   172908105      9         195  SH        DEFINED     2                    195
CINTAS CORP.                           EQUITY   172908105   3952      90,098  SH        SOLE        1      90,098
CIPHERGEN BIOSYSTEMS INC               EQUITY   17252Y104     58      13,595  SH        SOLE        1      13,595
CIRCLE GROUP HOLDINGS INC              EQUITY   172570103     26      11,795  SH        SOLE        1      11,795
CIRCOR INTERNATIONAL, INC.             EQUITY   17273K109    209       9,005  SH        SOLE        1       9,005
CIRCUIT CITY STORES INC                EQUITY   172737108      3         222  SH        DEFINED     2                    222
CIRCUIT CITY STORES, INC.              EQUITY   172737108   1376      88,005  SH        SOLE        1      88,005





                                                                                             
CIRRUS LOGIC, INC.                     EQUITY   172755100    273      49,537  SH        SOLE        1      49,537
CISCO SYS INC                          EQUITY   17275R102  20966   1,086,339  SH        DEFINED     2              1,086,339
Cisco Systems Inc                      EQUITY   17275R102   1159      60,000  SH        SOLE        4      60,000
Cisco Systems Inc Com Stk              EQUITY   17275R102  99386   5,147,787  SH        SOLE        1   5,147,787
CIT GROUP INC                          EQUITY   125581108   4336      94,640  SH        SOLE        1      94,640
CIT GROUP INC NEW                      EQUITY   125581108     11         239  SH        DEFINED     2                    239
CITADEL BROADCASTING CORP              EQUITY   17285T106     21       1,300  SH        SOLE        1       1,300
CITIGOUP INC                           EQUITY   172967101 200764   4,166,949  SH        SOLE        1   4,166,949
CITIGROUP INC                          EQUITY   172967101  43855     910,211  SH        DEFINED     2                910,211
Citigroup Inc. Com Stk USD.01          EQUITY   172967101   1267      28,716  SH        SOLE        1      28,716
CITIZENS BANKING CORP.                 EQUITY   174420109    874      25,452  SH        SOLE        1      25,452
CITIZENS COMMUNICATIONS CO             EQUITY   17453B101      5         381  SH        DEFINED     2                    381
CITIZENS COMMUNICATIONS INC            EQUITY   17453B101  24861   1,802,803  SH        SOLE        1   1,802,803
CITIZENS FIRST BANCORP                 EQUITY   17461R106    121       5,006  SH        SOLE        1       5,006
CITIZENS INC                           EQUITY   174740100    117      18,401  SH        SOLE        1      18,401
CITRIX SYS INC                         EQUITY   177376100      5         193  SH        DEFINED     2                    193
CITRIX SYSTEMS, INC.                   EQUITY   177376100   2198      89,878  SH        SOLE        1      89,878
CITY HOLDING CO.                       EQUITY   177835105    356       9,815  SH        SOLE        1       9,815
CITY NATIONAL CORP.                    EQUITY   178566105   5900      83,507  SH        SOLE        1      83,507
CITYBANK                               EQUITY   17770A109    164       4,531  SH        SOLE        1       4,531
CK WITCO CORP                          EQUITY   227116100   3063     259,602  SH        SOLE        1     259,602
CKE RESTAURANTS INC                    EQUITY   12561E105    441      30,378  SH        SOLE        1      30,378
CLAIRE'S STORES, INC.                  EQUITY   179584107   3571     168,042  SH        SOLE        1     168,042
CLARCOR, INC.                          EQUITY   179895107    816      14,898  SH        SOLE        1      14,898
CLARK INC                              EQUITY   181457102    147       9,465  SH        SOLE        1       9,465
CLAYTON WILLIAMS ENERGY, INC.          EQUITY   969490101     68       2,984  SH        SOLE        1       2,984
CLEAR CHANNEL COMMUNICATIO             EQUITY   184502102     22         652  SH        DEFINED     2                    652
CLEAR CHANNEL COMMUNICATIONS           EQUITY   184502102   9254     276,334  SH        SOLE        1     276,334
CLECO CORP                             EQUITY   12561W105    566      27,918  SH        SOLE        1      27,918
CLEVELAND CLIFFS INC                   EQUITY   185896107   8101      78,000  SH        DEFINED     2                 78,000
CLEVELAND-CLIFFS, INC.                 EQUITY   185896107    652       6,279  SH        SOLE        1       6,279
CLIFTON SAVINGS BANCORP INC            EQUITY   18712Q103     98       8,070  SH        SOLE        1       8,070
CLOROX CO                              EQUITY   189054109  14047     238,364  SH        DEFINED     2                238,364
CLOROX CO.                             EQUITY   189054109   4000      67,869  SH        SOLE        1      67,869
CLOSURE MEDICAL CORP.                  EQUITY   189093107     79       4,033  SH        SOLE        1       4,033
CMGI INC.                              EQUITY   125750109    669     262,309  SH        SOLE        1     262,309
CMS ENERGY CORP                        EQUITY   125896100      2         221  SH        DEFINED     2                    221
CMS ENERGY CORP.                       EQUITY   125896100   2060     197,113  SH        SOLE        1     197,113
CNA FINANCIAL CORP                     EQUITY   126117100     17         629  SH        SOLE        1         629
CNA SURETY CORP.                       EQUITY   12612L108    122       9,137  SH        SOLE        1       9,137
CNET NETWORKS INC                      EQUITY   12613R104   3745     333,500  SH        DEFINED     2                333,500
CNET NETWORKS INC.                     EQUITY   12613R104    839      74,696  SH        SOLE        1      74,696
CNF INC.                               EQUITY   12612W104   4405      87,930  SH        SOLE        1      87,930
COACH INC                              EQUITY   189754104   4755      84,309  SH        SOLE        1      84,309
COACH INC                              EQUITY   189754104     12         215  SH        DEFINED     2                    215
COACHMEN INDUSTRIES, INC.              EQUITY   189873102    142       8,162  SH        SOLE        1       8,162
COASTAL FINL CORP DEL                  EQUITY   19046E105    144       7,533  SH        SOLE        1       7,533
COBIZ INC                              EQUITY   190897108    154       7,569  SH        SOLE        1       7,569
COCA COLA CO                           EQUITY   191216100  23490     564,250  SH        DEFINED     2                564,250
COCA COLA ENTERPRISES INC              EQUITY   191219104     11         533  SH        DEFINED     2                    533
COCA COLA ENTERPRISES, INC.            EQUITY   191219104   5022     240,842  SH        SOLE        1     240,842
COCA-COLA BOTTLING CO.                 EQUITY   191098102    133       2,328  SH        SOLE        1       2,328
COCA-COLA CO.                          EQUITY   191216100  46719   1,121,979  SH        SOLE        1   1,121,979
COEUR D'ALENE MINES CORP               EQUITY   192108108    550     139,861  SH        SOLE        1     139,861
COGENT INC                             EQUITY   19239Y108     15         440  SH        SOLE        1         440
COGNEX CORP.                           EQUITY   192422103    652      23,378  SH        SOLE        1      23,378
COGNIZANT TECH SOLUTION                EQUITY   192446102   9956     235,210  SH        SOLE        1     235,210
COGNIZANT TECH SOLUTNS CL A            EQUITY   192446102      1       29500  SH        SOLE        3       28200              1300
COGNOS INC                             EQUITY   19244C109  37169     843,600  SH        DEFINED     2                843,600





                                                                                             
COHEN & STEERS INC                     EQUITY   19247A100     72       4,404  SH        SOLE        1       4,404
COHERENT, INC.                         EQUITY   192479103    538      17,661  SH        SOLE        1      17,661
COHU, INC.                             EQUITY   192576106    234      12,590  SH        SOLE        1      12,590
COINSTAR, INC                          EQUITY   19259P300    336      12,516  SH        SOLE        1      12,516
COLDWATER CREEK, INC.                  EQUITY   193068103    398      12,879  SH        SOLE        1      12,879
COLE, K. PRODUCTIONS, INC. CLASS A     EQUITY   193294105    151       4,897  SH        SOLE        1       4,897
Coles Myer Ltd ADR                     EQUITY   193870409     89       1,650  SH        SOLE        1       1,650
COLGATE PALMOLIVE CO                   EQUITY   194162103  14069     275,005  SH        DEFINED     2                275,005
Colgate-Palmolive Co Com Stk USD1      EQUITY   194162103  18326     369,598  SH        SOLE        1     369,598
COLLEGIATE FUNDING SERVICES            EQUITY   19458M108     66       4,697  SH        SOLE        1       4,697
COLLINS & AIKMAN CORP                  EQUITY   194830204     98      22,494  SH        SOLE        1      22,494
COLONIAL BANCGROUP, INC.               EQUITY   195493309   4834     227,703  SH        SOLE        1     227,703
COLONIAL PROPERTIES TRUST              EQUITY   195872106    557      14,172  SH        SOLE        1      14,172
COLOR KINETICS INC                     EQUITY   19624P100     41       2,354  SH        SOLE        1       2,354
COLUMBIA BANCORP                       EQUITY   197227101    117       3,410  SH        SOLE        1       3,410
COLUMBIA BANKING SYSTEM, INC           EQUITY   197236102    227       9,088  SH        SOLE        1       9,088
COLUMBIA SPORTSWEAR                    EQUITY   198516106     22         363  SH        SOLE        1         363
COMCAST CORP NEW                       EQUITY   20030N101  11277     338,856  SH        DEFINED     2                338,856
COMCAST CORP-CL A                      EQUITY   20030N101  44498   1,337,077  SH        SOLE        1   1,337,077
COMERICA INC                           EQUITY   200340107   5754      94,294  SH        DEFINED     2                 94,294
COMERICA, INC.                         EQUITY   200340107   5960      97,665  SH        SOLE        1      97,665
COMFORT SYS USA INC                    EQUITY   199908104    173      22,583  SH        SOLE        1      22,583
COMMERCE BANCORP INC                   EQUITY   200519106   8674     134,693  SH        SOLE        1     134,693
COMMERCE BANCSHARES                    EQUITY   200525103     76       1,510  SH        SOLE        1       1,510
COMMERCE GROUP, INC.                   EQUITY   200641108    868      14,218  SH        SOLE        1      14,218
COMMERCIAL CAPITAL BANCORP             EQUITY   20162L105    494      21,325  SH        SOLE        1      21,325
COMMERCIAL FEDERAL CORP.               EQUITY   201647104    711      23,920  SH        SOLE        1      23,920
COMMERCIAL METALS CO.                  EQUITY   201723103    862      17,049  SH        SOLE        1      17,049
COMMERCIAL NET LEASE REALTY            EQUITY   202218103    744      36,134  SH        SOLE        1      36,134
COMMERCIAL VEHICLE GROUP INC           EQUITY   202608105    125       5,728  SH        SOLE        1       5,728
COMMONWEALTH TELEPHONE ENT.            EQUITY   203349105    628      12,652  SH        SOLE        1      12,652
COMMSCOPE INC.                         EQUITY   203372107   2319     122,711  SH        SOLE        1     122,711
COMMUNITY BANK SYSTEM, INC.            EQUITY   203607106    448      15,849  SH        SOLE        1      15,849
COMMUNITY BANKS INC                    EQUITY   203628102    177       6,276  SH        SOLE        1       6,276
COMMUNITY HEALTH SYS                   EQUITY   203668108   4123     147,867  SH        SOLE        1     147,867
COMMUNITY TRUST BANCORP                EQUITY   204149108    226       6,987  SH        SOLE        1       6,987
Compania Telecomunicaciones Chile AD   EQUITY   204449300    255      13,500  SH        SOLE        1      13,500
COMPASS BANCSHARES INC                 EQUITY   20449H109      7         139  SH        DEFINED     2                    139
COMPASS BANCSHARES, INC.               EQUITY   20449H109   2685      55,162  SH        SOLE        1      55,162
COMPASS MINERALS INTERNATION           EQUITY   20451N101    215       8,858  SH        SOLE        1       8,858
COMPUCREDIT CORPORATION                EQUITY   20478N100    300      10,963  SH        SOLE        1      10,963
COMPUTER ASSOC INTL INC                EQUITY   204912109     21         666  SH        DEFINED     2                    666
COMPUTER ASSOCIATES  INT'L.            EQUITY   204912109   7703     248,006  SH        SOLE        1     248,006
COMPUTER PROGRAMS & SY                 EQUITY   205306103     88       3,785  SH        SOLE        1       3,785
COMPUTER SCIENCES                      EQUITY   205363104      1       21700  SH        SOLE        3       21700
COMPUTER SCIENCES CORP                 EQUITY   205363104     12         215  SH        DEFINED     2                    215
COMPUTER SCIENCES CORP.                EQUITY   205363104   4798      85,121  SH        SOLE        1      85,121
COMPUWARE CORP                         EQUITY   205638109      3         440  SH        DEFINED     2                    440
COMPUWARE CORP.                        EQUITY   205638109   1116     174,169  SH        SOLE        1     174,169
COMPX INTERNATIONAL INC.               EQUITY   20563P101     33       1,993  SH        SOLE        1       1,993
COMSTOCK RESOURCES, INC.               EQUITY   205768203    449      20,364  SH        SOLE        1      20,364
COMTECH TELECOMMUNICATIONS             EQUITY   205826209    314       8,348  SH        SOLE        1       8,348
COMVERSE TECHNOLOGY INC                EQUITY   205862402      6         225  SH        DEFINED     2                    225
COMVERSE TECHNOLOGY, INC.              EQUITY   205862402   2522     103,165  SH        SOLE        1     103,165
CONAGRA INC                            EQUITY   205887102  13026     442,296  SH        DEFINED     2                442,296
CONAGRA, INC.                          EQUITY   205887102   6441     218,725  SH        SOLE        1     218,725
CONCEPTUS INC                          EQUITY   206016107    122      14,973  SH        SOLE        1      14,973
CONCORD COMMUNICATIONS                 EQUITY   206186108    119      10,736  SH        SOLE        1      10,736
CONCUR TECHNOLOGIES INC                EQUITY   206708109    137      15,362  SH        SOLE        1      15,362





                                                                                             
CONEXANT SYSTEMS INC.                  EQUITY   207142100     22      11,026  SH        SOLE        1      11,026
CONMED CORP.                           EQUITY   207410101    496      17,456  SH        SOLE        1      17,456
CONNECTICUT WATER SVC INC              EQUITY   207797101    124       4,694  SH        SOLE        1       4,694
CONNETICS CORP                         EQUITY   208192104    448      18,444  SH        SOLE        1      18,444
CONNETICS CORP                         EQUITY   208192104    972      40,000  SH        DEFINED     2                 40,000
CONNETICS CORP COM                     EQUITY   208192104      6      233800  SH        SOLE        3      226500              7300
CONN'S INC                             EQUITY   208242107     68       4,060  SH        SOLE        1       4,060
CONOCOPHILLIPS                         EQUITY   20825C104     68         784  SH        DEFINED     2                    784
CONOCOPHILLIPS PETROLEUM CO            EQUITY   20825C104  41250     476,729  SH        SOLE        1     476,729
CONS TOMOKA LAND CO-FLORIDA            EQUITY   210226106    142       3,308  SH        SOLE        1       3,308
CONSECO INC                            EQUITY   208464883     75       3,772  SH        SOLE        1       3,772
CONSOL ENERGY INC                      EQUITY   20854P109     87       2,130  SH        SOLE        1       2,130
CONSOLIDATED EDISON INC                EQUITY   209115104     12         275  SH        DEFINED     2                    275
CONSOLIDATED EDISON, INC.              EQUITY   209115104  25147     574,799  SH        SOLE        1     574,799
CONSOLIDATED GRAPHICS, INC.            EQUITY   209341106    304       6,620  SH        SOLE        1       6,620
CONSTELLATION BRANDS                   EQUITY   21036P108   8528     183,358  SH        SOLE        1     183,358
CONSTELLATION ENERGY GROUP             EQUITY   210371100      9         200  SH        DEFINED     2                    200
CONSTELLATION ENERGY GRUOP INC         EQUITY   210371100   3449      78,910  SH        SOLE        1      78,910
CONTINENTAL AIRLS INC COM CL B         EQUITY   210795308    534      39,432  SH        SOLE        1      39,432
CONVERGYS CORP                         EQUITY   212485106   1219      81,318  SH        SOLE        1      81,318
CONVERGYS CORP                         EQUITY   212485106      2         161  SH        DEFINED     2                    161
COOPER CAMERON CORP.                   EQUITY   216640102   5798     107,741  SH        SOLE        1     107,741
COOPER COS INC COM NEW                 EQUITY   216648402     12      171604  SH        SOLE        3      167766              3838
COOPER INDUSTRIES INC CL A             EQUITY   G24182100   2653      39,074  SH        SOLE        1      39,074
COOPER INDUSTRIES LTD                  EQUITY   G24182100      7         104  SH        DEFINED     2                    104
COOPER TIRE & RUBBER CO                EQUITY   216831107   1519      70,491  SH        SOLE        1      70,491
COOPER TIRE + RUBR CO                  EQUITY   216831107      2          85  SH        DEFINED     2                     85
COORS ADOLPH CLASS B                   EQUITY   217016104   1255      16,591  SH        SOLE        1      16,591
COORS ADOLPH CO                        EQUITY   217016104      3          43  SH        DEFINED     2                     43
COPART, INC.                           EQUITY   217204106   4015     152,528  SH        SOLE        1     152,528
CORCEPT THERAPEUTICS INC               EQUITY   218352102     17       2,647  SH        SOLE        1       2,647
CORGENTECH INC                         EQUITY   21872P105     30       3,613  SH        SOLE        1       3,613
CORILLIAN CORP                         EQUITY   218725109     94      19,041  SH        SOLE        1      19,041
CORINTHIAN COLLEGES COM                EQUITY   218868107     11      577932  SH        SOLE        3      565200             12732
CORINTHIAN COLLEGES INC                EQUITY   218868107   2898     153,780  SH        SOLE        1     153,780
CORIXA CORP.                           EQUITY   21887F100    127      34,851  SH        SOLE        1      34,851
CORN PRODUCTS INTERNATIONAL            EQUITY   219023108   1146      21,405  SH        SOLE        1      21,405
CORNELL COMPANIES INC                  EQUITY   219141108    119       7,813  SH        SOLE        1       7,813
CORNERSTONE REALITY INCOME             EQUITY   21922V102    357      35,738  SH        SOLE        1      35,738
CORNING INC                            EQUITY   219350105     19       1,594  SH        DEFINED     2                  1,594
CORNING, INC.                          EQUITY   219350105   7073     600,934  SH        SOLE        1     600,934
CORP EXEC BOARD CO.                    EQUITY   21988R102     60         901  SH        SOLE        1         901
CORPORATE EXEC BRD CO COM              EQUITY   21988R102     14      204398  SH        SOLE        3      200090              4308
CORPORATE OFFICE PROPERTIES TR         EQUITY   22002T108    750      25,559  SH        SOLE        1      25,559
CORRECTIONAL PROPERTIES TRUST          EQUITY   22025E104    222       7,675  SH        SOLE        1       7,675
Corrections Corp Amer                  EQUITY   22025Y407   1618      40,000  SH        SOLE        4      40,000
CORRECTIONS CORP. OF AMERICA           EQUITY   22025Y407    835      20,636  SH        SOLE        1      20,636
CORUS BANKSHARES, INC.                 EQUITY   220873103    439       9,141  SH        SOLE        1       9,141
CORVEL CORP.                           EQUITY   221006109    100       3,721  SH        SOLE        1       3,721
COSI INC                               EQUITY   22122P101     73      12,076  SH        SOLE        1      12,076
COST PLUS, INC.                        EQUITY   221485105    412      12,820  SH        SOLE        1      12,820
COSTAR GROUP, INC.                     EQUITY   22160N109    435       9,415  SH        SOLE        1       9,415
COSTCO WHOLESALE CORPORATION           EQUITY   22160K105  10614     219,243  SH        SOLE        1     219,243
COSTCO WHSL CORP NEW                   EQUITY   22160K105     26         533  SH        DEFINED     2                    533
COTT CORPORATION                       EQUITY   22163N106   2182      88,500  SH        DEFINED     1           0     88,500
COUNTRYWIDE FINANCIAL                  EQUITY   222372104   9147     247,142  SH        SOLE        1     247,142
COUNTRYWIDE FINL CORP                  EQUITY   222372104     24         660  SH        DEFINED     2                    660
COURIER CORP                           EQUITY   222660102    196       3,782  SH        SOLE        1       3,782
COURTYARD BY MARRIOTT II               EQUITY   44107P104    820      47,419  SH        SOLE        1      47,419





                                                                                             
COUSINS PROPERTIES, INC.               EQUITY   222795106    805      26,589  SH        SOLE        1      26,589
COVANCE INC                            EQUITY   222816100    984      25,400  SH        DEFINED     2                 25,400
COVANCE INC COM                        EQUITY   222816100     11      276822  SH        SOLE        3      270900              5922
COVANCE INC.                           EQUITY   222816100   4117     106,255  SH        SOLE        1     106,255
COVANSYS CORP.                         EQUITY   22281W103    180      11,778  SH        SOLE        1      11,778
COVENANT TRANSPORT INC CLASS A         EQUITY   22284P105    107       5,122  SH        SOLE        1       5,122
COVENTRY HEALTH CARE, INC.             EQUITY   222862104   8113     152,446  SH        SOLE        1     152,446
COX RADIO INC-CL A                     EQUITY   224051102     15         921  SH        SOLE        1         921
CRANE CO.                              EQUITY   224399105   2693      93,380  SH        SOLE        1      93,380
CRAWFORD & CO. CLASS B                 EQUITY   224633107     57       7,557  SH        SOLE        1       7,557
CRAY INC                               EQUITY   225223106    234      50,315  SH        SOLE        1      50,315
CREDENCE SYSTEMS CORP.                 EQUITY   225302108   1980     216,409  SH        SOLE        1     216,409
CREDIT ACCEPTANCE CORP.                EQUITY   225310101    150       5,900  SH        SOLE        1       5,900
CREE INC                               EQUITY   225447101   5035     125,617  SH        SOLE        1     125,617
CREE INC COM                           EQUITY   225447101     10      257566  SH        SOLE        3      252400              5166
CRESCENT REAL ESTATE COM               EQUITY   225756105              11120  SH        SOLE        3                         11120
CRESCENT REAL ESTATE EQUITIES, INC.    EQUITY   225756105    238      13,038  SH        SOLE        1      13,038
CRITICAL THERAPEUTICS INC              EQUITY   22674T105   3272     409,000  SH        DEFINED     2                409,000
CROSS COUNTRY HEALTHCARE INC           EQUITY   227483104    244      13,479  SH        SOLE        1      13,479
CROSSTEX ENERGY INC                    EQUITY   22765Y104     57       1,350  SH        SOLE        1       1,350
CROWN CASTLE INTERNATIONAL             EQUITY   228227104     76       4,558  SH        SOLE        1       4,558
CROWN HOLDINGS INC                     EQUITY   228368106   1330      96,834  SH        SOLE        1      96,834
CROWN MEDIA HOLDINGS-CLASS A           EQUITY   228411104     73       8,533  SH        SOLE        1       8,533
CRT PROPERTIES INC                     EQUITY   22876P109    987      41,356  SH        SOLE        1      41,356
CSG SYSTEMS INTERNATIONAL, INC         EQUITY   126349109   2163     115,683  SH        SOLE        1     115,683
CSK AUTO CORP                          EQUITY   125965103    457      27,311  SH        SOLE        1      27,311
CSS INDUSTRIES, INC.                   EQUITY   125906107    129       4,077  SH        SOLE        1       4,077
CSX  CORP.                             EQUITY   126408103   3877      96,724  SH        SOLE        1      96,724
CSX CORP                               EQUITY   126408103     10         244  SH        DEFINED     2                    244
CT COMMUNICATION                       EQUITY   126426402    136      11,086  SH        SOLE        1      11,086
CTI MOLECULAR IMAGING INC              EQUITY   22943D105    259      18,263  SH        SOLE        1      18,263
CTS CORP.                              EQUITY   126501105    281      21,181  SH        SOLE        1      21,181
CUBIC CORP.                            EQUITY   229669106    230       9,177  SH        SOLE        1       9,177
CUBIST PHARMA INC                      EQUITY   229678107    279      23,617  SH        SOLE        1      23,617
CUBIST PHARMACEUTICALS INC             EQUITY   229678107   3075     259,900  SH        DEFINED     2                259,900
CULLEN/FROST BANKERS                   EQUITY   229899109   4309      88,671  SH        SOLE        1      88,671
CUMMINS INC                            EQUITY   231021106      4          52  SH        DEFINED     2                     52
CUMMINS INC.                           EQUITY   231021106   1704      20,339  SH        SOLE        1      20,339
CUMULUS MEDIA, INC.                    EQUITY   231082108    434      28,795  SH        SOLE        1      28,795
CUNO, INC.                             EQUITY   126583103    591       9,942  SH        SOLE        1       9,942
CURAGEN CORP                           EQUITY   23126R101    181      25,286  SH        SOLE        1      25,286
CURIS INC.                             EQUITY   231269101    145      27,756  SH        SOLE        1      27,756
CURTISS-WRIGHT CORP.                   EQUITY   231561101    707      12,322  SH        SOLE        1      12,322
CV THERAPEUTICS, INC.                  EQUITY   126667104    425      18,482  SH        SOLE        1      18,482
CVB FINANCIAL CORP                     EQUITY   126600105    571      21,513  SH        SOLE        1      21,513
CVS CORP                               EQUITY   126650100     21         455  SH        DEFINED     2                    455
CVS Corp                               EQUITY   126650100   1803      40,000  SH        SOLE        4      40,000
CVS CORP.                              EQUITY   126650100  12742     282,710  SH        SOLE        1     282,710
CYBERGUARD CORP                        EQUITY   231910100     63      10,060  SH        SOLE        1      10,060
CYBERONICS                             EQUITY   23251P102    211      10,166  SH        SOLE        1      10,166
CYBEROPTICS CORP                       EQUITY   232517102     65       4,354  SH        SOLE        1       4,354
CYBERSOURCE CORP                       EQUITY   23251J106    115      16,036  SH        SOLE        1      16,036
CYMER, INC.                            EQUITY   232572107    637      21,579  SH        SOLE        1      21,579
CYPRESS BIOSCIENCE INC                 EQUITY   232674507    242      17,245  SH        SOLE        1      17,245
CYPRESS BIOSCIENCES INC                EQUITY   232674507   4481     318,700  SH        DEFINED     2                318,700
CYPRESS SEMICONDUCTOR CORP.            EQUITY   232806109   2508     213,852  SH        SOLE        1     213,852
CYTEC INDUSTRIES, INC.                 EQUITY   232820100   4592      89,296  SH        SOLE        1      89,296
CYTOGEN CORP                           EQUITY   232824300    105       9,105  SH        SOLE        1       9,105
CYTOKINETICS INC                       EQUITY   23282W100     46       4,446  SH        SOLE        1       4,446





                                                                                             
CYTYC CORPORATION                      EQUITY   232946103   5240     190,049  SH        SOLE        1     190,049
D & E COMMUNICATIONSINC                EQUITY   232860106     85       7,020  SH        SOLE        1       7,020
D.R. HORTON INC                        EQUITY   23331A109  15997     396,851  SH        SOLE        1     396,851
DADE BEHRING HOLDINGS INC              EQUITY   23342J206     56         996  SH        SOLE        1         996
DANA CORP                              EQUITY   235811106   1471      84,875  SH        SOLE        1      84,875
DANA CORP                              EQUITY   235811106      3         170  SH        DEFINED     2                    170
DANAHER CORP                           EQUITY   235851102     20         351  SH        DEFINED     2                    351
DANAHER CORP.                          EQUITY   235851102  15305     266,597  SH        SOLE        1     266,597
DANIELSON HOLDING CORP                 EQUITY   236274106    227      26,919  SH        SOLE        1      26,919
DARDEN RESTAURANTS INC                 EQUITY   237194105      5         179  SH        DEFINED     2                    179
DARDEN RESTAURANTS, INC.               EQUITY   237194105   1963      70,750  SH        SOLE        1      70,750
DARLING INTERNATIONAL INC              EQUITY   237266101    163      37,484  SH        SOLE        1      37,484
DATASCOPE CORP.                        EQUITY   238113104    271       6,840  SH        SOLE        1       6,840
DAVE & BUSTERS INC                     EQUITY   23833N104    132       6,521  SH        SOLE        1       6,521
DAVITA INC                             EQUITY   23918K108     91       2,291  SH        SOLE        1       2,291
DDI CORP                               EQUITY   233162304     49      15,312  SH        SOLE        1      15,312
DEAN FOODS CO                          EQUITY   242370104   8359     253,674  SH        SOLE        1     253,674
DEB SHOPS, INC                         EQUITY   242728103     62       2,492  SH        SOLE        1       2,492
DECKERS OUTDOOR CORP                   EQUITY   243537107    247       5,262  SH        SOLE        1       5,262
DECKERS OUTDOOR CORP COM               EQUITY   243537107      2       52900  SH        SOLE        3       52900
DECODE GENETICS, INC                   EQUITY   243586104    220      28,198  SH        SOLE        1      28,198
DEERE & CO.                            EQUITY   244199105   7852     105,542  SH        SOLE        1     105,542
DEERE + CO                             EQUITY   244199105    107       1,457  SH        DEFINED     2                  1,457
DEL LABS INC                           EQUITY   245091103    100       2,876  SH        SOLE        1       2,876
DEL MONTE                              EQUITY   24522P103     50       4,514  SH        SOLE        1       4,514
DELL INC                               EQUITY   24702R101  96121   2,293,418  SH        SOLE        1   2,293,418
DELL INC                               EQUITY   24702R101  25589     607,249  SH        DEFINED     2                607,249
DELPHI CORP                            EQUITY   247126105   2260     250,508  SH        SOLE        1     250,508
DELPHI CORP                            EQUITY   247126105      6         638  SH        DEFINED     2                    638
DELPHI FINANCIAL GROUP, INC., CLASS A  EQUITY   247131105    669      14,501  SH        SOLE        1      14,501
DELTA & PINE LAND CO.                  EQUITY   247357106    606      22,197  SH        SOLE        1      22,197
DELTA AIR LINES INC                    EQUITY   247361108      1         147  SH        DEFINED     2                    147
DELTA AIR LINES, INC.                  EQUITY   247361108    880     117,643  SH        SOLE        1     117,643
DELTA PETROLEUM CORP                   EQUITY   247907207    173      11,064  SH        SOLE        1      11,064
DELTIC TIMBER CORP.                    EQUITY   247850100    247       5,810  SH        SOLE        1       5,810
DELUXE CORP.                           EQUITY   248019101   3345      89,618  SH        SOLE        1      89,618
DENBURY RESOURCES INC                  EQUITY   247916208    881      32,104  SH        SOLE        1      32,104
DENDREON CORP                          EQUITY   24823Q107   1877     174,159  SH        SOLE        1     174,159
DENDRITE INTERNATIONAL, INC.           EQUITY   248239105    411      21,194  SH        SOLE        1      21,194
DENTSPLY INTERNATIONAL INC.            EQUITY   249030107   8020     142,707  SH        SOLE        1     142,707
DEPARTMENT 56 INC                      EQUITY   249509100    129       7,772  SH        SOLE        1       7,772
DEPOMED INC                            EQUITY   249908104     67      12,383  SH        SOLE        1      12,383
DESIGN WITHIN REACH INC                EQUITY   250557105     36       2,456  SH        SOLE        1       2,456
DEVELOPERS DIVERS RLTY COM             EQUITY   251591103      1       12050  SH        SOLE        3                         12050
DEVELOPERS DIVERSIFIED REALTY          EQUITY   251591103  10314     232,460  SH        SOLE        1     232,460
DEVON ENERGY CORP.                     EQUITY   25179M103   9087     233,472  SH        SOLE        1     233,472
DEVON ENERGY CORPORATION N             EQUITY   25179M103     21         552  SH        DEFINED     2                    552
DEVRY, INC.                            EQUITY   251893103   2074     119,472  SH        SOLE        1     119,472
DEX MEDIA INC                          EQUITY   25212E100     32       1,265  SH        SOLE        1       1,265
DHB INDS INC                           EQUITY   23321E103    228      11,982  SH        SOLE        1      11,982
DIAGEO PLC                             EQUITY   25243Q205  10638     183,800  SH        DEFINED     2                183,800
DIAGNOSTIC PRODUCTS CORP.              EQUITY   252450101    730      13,261  SH        SOLE        1      13,261
DIAMOND OFFSHORE DRILLING              EQUITY   25271C102   1100      27,465  SH        SOLE        1      27,465
DIAMONDCLUSTER INT'L INC CL A          EQUITY   25278P106    196      13,669  SH        SOLE        1      13,669
DICK'S SPORTING GOODS INC              EQUITY   253393102    622      17,691  SH        SOLE        1      17,691
DIEBOLD, INC.                          EQUITY   253651103   6772     121,509  SH        SOLE        1     121,509
DIGENE CORP                            EQUITY   253752109    215       8,239  SH        SOLE        1       8,239
DIGI INTERNATIONAL INC                 EQUITY   253798102    216      12,586  SH        SOLE        1      12,586
DIGIMARC CORP                          EQUITY   253807101     85       9,072  SH        SOLE        1       9,072





                                                                                              
DIGITAL INSIGHT                        EQUITY   25385P106    379      20,595  SH        SOLE        1      20,595
DIGITAL REALTY TRUST INC               EQUITY   253868103    157      11,661  SH        SOLE        1      11,661
DIGITAL RIV INC                        EQUITY   25388B104    779      18,711  SH        SOLE        1      18,711
DIGITAL THEATER SYSTEMS INC            EQUITY   25389G102    199       9,863  SH        SOLE        1       9,863
DIGITAS INC                            EQUITY   25388K104    397      41,606  SH        SOLE        1      41,606
DILLARDS INC                           EQUITY   254067101      2          93  SH        DEFINED     2                     93
DILLARDS, INC. CLASS A                 EQUITY   254067101    979      36,417  SH        SOLE        1      36,417
DIME COMMUNITY BANCSHARES              EQUITY   253922108    325      18,155  SH        SOLE        1      18,155
DIMON, INC.                            EQUITY   254394109    178      26,493  SH        SOLE        1      26,493
DIODES INC                             EQUITY   254543101     95       4,195  SH        SOLE        1       4,195
DIONEX CORP.                           EQUITY   254546104    616      10,868  SH        SOLE        1      10,868
DIRECT GENERAL CORP                    EQUITY   25456W204    298       9,296  SH        SOLE        1       9,296
DISCOVERY LABORATORIES INC             EQUITY   254668106    218      27,441  SH        SOLE        1      27,441
DISNEY WALT CO                         EQUITY   254687106   4312     155,122  SH        DEFINED     2                155,122
DITECH COMMUNICATIONS CORP             EQUITY   25500M103    263      17,577  SH        SOLE        1      17,577
DIVERSA CORP                           EQUITY   255064107    121      13,873  SH        SOLE        1      13,873
DJ ORTHOPEDICS INC                     EQUITY   23325G104    225      10,495  SH        SOLE        1      10,495
DOBSON COMMUNICATIONS                  EQUITY   256069105   3721   1,768,275  SH        SOLE        1   1,766,776
DOBSON COMMUNICATIONS CORP             EQUITY   256069105    303     176,316  SH        DEFINED     2                176,316
DOLLAR GEN CORP                        EQUITY   256669102      8         372  SH        DEFINED     2                    372
DOLLAR GENERAL CORP.                   EQUITY   256669102   3022     145,522  SH        SOLE        1     145,522
DOLLAR THRIFTY AUTOMOTIVE              EQUITY   256743105    447      14,815  SH        SOLE        1      14,815
DOLLAR TREE STORES INC.                EQUITY   256747106   5750     199,876  SH        SOLE        1     199,876
DOMINION HOMES INC                     EQUITY   257386102     58       2,345  SH        SOLE        1       2,345
DOMINION RES INC VA NEW                EQUITY   25746U109     26         377  SH        DEFINED     2                    377
DOMINION RESOURCES, INC.               EQUITY   25746U109   9552     141,007  SH        SOLE        1     141,007
DOMINO'S PIZZA INC                     EQUITY   25754A201    253      14,233  SH        SOLE        1      14,233
DONALDSON CO., INC.                    EQUITY   257651109   4606     141,376  SH        SOLE        1     141,376
DONEGAL GROUP INC-CL A                 EQUITY   257701201     84       3,675  SH        SOLE        1       3,675
DONNELLEY R R + SONS CO                EQUITY   257867101      9         250  SH        DEFINED     2                    250
DORAL FINANCIAL CORP.                  EQUITY   25811P100     98       1,992  SH        SOLE        1       1,992
DORCHESTER MINERALS LP                 EQUITY   25820R105    100       4,200  SH        SOLE        1       4,200
DOT HILL SYSTEMS CORP                  EQUITY   25848T109    200      25,472  SH        SOLE        1      25,472
DOUBLECLICK INC                        EQUITY   258609304    516      66,299  SH        SOLE        1      66,299
DOV PHARMACEUTICAL INC                 EQUITY   259858108    150       8,305  SH        SOLE        1       8,305
DOVER CORP                             EQUITY   260003108  35868     855,231  SH        DEFINED     2                855,231
DOVER CORP.                            EQUITY   260003108   9504     230,927  SH        SOLE        1     230,927
DOVER DOWNS GAMING & ENTERTA           EQUITY   260095104     76       5,955  SH        SOLE        1       5,955
DOVER MOTORSPORTS INC                  EQUITY   260174107     52       9,158  SH        SOLE        1       9,158
DOW CHEM CO                            EQUITY   260543103  15500     313,072  SH        DEFINED     2                313,072
Dow Chemical                           EQUITY   260543103    990      20,000  SH        SOLE        4      20,000
DOW CHEMICAL CO.                       EQUITY   260543103  21883     441,992  SH        SOLE        1     441,992
DOW JONES & CO., INC.                  EQUITY   260561105   1847      42,899  SH        SOLE        1      42,899
DOW JONES + CO INC                     EQUITY   260561105      4          93  SH        DEFINED     2                     93
DOWNEY FINANCIAL CORP.                 EQUITY   261018105    656      11,508  SH        SOLE        1      11,508
DPL, INC.                              EQUITY   233293109   5407     215,328  SH        SOLE        1     215,328
DREAMWORKS ANIMATION SKG-A             EQUITY   26153C103     28         749  SH        SOLE        1         749
DRESS BARN, INC.                       EQUITY   261570105    212      12,041  SH        SOLE        1      12,041
DREW INDUSTRIES INC                    EQUITY   26168L205    152       4,190  SH        SOLE        1       4,190
DREYERS GRAND ICE CREAM                EQUITY   261877104    558       6,940  SH        SOLE        1       6,940
DRILL QUIP                             EQUITY   262037104     93       3,815  SH        SOLE        1       3,815
DRS TECHNOLOGIES INC                   EQUITY   23330X100    594      13,900  SH        SOLE        1      13,900
DRS TECHNOLOGIES INC COM               EQUITY   23330X100     10      226208  SH        SOLE        3      221400              4808
DRUGSTORE.COM                          EQUITY   262241102     88      25,997  SH        SOLE        1      25,997
DSP GROUP, INC. COM                    EQUITY   23332B106    380      17,036  SH        SOLE        1      17,036
DST SYSTEMS INC                        EQUITY   233326107   7413     142,230  SH        SOLE        1     142,230
DTE ENERGY CO                          EQUITY   233331107      9         198  SH        DEFINED     2                    198
DTE ENERGY CO.                         EQUITY   233331107   3377      78,294  SH        SOLE        1      78,294
DTE Energy Company                     EQUITY   233331107   7332     170,000  SH        SOLE        4     170,000





                                                                                             
Du Pont E I De Nemours & Co            EQUITY   263534109   1472      30,000  SH        SOLE        4      30,000
DU PONT E I DE NEMOURS + C             EQUITY   263534109  27380     558,214  SH        DEFINED     2                558,214
DUCOMMUN INC DEL                       EQUITY   264147109     89       4,266  SH        SOLE        1       4,266
DUKE ENERGY CO                         EQUITY   264399106     28       1,087  SH        DEFINED     2                  1,087
DUKE ENERGY CORP.                      EQUITY   264399106  25281     998,047  SH        SOLE        1     998,047
DUKE REALTY                            EQUITY   264411505    663      19,422  SH        SOLE        1      19,422
DUKE REALTY CORP COM NEW               EQUITY   264411505      1       15910  SH        SOLE        3                         15910
DUN & BRADSTREET CORP NEW WI           EQUITY   26483E100   7053     118,239  SH        SOLE        1     118,239
DUPONT PHOTOMASKS                      EQUITY   26613X101   1836      69,522  SH        SOLE        1      69,522
DUQUESNE LIGHT HOLDINGS INC            EQUITY   266233105   3275     173,731  SH        SOLE        1     173,731
DURATEK INC                            EQUITY   26658Q102    149       5,979  SH        SOLE        1       5,979
DURECT CORPORATION                     EQUITY   266605104     58      17,816  SH        SOLE        1      17,816
DUSA PHARAMACEUTICALS INC              EQUITY   266898105    126       8,791  SH        SOLE        1       8,791
DYAX CORP                              EQUITY   26746E103    111      15,370  SH        SOLE        1      15,370
DYAX CORP                              EQUITY   26746E103    903     125,000  SH        DEFINED     2                125,000
DYCOM INDUSTRIES, INC.                 EQUITY   267475101   3355     109,918  SH        SOLE        1     109,918
DYNAVAX TECHNOLOGIES CORP              EQUITY   268158102     29       3,653  SH        SOLE        1       3,653
DYNEGY INC NEW                         EQUITY   26816Q101      2         432  SH        DEFINED     2                    432
DYNEGY INC.                            EQUITY   26816Q101    779     168,556  SH        SOLE        1     168,556
E M C CORP MASS                        EQUITY   268648102     69       4,685  SH        DEFINED     2                  4,685
E TRADE FINL CORP                      EQUITY   269246104   1279      85,523  SH        DEFINED     2                 85,523
E*TRADE FINANCIAL CORP                 EQUITY   269246104   2495     166,893  SH        SOLE        1     166,893
E.I. DU PONT DE NEMOURS AND CO         EQUITY   263534109  32359     659,720  SH        SOLE        1     659,720
E.PIHPANY, INC.                        EQUITY   26881V100    215      44,605  SH        SOLE        1      44,605
EAGLE BROADBAND INC                    EQUITY   269437109     78     118,589  SH        SOLE        1     118,589
EAGLE MATERIALS INC                    EQUITY   26969P108    953      11,033  SH        SOLE        1      11,033
EARTHLINK INC                          EQUITY   270321102    889      77,196  SH        SOLE        1      77,196
EAST WEST BANCORP                      EQUITY   27579R104   1238      29,504  SH        SOLE        1      29,504
EASTGROUP PROPERTIES, INC.             EQUITY   277276101    562      14,662  SH        SOLE        1      14,662
EASTMAN CHEM CO                        EQUITY   277432100      5          89  SH        DEFINED     2                     89
EASTMAN CHEMICAL CO.                   EQUITY   277432100   7974     138,119  SH        SOLE        1     138,119
EASTMAN KODAK CO                       EQUITY   277461109     11         326  SH        DEFINED     2                    326
EASTMAN KODAK CO.                      EQUITY   277461109   4400     136,438  SH        SOLE        1     136,438
EATON CORP                             EQUITY   278058102     13         173  SH        DEFINED     2                    173
EATON CORP.                            EQUITY   278058102   5210      71,997  SH        SOLE        1      71,997
EATON VANCE CORP.                      EQUITY   278265103   5954     114,170  SH        SOLE        1     114,170
EBAY INC                               EQUITY   278642103  11913     102,453  SH        DEFINED     2                102,453
EBAY, INC.                             EQUITY   278642103  88322     766,956  SH        SOLE        1     766,956
ECHELON                                EQUITY   27874N105    139      16,436  SH        SOLE        1      16,436
ECHOSTAR COMMUNICATIONS CO             EQUITY   278762109   9514     286,225  SH        DEFINED     2                286,225
ECHOSTAR COMMUNICATIONS CORP. CLASS A  EQUITY   278762109    522      15,690  SH        SOLE        1      15,690
ECLIPSYS CORP.                         EQUITY   278856109    438      21,422  SH        SOLE        1      21,422
ECOLAB INC                             EQUITY   278865100     10         293  SH        DEFINED     2                    293
ECOLAB, INC.                           EQUITY   278865100   7836     223,049  SH        SOLE        1     223,049
ECOLLEGE.COM INC                       EQUITY   27887E100    106       9,329  SH        SOLE        1       9,329
EDGE PETROLEUM CORP                    EQUITY   279862106    111       7,608  SH        SOLE        1       7,608
EDISON INTERNATIONAL INC               EQUITY   281020107  18670     582,889  SH        SOLE        1     582,889
EDISON INTL                            EQUITY   281020107     12         370  SH        DEFINED     2                    370
EDO CORP                               EQUITY   281347104    292       9,199  SH        SOLE        1       9,199
EDUCATE INC                            EQUITY   28138P100    139      10,497  SH        SOLE        1      10,497
EDUCATION LENDING GROUP INC            EQUITY   28140A109    114       7,345  SH        SOLE        1       7,345
EDUCATION MANAGEMENT CORP.             EQUITY   28139T101   4125     124,994  SH        SOLE        1     124,994
EDWARDS LIFESCIENCES CP                EQUITY   28176E108   4170     101,071  SH        SOLE        1     101,071
EFUNDS CORP                            EQUITY   28224R101    673      28,019  SH        SOLE        1      28,019
EGL INC.                               EQUITY   268484102    627      20,988  SH        SOLE        1      20,988
EL PASO CORP                           EQUITY   28336L109   3673     353,210  SH        SOLE        1     353,210
EL PASO CORP                           EQUITY   28336L109      8         731  SH        DEFINED     2                    731
EL PASO ELECTRIC CO.                   EQUITY   283677854    529      27,940  SH        SOLE        1      27,940
ELDORADO GOLD CORPORATION              EQUITY   284902103   4221   1,431,100  SH        DEFINED     1           0  1,431,100




                                                                                              
ELECTRO RENT CORP.                  EQUITY  285218103     151     10,584  SH         SOLE          1       10,584
ELECTRO SCIENTIFIC INDUSTRIES,      EQUITY  285229100     326     16,499  SH         SOLE          1       16,499
ELECTRONIC ARTS                     EQUITY  285512109    9385    152,157  SH         SOLE          1      152,157
ELECTRONIC ARTS INC                 EQUITY  285512109      21        347  SH         DEFINED       2                     347
ELECTRONIC DATA SYS CORP N          EQUITY  285661104      13        584  SH         DEFINED       2                     584
ELECTRONIC DATA SYSTEMS CORP.       EQUITY  285661104    5338    231,097  SH         SOLE          1      231,097
ELECTRONICS BOUTIQUE HLDGS. CO      EQUITY  286045109     293      6,816  SH         SOLE          1        6,816
ELECTRONICS FOR IMAGING, INC.       EQUITY  286082102     548     31,467  SH         SOLE          1       31,467
ELI LILLY AND CO.                   EQUITY  532457108   36231    638,430  SH         SOLE          1      638,430
ELIZABETH ARDEN INC                 EQUITY  28660G106     312     13,162  SH         SOLE          1       13,162
ELKCORP                             EQUITY  287456107     396     11,575  SH         SOLE          1       11,575
EMBARCADERO TECHNOLOGIES INC        EQUITY  290787100     117     12,456  SH         SOLE          1       12,456
EMC CORP                            EQUITY  268648102    4921    330,923  SH         DEFINED       2                 330,923
EMC CORP.                           EQUITY  268648102   15600  1,049,093  SH         SOLE          1    1,049,093
EMC INS GROUP INC                   EQUITY  268664109      76      3,530  SH         SOLE          1        3,530
EMCOR GROUP, INC.                   EQUITY  29084Q100     402      8,887  SH         SOLE          1        8,887
EMERSON ELEC CO                     EQUITY  291011104   12559    179,157  SH         DEFINED       2                 179,157
Emerson Electric                    EQUITY  291011104    2103     30,000  SH         SOLE          4       30,000
EMERSON ELECTRIC CO.                EQUITY  291011104   40375    575,967  SH         SOLE          1      575,967
EMMIS COMMUNICATIONS CORP. CLASS A  EQUITY  291525103    2360    122,972  SH         SOLE          1      122,972
EMPIRE DISTRICT ELECTRIC CO.        EQUITY  291641108     338     14,899  SH         SOLE          1       14,899
EMPIRE RESORTS INC                  EQUITY  292052107      56      5,033  SH         SOLE          1        5,033
EMPRESA NACIONAL DE ELEC ADR        EQUITY  29244T101      95      6,251  SH         SOLE          1        6,251
EMS TECHNOLOGIES INC                EQUITY  26873N108     108      6,503  SH         SOLE          1        6,503
EMULEX CORP                         EQUITY  292475209     810     48,128  SH         SOLE          1       48,128
ENCANA CORP                         EQUITY  292505104    7661    134,800  SH         DEFINED       1            0    134,800
ENCORE ACQUISITION CO               EQUITY  29255W100    1929     55,254  SH         SOLE          1       55,254
ENCORE CAPITAL GROUP INC            EQUITY  292554102     169      7,117  SH         SOLE          1        7,117
ENCORE MED CORP                     EQUITY  29256E109    1572    231,500  SH         DEFINED       2                 231,500
ENCORE MEDICAL CORP                 EQUITY  29256E109     123     18,058  SH         SOLE          1       18,058
ENCORE WIRE CORP                    EQUITY  292562105     124      9,306  SH         SOLE          1        9,306
ENCYSIVE PHARMA INC COM             EQUITY  29256X107       3     333800  SH         SOLE          3       324900              8900
ENCYSIVE PHARMACEUTICALS INC        EQUITY  29256X107     332     33,479  SH         SOLE          1       33,479
ENDO PHARMACEUTICALS                EQUITY  29264F205      23      1,085  SH         SOLE          1        1,085
ENDOCARDIAL SOLUTIONS               EQUITY  292962107     267     22,783  SH         SOLE          1       22,783
ENERGEN CORP.                       EQUITY  29265N108    1258     21,338  SH         SOLE          1       21,338
ENERGIZER HOLDINGS INC              EQUITY  29266R108    6130    123,370  SH         SOLE          1      123,370
ENERGY CONVERSION DEVICES, INC      EQUITY  292659109     228     11,825  SH         SOLE          1       11,825
ENERGY EAST CORP                    EQUITY  29266M109   19771    741,025  SH         SOLE          1      741,025
ENERGY PARTNERS LTD                 EQUITY  29270U105     288     14,185  SH         SOLE          1       14,185
ENERGYSOUTH INC                     EQUITY  292970100     112      3,977  SH         SOLE          1        3,977
ENERSIS SA ADR                      EQUITY  29274F104     970     88,400  SH         SOLE          1       88,400
ENERSYS                             EQUITY  29275Y102     112      7,343  SH         SOLE          1        7,343
ENGELHARD CORP                      EQUITY  292845104       4        139  SH         DEFINED       2                     139
ENGELHARD CORP.                     EQUITY  292845104    1731     56,425  SH         SOLE          1       56,425
ENGINEERED SUPPORT SYS COM          EQUITY  292866100       7     118028  SH         SOLE          3       115800              2228
ENGINEERED SUPPORT SYSTEMS          EQUITY  292866100     774     13,073  SH         SOLE          1       13,073
ENNIS INC                           EQUITY  293389102     185      9,624  SH         SOLE          1        9,624
ENPRO INDUSTRIES INC                EQUITY  29355X107     360     12,171  SH         SOLE          1       12,171
ENSCO INTERNATIONAL, INC.           EQUITY  26874Q100    8160    257,100  SH         SOLE          1      257,100
ENSCO INTL INC                      EQUITY  26874Q100      45      1,450  SH         DEFINED       2                   1,450
ENSTAR GROUP INC                    EQUITY  29358R107     117      1,875  SH         SOLE          1        1,875
ENTEGRIS INC                        EQUITY  29362U104     255     25,598  SH         SOLE          1       25,598
ENTERASYS NETWORKS INC              EQUITY  293637104     222    123,355  SH         SOLE          1      123,355
ENTERCOM COMMUNICATIONS CORP.       EQUITY  293639100    3034     84,527  SH         SOLE          1       84,527
ENTERGY ARKANSAS INC                EQUITY  29364G103    6423     95,034  SH         SOLE          1       95,034
ENTERGY CORP                        EQUITY  29364G103      17        254  SH         DEFINED       2                     254
Enterprise Prod Partners            EQUITY  293892107    2285     88,350  SH         SOLE          4       88,350
ENTERTAINMENT PROPERTIES TRUST      EQUITY  29380T105     786     17,648  SH         SOLE          1       17,648





                                                                                             
ENTRAVISION COMMUNIC               EQUITY  29382R107     236     28,313  SH          SOLE          1       28,313
ENTRUST TECHNOLOGIES INC.          EQUITY  293848107     141     37,329  SH          SOLE          1       37,329
ENZO BIOCHEM, INC.                 EQUITY  294100102     290     14,870  SH          SOLE          1       14,870
ENZON PHARMACEUTICALS INC          EQUITY  293904108     353     25,750  SH          SOLE          1       25,750
EOG RESOURCES INC                  EQUITY  26875P101    3804     53,311  SH          SOLE          1       53,311
EOG RESOURCES INC                  EQUITY  26875P101   10071    141,135  SH          DEFINED       2                 141,135
EON LABS INC                       EQUITY  29412E100      18        649  SH          SOLE          1          649
EPICOR SOFTWARE CORPORATION        EQUITY  29426L108     343     24,375  SH          SOLE          1       24,375
EPIQ SYSTEMS INC                   EQUITY  26882D109     117      8,012  SH          SOLE          1        8,012
EPIX PHARMACEUTICAL INC            EQUITY  26881Q101     240     13,384  SH          SOLE          1       13,384
EQUIFAX INC                        EQUITY  294429105       4        154  SH          DEFINED       2                     154
EQUIFAX, INC.                      EQUITY  294429105    1905     67,811  SH          SOLE          1       67,811
EQUINIX INC                        EQUITY  29444U502     244      5,700  SH          SOLE          1        5,700
EQUITABLE RESOURCES, INC.          EQUITY  294549100    6348    104,641  SH          SOLE          1      104,641
EQUITY INNS, INC.                  EQUITY  294703103     416     35,445  SH          SOLE          1       35,445
EQUITY LIFESTYLE PROPERTIES        EQUITY  29472R108     483     13,507  SH          SOLE          1       13,507
EQUITY OFFICE PPTYS TR             EQUITY  294741103      13        458  SH          DEFINED       2                     458
EQUITY OFFICE PPTYS TR COM         EQUITY  294741103       1      45090  SH          SOLE          3                          45090
EQUITY OFFICE PROPERTIES TRUST     EQUITY  294741103    6596    226,526  SH          SOLE          1      226,526
EQUITY ONE INC                     EQUITY  294752100     664     27,964  SH          SOLE          1       27,964
EQUITY RESIDENT PPTYS SH BEN I     EQUITY  29476L107       1      31410  SH          SOLE          3                          31410
EQUITY RESIDENTIAL                 EQUITY  29476L107    5739    158,623  SH          SOLE          1      158,623
ERESEARCHTECHNOLOGY IN             EQUITY  29481V108     414     26,105  SH          SOLE          1       26,105
ERICCSON 9LM0 TEL-SP ADR           EQUITY  294821608   11393    362,300  SH          SOLE          1      362,300
ERIE INDEMNITY COMPA               EQUITY  29530P102      37        699  SH          SOLE          1          699
ESCALADE INC                       EQUITY  296056104      62      4,616  SH          SOLE          1        4,616
ESCO ELECTRONICS CORP              EQUITY  296315104     581      7,576  SH          SOLE          1        7,576
ESPEED INC                         EQUITY  296643109     175     14,145  SH          SOLE          1       14,145
ESS TECHNOLOGY, INC.               EQUITY  269151106     140     19,675  SH          SOLE          1       19,675
ESSEX CORP COM                     EQUITY  296744105       2      88400  SH          SOLE          3        88400
ESSEX PPTY TR INC COM              EQUITY  297178105               2560  SH          SOLE          3                           2560
ESSEX PROPERTY TRUST, INC.         EQUITY  297178105    1341     16,002  SH          SOLE          1       16,002
ESTEE LAUDER COMPANIES-CL A        EQUITY  518439104     114      2,496  SH          SOLE          1        2,496
ESTERLINE TECHNOLOGIES CORP.       EQUITY  297425100     470     14,391  SH          SOLE          1       14,391
ETHAN ALLEN INTERIOR               EQUITY  297602104     773     19,307  SH          SOLE          1       19,307
EUROBANCSHARES INC                 EQUITY  298716101     100      4,775  SH          SOLE          1        4,775
EURONET WORLDWIDE INC              EQUITY  298736109     344     13,211  SH          SOLE          1       13,211
EURONET WORLDWIDE INC COM          EQUITY  298736109       4     165200  SH          SOLE          3       165200
EVEREST RE GROUP, LTD              EQUITY  G3223R108    8437     94,200  SH          SOLE          1       94,200
EXACTECH INC                       EQUITY  30064E109      65      3,579  SH          SOLE          1        3,579
EXAR CORP.                         EQUITY  300645108     341     24,009  SH          SOLE          1       24,009
EXCEL TECHNOLOGY                   EQUITY  30067T103     183      7,030  SH          SOLE          1        7,030
EXELIXIS, INC.                     EQUITY  30161Q104     349     36,786  SH          SOLE          1       36,786
EXELON CORP                        EQUITY  30161N101   13316    302,153  SH          SOLE          1      302,153
EXELON CORP                        EQUITY  30161N101      33        753  SH          DEFINED       2                     753
EXIDE TECHNOLOGIES                 EQUITY  302051206     825     59,860  SH          SOLE          1       59,860
EXIDE TECHNOLOGIES FORMERL         EQUITY  302051206      15     18,619  SH          DEFINED       2                  18,619
EXIDE TECHNOLOGIES-CW11            EQUITY  302051123     247    120,302  SH          SOLE          1      120,302
EXPEDITORS INTERNATIONAL OF WA     EQUITY  302130109   10539    188,592  SH          SOLE          1      188,592
EXPONENT INC                       EQUITY  30214U102     103      3,732  SH          SOLE          1        3,732
EXPRESS SCRIPTS INC                EQUITY  302182100       7         86  SH          DEFINED       2                      86
EXPRESS SCRIPTS INC                EQUITY  302182100       7      89790  SH          SOLE          3        88000              1790
EXPRESS SCRIPTS, INC.              EQUITY  302182100    2938     38,437  SH          SOLE          1       38,437
EXPRESSJET HOLDINGS IN             EQUITY  30218U108     283     21,988  SH          SOLE          1       21,988
EXTRA SPACE STORAGE INC            EQUITY  30225T102     174     13,067  SH          SOLE          1       13,067
EXTREME NETWORK INC                EQUITY  30226D106     415     63,391  SH          SOLE          1       63,391
EXTREME NETWORKS INC COM           EQUITY  30226D106       7     994300  SH          SOLE          3       976500             17800
EXXON MOBIL CORP                   EQUITY  30231G102   31493    614,500  SH          DEFINED       2                 614,500
EXXON MOBIL CORP.                  EQUITY  30231G102  245833  4,800,504  SH          SOLE          1    4,800,504





                                                                                              
ExxonMobil Corp                       EQUITY  30231G102    2307     45,000  SH       SOLE          4       45,000
EYETECH PHARMACEUTICALS INC           EQUITY  302297106       7        162  SH       SOLE          1          162
E-Z-EM INC                            EQUITY  269305405      56      3,866  SH       SOLE          1        3,866
F N B CORP VA                         EQUITY  302930102     121      4,255  SH       SOLE          1        4,255
F5 NETWORKS INC                       EQUITY  315616102     986     20,235  SH       SOLE          1       20,235
FACTSET RESEARCH SYSTEMS, INC.        EQUITY  303075105     699     11,956  SH       SOLE          1       11,956
FAIR ISSAC CORP                       EQUITY  303250104    4388    119,640  SH       SOLE          1      119,640
FAIRCHILD SEMICONDUCTOR CORP.         EQUITY  303726103    3306    203,340  SH       SOLE          1      203,340
FALCON FINANCIAL INVESTMENT           EQUITY  306032103    2704    386,250  SH       SOLE          1      386,250
FALCONSTOR SOFTWARE INC               EQUITY  306137100     148     15,491  SH       SOLE          1       15,491
FAMILY DLR STORES INC                 EQUITY  307000109       6        191  SH       DEFINED       2                     191
FAMILY DOLLAR STORES, INC.            EQUITY  307000109    2385     76,369  SH       SOLE          1       76,369
FARMER BROS. CO.                      EQUITY  307675108      96      3,942  SH       SOLE          1        3,942
FARMERS CAPITAL BANK CORP             EQUITY  309562106     146      3,547  SH       SOLE          1        3,547
FARO TECHNOLOGIES INC                 EQUITY  311642102     193      6,205  SH       SOLE          1        6,205
FASTENAL CO                           EQUITY  311900104   10508    170,700  SH       DEFINED       2                 170,700
FASTENAL CO.                          EQUITY  311900104    8237    133,804  SH       SOLE          1      133,804
FBL FINANCIAL GROUP, INC., CLASS A    EQUITY  30239F106     209      7,311  SH       SOLE          1        7,311
FEDERAL AGRIC MTG CORP                EQUITY  313148306     115      4,950  SH       SOLE          1        4,950
FEDERAL HOME LN MTG CORP              EQUITY  313400301      58        784  SH       DEFINED       2                     784
FEDERAL NATIONAL MORTGAGE ASSO        EQUITY  313586109   35410    497,262  SH       SOLE          1      497,262
FEDERAL NATL MTG ASSN                 EQUITY  313586109      78      1,100  SH       DEFINED       2                   1,100
FEDERAL REALTY INVESTMENT TR.         EQUITY  313747206     365      7,066  SH       SOLE          1        7,066
FEDERAL REALTY INVT TR SH BEN         EQUITY  313747206               5790  SH       SOLE          3                           5790
FEDERAL SIGNAL CORP.                  EQUITY  313855108    1922    108,849  SH       SOLE          1      108,849
FEDERATED DEPT STORES INC             EQUITY  31410H101    6599    114,192  SH       DEFINED       2                 114,192
FEDERATED DEPT STORES, INC.           EQUITY  31410H101    4418     76,456  SH       SOLE          1       76,456
FEDERATED INVESTORS                   EQUITY  314211103    1440     47,378  SH       SOLE          1       47,378
FEDERATED INVS INC PA                 EQUITY  314211103       4        122  SH       DEFINED       2                     122
FEDEX CORP                            EQUITY  31428X106      34        342  SH       DEFINED       2                     342
FEDEX CORPORATION                     EQUITY  31428X106   12590    127,832  SH       SOLE          1      127,832
FEI COMPANY                           EQUITY  30241L109     292     13,906  SH       SOLE          1       13,906
FELCOR LODGING TRUST, INC.            EQUITY  31430F101     522     35,603  SH       SOLE          1       35,603
FERRO CORP.                           EQUITY  315405100    2201     94,901  SH       SOLE          1       94,901
FIDELITY BANKSHARES INC               EQUITY  31604Q107     331      7,736  SH       SOLE          1        7,736
FIDELITY NATIONAL FINANCIAL           EQUITY  316326107   13549    296,673  SH       SOLE          1      296,673
Fidelity National Financial Inc       EQUITY  316326107     913     20,000  SH       SOLE          4       20,000
FIFTH THIRD BANCORP                   EQUITY  316773100   11324    237,965  SH       SOLE          1      237,965
FIFTH THIRD BANCORP                   EQUITY  316773100      30        638  SH       DEFINED       2                     638
FILENET CORP.                         EQUITY  316869106     625     24,264  SH       SOLE          1       24,264
FINANCIAL FEDERAL CORP.               EQUITY  317492106     397     10,128  SH       SOLE          1       10,128
FINCANCIAL INSTITUTIONS INC           EQUITY  317585404     110      4,730  SH       SOLE          1        4,730
FINDWHAT.COM                          EQUITY  317794105     266     15,029  SH       SOLE          1       15,029
FINISAR CORPORATION                   EQUITY  31787A101     221     97,104  SH       SOLE          1       97,104
FINISH LINE, INC.                     EQUITY  317923100     403     22,033  SH       SOLE          1       22,033
FIRST ACCEPTANCE CORP                 EQUITY  318457108     108     12,006  SH       SOLE          1       12,006
FIRST ADVANTAGE CORP-CL A             EQUITY  31845F100      40      1,960  SH       SOLE          1        1,960
FIRST AMERICAN CAP TRUST CLASS A      EQUITY  318522307    5353    152,326  SH       SOLE          1      152,326
FIRST BANCORP NORTH CAROLINA          EQUITY  318910106     178      6,539  SH       SOLE          1        6,539
FIRST BANCORP/PUERTO RICO             EQUITY  318672102    1280     20,162  SH       SOLE          1       20,162
FIRST BUSEY CORP                      EQUITY  319383105     162      7,775  SH       SOLE          1        7,775
FIRST CASH FINL SVCS INC              EQUITY  31942D107     184      6,885  SH       SOLE          1        6,885
FIRST CHARTER CORP.                   EQUITY  319439105     457     17,472  SH       SOLE          1       17,472
FIRST CITIZENS BANCSHARES, INC CLASS  EQUITY  31946M103     528      3,559  SH       SOLE          1        3,559
FIRST CMNTY BANCORP CA                EQUITY  31983B101     326      7,639  SH       SOLE          1        7,639
FIRST COMMONWEALTH FINANCIAL          EQUITY  319829107    2019    131,174  SH       SOLE          1      131,174
FIRST COMMUNITY BANCSHARES INC        EQUITY  31983A103     213      5,890  SH       SOLE          1        5,890
FIRST DATA CORP                       EQUITY  319963104      40        943  SH       DEFINED       2                     943
FIRST DATA CORP.                      EQUITY  319963104   18576    436,671  SH       SOLE          1      436,671





                                                                                              
FIRST FINANCIAL BANCORP                EQUITY  320209109     360     20,589  SH       SOLE         1       20,589
FIRST FINANCIAL BANKSHARES             EQUITY  32020R109     360      8,034  SH       SOLE         1        8,034
FIRST FINANCIAL CORP.                  EQUITY  320218100     278      7,946  SH       SOLE         1        7,946
FIRST FINANCIAL HOLDINGS, INC.         EQUITY  320239106     240      7,326  SH       SOLE         1        7,326
FIRST HEALTH GROUP CORP                EQUITY  320960107    1141     61,000  SH       DEFINED      2                  61,000
FIRST HEALTH GROUP CORP.               EQUITY  320960107    3910    208,971  SH       SOLE         1      208,971
FIRST HORIZON NATIONAL CORP            EQUITY  320517105    2389     55,409  SH       SOLE         1       55,409
FIRST HORIZON NATL CORP                EQUITY  320517105       6        140  SH       DEFINED      2                     140
FIRST HORIZON PHARMACEUTICAL           EQUITY  32051K106     353     15,410  SH       SOLE         1       15,410
FIRST INDIANA CORP.                    EQUITY  32054R108     156      6,929  SH       SOLE         1        6,929
FIRST INDUSTRIAL REALITY TRUST         EQUITY  32054K103    1180     28,959  SH       SOLE         1       28,959
FIRST MARBLEHEAD CORP/THE              EQUITY  320771108      23        408  SH       SOLE         1          408
FIRST MERCHANTS CORP.                  EQUITY  320817109     308     10,887  SH       SOLE         1       10,887
FIRST MIDWEST BANCORP, INC.            EQUITY  320867104     992     27,335  SH       SOLE         1       27,335
FIRST NATIONAL BANKSHARES-WI           EQUITY  321100109     896     37,477  SH       SOLE         1       37,477
FIRST NIAGARA FINANCIAL GRP            EQUITY  33582V108     688     49,286  SH       SOLE         1       49,286
FIRST OAK BROOK BANCSH                 EQUITY  335847208     127      3,928  SH       SOLE         1        3,928
FIRST OF LONG ISLAND CORP              EQUITY  320734106      99      1,966  SH       SOLE         1        1,966
FIRST PLACE FINANCIAL CORP             EQUITY  33610T109     179      7,995  SH       SOLE         1        7,995
FIRST POTOMAC REALTY TRUST             EQUITY  33610F109      36      1,590  SH       SOLE         1        1,590
FIRST REPUBLIC BANK                    EQUITY  336158100     403      7,604  SH       SOLE         1        7,604
FIRST ST BANCORPORATIO                 EQUITY  336453105     165      4,487  SH       SOLE         1        4,487
FIRSTENERGY CORP                       EQUITY  337932107      15        375  SH       DEFINED      2                     375
FIRSTENERGY CORP.                      EQUITY  337932107    5728    144,985  SH       SOLE         1      144,985
FIRSTFED FINANCIAL CORP.               EQUITY  337907109     516      9,955  SH       SOLE         1        9,955
FIRSTMERIT CORP.                       EQUITY  337915102    4088    143,493  SH       SOLE         1      143,493
FISERV, INC.                           EQUITY  337738108    8870    220,712  SH       SOLE         1      220,712
FISHER COMMUNICATIONS INC              EQUITY  337756209     187      3,818  SH       SOLE         1        3,818
FISHER SCIENTIFIC INTL COM NEW         EQUITY  338032204       4      58000  SH       SOLE         3        56500              1500
FISHER SCIENTIFIC INTL INC             EQUITY  338032204       8        133  SH       DEFINED      2                     133
FISHER SCIENTIFIC INT'L., INC.         EQUITY  338032204    8323    133,417  SH       SOLE         1      133,417
FLAGSTAR BANCORP, INC.                 EQUITY  337930101    6547    289,681  SH       SOLE         1      289,681
FLANDERS CORP COM                      EQUITY  338494107       3     260800  SH       SOLE         3       260800
FLANDERS CORPORATION                   EQUITY  338494107      74      7,682  SH       SOLE         1        7,682
FLEETWOOD ENTERPRISES, INC.            EQUITY  339099103     424     31,500  SH       SOLE         1       31,500
FLEXTRONICS INTERNATIONAL              EQUITY  Y2573F102    7052    510,300  SH       DEFINED      2                 510,300
FLIR SYS INC                           EQUITY  302445101      16     243356  SH       SOLE         3       238898              4458
FLIR SYSTEMS INC (USD)                 EQUITY  302445101      50        782  SH       SOLE         1          782
FLORIDA EAST COAST INDUSTRIES          EQUITY  340632108     571     12,650  SH       SOLE         1       12,650
FLORIDA ROCK INDUSTRIES, INC.          EQUITY  341140101      44        743  SH       SOLE         1          743
FLOWERS FOODS INC                      EQUITY  343498101     659     20,859  SH       SOLE         1       20,859
FLOWSERVE CORP.                        EQUITY  34354P105    3430    124,556  SH       SOLE         1      124,556
FLUOR CORP                             EQUITY  343412102   59600  1,109,171  SH       SOLE         1    1,109,171
FLUOR CORP NEW                         EQUITY  343412102       5         95  SH       DEFINED      2                      95
FLUSHING FINANCIAL CORP                EQUITY  343873105     199      9,920  SH       SOLE         1        9,920
FLYI INC                               EQUITY  34407T104      47     26,619  SH       SOLE         1       26,619
FMC CORP.                              EQUITY  302491303    4021     83,249  SH       SOLE         1       83,249
FMC TECHNOLOGIES INC                   EQUITY  30249U101    3743    116,253  SH       SOLE         1      116,253
FMC TECHNOLOGIES INC COM               EQUITY  30249U101       1      44100  SH       SOLE         3        42300              1800
FNB CORP.                              EQUITY  302520101     597     29,329  SH       SOLE         1       29,329
FOOT LOCKER INC                        EQUITY  344849104    7135    264,943  SH       SOLE         1      264,943
FORD MOTOR CO.                         EQUITY  345370860   11392    778,169  SH       SOLE         1      778,169
FOREST CITY ENTERPRISES, INC. CLASS A  EQUITY  345550107      44        766  SH       SOLE         1          766
FOREST LABORATORIES, INC.              EQUITY  345838106   41322    921,123  SH       SOLE         1      921,123
FOREST LABS INC                        EQUITY  345838106   14060    313,419  SH       DEFINED      2                 313,419
FOREST OIL CORP                        EQUITY  346091705    4094    129,052  SH       SOLE         1      129,052
FORMFACTOR INC                         EQUITY  346375108     442     16,285  SH       SOLE         1       16,285
FORRESTER RESEARCH, INC.               EQUITY  346563109     144      8,022  SH       SOLE         1        8,022
FORTUNE BRANDS INC                     EQUITY  349631101      13        164  SH       DEFINED      2                     164





                                                                                             
FORTUNE BRANDS, INC.                   EQUITY  349631101    5537     71,742  SH       SOLE         1       71,742
FORWARD AIR CORP                       EQUITY  349853101     565     12,629  SH       SOLE         1       12,629
FOSSIL INC                             EQUITY  349882100    4828    188,300  SH       DEFINED      2                 188,300
FOSSIL, INC.                           EQUITY  349882100      23        910  SH       SOLE         1          910
FOUNDRY NETWORKS INC                   EQUITY  35063R100      37      2,804  SH       SOLE         1        2,804
FOX ENTMT GROUP INC                    EQUITY  35138T107    6480    207,300  SH       DEFINED      2                 207,300
FOXHOLLOW TECHNOLOGIES INC             EQUITY  35166A103      67      2,721  SH       SOLE         1        2,721
FPIC INS GROUP INC                     EQUITY  302563101     167      4,714  SH       SOLE         1        4,714
FPL GROUP INC                          EQUITY  302571104      16        211  SH       DEFINED      2                     211
FPL GROUP, INC.                        EQUITY  302571104    6238     83,453  SH       SOLE         1       83,453
FRANKLIN BANK CORP                     EQUITY  352451108    3557    194,900  SH       DEFINED      2                 194,900
FRANKLIN BANK CORP/HOUSTON             EQUITY  352451108     114      6,243  SH       SOLE         1        6,243
FRANKLIN ELECTRIC CO., INC.            EQUITY  353514102     398      9,428  SH       SOLE         1        9,428
FRANKLIN RES INC                       EQUITY  354613101      20        283  SH       DEFINED      2                     283
FRANKLIN RESOURCES, INC.               EQUITY  354613101    7388    106,073  SH       SOLE         1      106,073
FREDDIE MAC                            EQUITY  313400301   77386  1,236,672  SH       SOLE         1      752,157
FRED'S INC.                            EQUITY  356108100     400     22,975  SH       SOLE         1       22,975
FREEPORT MCMORAN COPPER +              EQUITY  35671D857       8        203  SH       DEFINED      2                     203
FREEPORT-MCMORAN COPPER & GOLD CLASS   EQUITY  35671D857    6412    167,730  SH       SOLE         1      167,730
FREESCALE SEMICONDUCTOR IN             EQUITY  35687M206       8        443  SH       DEFINED      2                     443
FREESCALE SEMICONDUCTOR-B              EQUITY  35687M206    3349    182,424  SH       SOLE         1      182,424
FREMONT GENERAL CORP.                  EQUITY  357288109      38      1,496  SH       SOLE         1        1,496
FRIEDMAN BILLINGS RAMSEY-A             EQUITY  358434108    6185    318,983  SH       SOLE         1      318,983
FRONTIER AIRLINES, INC.                EQUITY  359065109     238     20,861  SH       SOLE         1       20,861
FRONTIER FINANCIAL CORP.               EQUITY  35907K105     367      9,510  SH       SOLE         1        9,510
FRONTIER OIL CORP.                     EQUITY  35914P105     415     15,577  SH       SOLE         1       15,577
FSI INTERNATIONAL, INC.                EQUITY  302633102      82     17,538  SH       SOLE         1       17,538
FTI CONSULTING INC                     EQUITY  302941109     526     24,984  SH       SOLE         1       24,984
FUELCELL ENERGY INC                    EQUITY  35952H106     245     24,782  SH       SOLE         1       24,782
FULTON FIN CORP                        EQUITY  360271100      70      3,018  SH       SOLE         1        3,018
FURNITURE BRANDS INTERNATIONAL         EQUITY  360921100    2957    118,047  SH       SOLE         1      118,047
FX ENERGY INC                          EQUITY  302695101     209     17,897  SH       SOLE         1       17,897
G & K SERVICES, INC. CLASS A           EQUITY  361268105     443     10,203  SH       SOLE         1       10,203
GABELLI ASSET MANAGEMENT, INC.         EQUITY  36239Y102     187      3,863  SH       SOLE         1        3,863
GABLES RESIDENTIAL TRUST               EQUITY  362418105     732     20,461  SH       SOLE         1       20,461
GALLAGHER, ARTHUR J & CO               EQUITY  363576109   23225    714,611  SH       SOLE         1      714,611
GAMESTOP CORP-CL B                     EQUITY  36466R200     491     21,922  SH       SOLE         1       21,922
GANDER MOUNTAIN CO                     EQUITY  36471P108      46      3,573  SH       SOLE         1        3,573
GANNETT CO., INC.                      EQUITY  364730101    8865    108,510  SH       SOLE         1      108,510
GANNETT INC                            EQUITY  364730101      24        290  SH       DEFINED      2                     290
GAP INC                                EQUITY  364760108      71      3,356  SH       DEFINED      2                   3,356
GAP, INC.                              EQUITY  364760108    8088    382,966  SH       SOLE         1      382,966
GARDNER DENVER, INC.                   EQUITY  365558105     421     11,600  SH       SOLE         1       11,600
GARMIN LTD                             EQUITY  G37260109     430      7,060  SH       SOLE         1        7,060
GARTNER INC. CLASS A                   EQUITY  366651107    2782    223,312  SH       SOLE         1      223,312
GATEWAY INC                            EQUITY  367626108       3        425  SH       DEFINED      2                     425
GATEWAY, INC.                          EQUITY  367626108    2353    391,503  SH       SOLE         1      391,503
GATX CORP.                             EQUITY  361448103    3306    111,839  SH       SOLE         1      111,839
GAYLORD ENTERTAINMENT CO.              EQUITY  367905106     742     17,858  SH       SOLE         1       17,858
GB&T BANCSHARES INC                    EQUITY  361462104     143      5,909  SH       SOLE         1        5,909
GCI, INC.                              EQUITY  369385109     294     26,664  SH       SOLE         1       26,664
GEMSTAR-TV GUIDE INTERNATIONAL         EQUITY  36866W106      35      5,944  SH       SOLE         1        5,944
GENAERA CORPORATION                    EQUITY  36867G100     114     33,382  SH       SOLE         1       33,382
GENCORP, INC.                          EQUITY  368682100     513     27,623  SH       SOLE         1       27,623
GENELABS TECHNOLOGIES, INC.            EQUITY  368706107      62     51,675  SH       SOLE         1       51,675
GENENCOR INTERNATIONAL INC             EQUITY  368709101      72      4,394  SH       SOLE         1        4,394
GENENTECH INC                          EQUITY  368710406      79      1,500  SH       DEFINED      2                   1,500
GENENTECH INC COM NEW                  EQUITY  368710406       1      26500  SH       SOLE         3        26500
GENENTECH, INC.                        EQUITY  368710406   29521    542,269  SH       SOLE         1      542,269





                                                                                             
GENERAL BINDING CORP                   EQUITY  369154109      46      3,506  SH       SOLE         1        3,506
GENERAL CABLE CORP.                    EQUITY  369300108     320     23,075  SH       SOLE         1       23,075
General Dynamics                       EQUITY  369550108    2615     25,000  SH       SOLE         4       25,000
GENERAL DYNAMICS CORP                  EQUITY  369550108   33109    316,528  SH       DEFINED      2                 316,528
GENERAL DYNAMICS CORP.                 EQUITY  369550108    9154     87,518  SH       SOLE         1       87,518
GENERAL ELEC CO                        EQUITY  369604103   52290  1,432,596  SH       DEFINED      2               1,432,596
General Elec Co                        EQUITY  369604103    2008     55,000  SH       SOLE         4       55,000
GENERAL ELECTRIC CO.                   EQUITY  369604103  343716  9,430,198  SH       SOLE         1    9,430,198
GENERAL GROWTH PPTYS COM               EQUITY  370021107       1      26319  SH       SOLE         3                          26319
GENERAL GROWTH PROPE                   EQUITY  370021107    1145     31,658  SH       SOLE         1       31,658
GENERAL MILLS, INC.                    EQUITY  370334104    7701    154,914  SH       SOLE         1      154,914
GENERAL MLS INC                        EQUITY  370334104    6443    129,614  SH       DEFINED      2                 129,614
GENERAL MOTORS CORP.                   EQUITY  370442105    9914    247,472  SH       SOLE         1      247,472
GENERAL MTRS CORP                      EQUITY  370442105    8703    217,257  SH       DEFINED      2                 217,257
GENESCO, INC.                          EQUITY  371532102     398     12,791  SH       SOLE         1       12,791
GENESEE & WYO INC                      EQUITY  371559105     292     10,388  SH       SOLE         1       10,388
GENESIS HEALTHCARE CORP                EQUITY  37184D101     408     11,647  SH       SOLE         1       11,647
GENESIS MICROCHIP INC                  EQUITY  37184C103     306     18,838  SH       SOLE         1       18,838
GEN-PROBE INC                          EQUITY  36866T103      51      1,135  SH       SOLE         1        1,135
GENTA INC                              EQUITY  37245M207      63     35,610  SH       SOLE         1       35,610
GENTEX CORP.                           EQUITY  371901109    4890    132,084  SH       SOLE         1      132,084
GENTIVA HEALTH SERVICES                EQUITY  37247A102     248     14,838  SH       SOLE         1       14,838
GENUINE PARTS CO                       EQUITY  372460105   15453    350,731  SH       DEFINED      2                 350,731
GENUINE PARTS CO.                      EQUITY  372460105    3464     78,627  SH       SOLE         1       78,627
GENWORTH FINANCIAL INC-CL A            EQUITY  37247D106      96      3,541  SH       SOLE         1        3,541
GENZYME CORP                           EQUITY  372917104    7812    134,522  SH       SOLE         1      134,522
GENZYME CORP                           EQUITY  372917104      16        282  SH       DEFINED      2                     282
GEO GROUP INC                          EQUITY  36159R103     127      4,873  SH       SOLE         1        4,873
GEOGLOBAL RESOURCES INC                EQUITY  37249T109     279    525,000  SH       SOLE         1      525,000
GEORGIA GULF CORP COM PAR $0.0         EQUITY  373200203      13     256054  SH       SOLE         3       252500              3554
GEORGIA GULF CORP.                     EQUITY  373200203     831     16,688  SH       SOLE         1       16,688
GEORGIA PAC CORP                       EQUITY  373298108      11        293  SH       DEFINED      2                     293
GEORGIA-PACIFIC CORP.                  EQUITY  373298108    4612    123,065  SH       SOLE         1      123,065
GERMAN AMERICAN BANCORP                EQUITY  373865104      88      5,436  SH       SOLE         1        5,436
GERON CORP                             EQUITY  374163103     211     26,480  SH       SOLE         1       26,480
GETTY IMAGES INC COM                   EQUITY  374276103       1      14900  SH       SOLE         3        13400              1500
GETTY IMAGES, INC.                     EQUITY  374276103      69      1,002  SH       SOLE         1        1,002
GETTY REALTY CORP.                     EQUITY  374297109     375     13,065  SH       SOLE         1       13,065
GEVITY HR INC                          EQUITY  374393106     286     13,911  SH       SOLE         1       13,911
GIANT INDUSTRIES INC                   EQUITY  374508109     165      6,236  SH       SOLE         1        6,236
GIBRALTAR INDUSTRIES INC               EQUITY  374689107     326     13,806  SH       SOLE         1       13,806
GILEAD SCIENCES INC                    EQUITY  375558103   10000    285,792  SH       DEFINED      2                 285,792
GILEAD SCIENCES, INC.                  EQUITY  375558103   45584  1,302,763  SH       SOLE         1    1,302,763
GILLETTE CO                            EQUITY  375766102      51      1,128  SH       DEFINED      2                   1,128
GILLETTE CO.                           EQUITY  375766102   18979    423,828  SH       SOLE         1      423,828
GLACIER BANCORP, INC.                  EQUITY  37637Q105     490     14,380  SH       SOLE         1       14,380
GLADSTONE CAPITAL CORP                 EQUITY  376535100     132      5,565  SH       SOLE         1        5,565
GLATFELTER, P.H. CO.                   EQUITY  377316104    1382     90,434  SH       SOLE         1       90,434
GLAXOSMITHKLINE                        EQUITY  37733W105      54      1,130  SH       DEFINED      2                   1,130
GLENBOROUGH REALITY TRUST, INC         EQUITY  37803P105    1283     60,287  SH       SOLE         1       60,287
GLIMCHER REALITY TRUST                 EQUITY  379302102     688     24,838  SH       SOLE         1       24,838
GLOBAL IMAGING SYSTEMS, INC.           EQUITY  37934A100     535     13,547  SH       SOLE         1       13,547
GLOBAL INDUSTRIES INC                  EQUITY  379336100    6221    750,400  SH       DEFINED      2                 750,400
GLOBAL INDUSTRIES LT                   EQUITY  379336100     395     47,697  SH       SOLE         1       47,697
GLOBAL PAYMENTS INC.                   EQUITY  37940X102      38        646  SH       SOLE         1          646
GLOBAL POWER EQUIPME                   EQUITY  37941P108     195     19,859  SH       SOLE         1       19,859
GlOBAL SANTAFE CORPORATION             EQUITY  G3930E101      31        975  SH       DEFINED      2                     975
GLOBAL SIGNAL INC                      EQUITY  37944Q103     155      5,643  SH       SOLE         1        5,643
GMH COMMUNITIES TRUST                  EQUITY  36188G102     236     16,714  SH       SOLE         1       16,714





                                                                                              
GOL LINHAS AREAS INTEL ADR             EQUITY  38045R107     446     14,000  SH        SOLE        1       14,000
GOLD BANK CORP., INC.                  EQUITY  379907108     748     51,172  SH        SOLE        1       51,172
GOLD KIST INC                          EQUITY  380614107     109      7,982  SH        SOLE        1        7,982
GOLDEN TELECOM INC                     EQUITY  38122G107    1068     40,440  SH        SOLE        1       40,440
GOLDEN WEST FINANCIAL CORP.            EQUITY  381317106    8002    130,278  SH        SOLE        1      130,278
GOLDEN WEST FINL CORP DEL              EQUITY  381317106      21        348  SH        DEFINED     2                     348
GOLDMAN SACHS GROUP INC                EQUITY  38141G104   69734    675,668  SH        SOLE        1      675,668
GOLDMAN SACHS GROUP INC                EQUITY  38141G104   15237    146,450  SH        DEFINED     2                 146,450
GOODRICH CORP                          EQUITY  382388106       4        135  SH        DEFINED     2                     135
GOODRICH CORP.                         EQUITY  382388106    1744     53,435  SH        SOLE        1       53,435
GOODYEAR TIRE & RUBBER CO.             EQUITY  382550101    2396    163,454  SH        SOLE        1      163,454
GOODYEAR TIRE AND RUBBER               EQUITY  382550101       3        199  SH        DEFINED     2                     199
GOODYS FAMILY CLOTHING                 EQUITY  382588101     101     11,050  SH        SOLE        1       11,050
GORMAN RUPP CO COM                     EQUITY  383082104     124      5,382  SH        SOLE        1        5,382
GOVERNMENT PROPERTIES TRUST            EQUITY  38374W107     135     13,650  SH        SOLE        1       13,650
GPO TELEVISA SA ADR-REPR 20            EQUITY  40049J206    2713     44,850  SH        SOLE        1       44,850
GRACE, W.R. & CO.                      EQUITY  38388F108     524     38,528  SH        SOLE        1       38,528
GRACO, INC.                            EQUITY  384109104    4392    117,601  SH        SOLE        1      117,601
GRAFTECH INTERNATIONAL LTD             EQUITY  384313102     540     57,095  SH        SOLE        1       57,095
GRAINGER W W INC                       EQUITY  384802104       7        102  SH        DEFINED     2                     102
GRAMERCY CAPITAL CORP                  EQUITY  384871109     114      5,551  SH        SOLE        1        5,551
GRANITE CONSTRUCTION, INC.             EQUITY  387328107    2375     89,274  SH        SOLE        1       89,274
GRANT PRIDECO INC                      EQUITY  38821G101    4213    210,126  SH        SOLE        1      210,126
GRANT PRIDECO INC                      EQUITY  38821G101     184      9,760  SH        DEFINED     2                   9,760
GRAPHIC PACKAGING CORP                 EQUITY  388688103     282     39,146  SH        SOLE        1       39,146
GRAY TELEVISION INC                    EQUITY  389375106     408     26,343  SH        SOLE        1       26,343
GREAT AMERICAN FINANCIAL RES           EQUITY  389915109      74      4,253  SH        SOLE        1        4,253
GREAT ATLANTIC & PACIFIC TEA           EQUITY  390064103      99      9,701  SH        SOLE        1        9,701
GREAT LAKES CHEM CORP COM              EQUITY  390568103       9     304900  SH        SOLE        3       297600              7300
GREAT LAKES CHEM CORP.                 EQUITY  390568103    1534     53,843  SH        SOLE        1       53,843
GREAT LAKES CHEMICAL CORP              EQUITY  390568103       2         58  SH        DEFINED     2                      58
GREAT PLAINS ENERGY INC                EQUITY  391164100    3832    126,537  SH        SOLE        1      126,537
GREAT SOUTHERN BANCORP, INC.           EQUITY  390905107     213      6,089  SH        SOLE        1        6,089
GREATER BAY BANCORP                    EQUITY  391648102    3227    115,754  SH        SOLE        1      115,754
GREENBRIER COMPANIES INC               EQUITY  393657101     113      3,328  SH        SOLE        1        3,328
GREENFIELD ONLINE                      EQUITY  395150105      67      3,036  SH        SOLE        1        3,036
GREENHILL & CO INC                     EQUITY  395259104      84      2,942  SH        SOLE        1        2,942
GREIF INC CL A                         EQUITY  397624107     426      7,649  SH        SOLE        1        7,649
GREY GLOBAL GROUP INC                  EQUITY  39787M108     558        507  SH        SOLE        1          507
GREY WOLF, INC.                        EQUITY  397888108     577    109,394  SH        SOLE        1      109,394
GRIFFON CORP.                          EQUITY  398433102     387     14,334  SH        SOLE        1       14,334
GROUP 1 AUTOMOTIVE, INC.               EQUITY  398905109     360     11,432  SH        SOLE        1       11,432
GRUPO FINANCIERO GALICIA-ADR           EQUITY  399909100    1016    118,500  SH        SOLE        1      118,500
GSI COMMERCE INC                       EQUITY  36238G102     202     11,360  SH        SOLE        1       11,360
GTECH HOLDINGS CORP.                   EQUITY  400518106    5116    197,138  SH        SOLE        1      197,138
GTX INC                                EQUITY  40052B108      43      3,184  SH        SOLE        1        3,184
GUESS? INC                             EQUITY  401617105     110      8,748  SH        SOLE        1        8,748
GUIDANT CORP                           EQUITY  401698105      26        362  SH        DEFINED     2                     362
GUIDANT CORP.                          EQUITY  401698105   15658    221,565  SH        SOLE        1      221,565
GUILFORD PHARMACEUTICALS INC           EQUITY  401829106     128     25,799  SH        SOLE        1       25,799
GUITAR CENTER, INC.                    EQUITY  402040109     753     14,296  SH        SOLE        1       14,296
GUITAR CTR INC                         EQUITY  402040109    3330     63,200  SH        DEFINED     2                  63,200
GULF ISLAND FABRICATION, INC.          EQUITY  402307102     103      4,699  SH        SOLE        1        4,699
GULFMARK OFFSHORE, INC.                EQUITY  402629109     189      8,486  SH        SOLE        1        8,486
GYMBOREE CORP.                         EQUITY  403777105     230     17,927  SH        SOLE        1       17,927
H J HEINZ CO.                          EQUITY  423074103    5767    147,897  SH        SOLE        1      147,897
H.B. FULLER CO.                        EQUITY  359694106     477     16,735  SH        SOLE        1       16,735
HAEMONETICS CORP.                      EQUITY  405024100     415     11,462  SH        SOLE        1       11,462
HAIN CELESTIAL GROUP INC               EQUITY  405217100     312     15,083  SH        SOLE        1       15,083





                                                                                             
HALLIBURTON CO                         EQUITY  406216101     116      3,037  SH      DEFINED       2                   3,037
HALLIBURTON CO.                        EQUITY  406216101   61928  1,578,181  SH      SOLE          1    1,578,181
HANCOCK FABRICS, INC.                  EQUITY  409900107     115     11,092  SH      SOLE          1       11,092
HANCOCK HOLDING CO.                    EQUITY  410120109     546     16,331  SH      SOLE          1       16,331
HANDLEMAN CO.                          EQUITY  410252100     279     13,003  SH      SOLE          1       13,003
HANGER ORTHOPEDIC GROUP                EQUITY  41043F208     102     12,570  SH      SOLE          1       12,570
HANMI FINL CORP                        EQUITY  410495105     310      8,635  SH      SOLE          1        8,635
HANOVER COMPRESSOR COMPANY             EQUITY  410768105    2488    176,100  SH      SOLE          1      176,100
HANSEN NATURAL CORP                    EQUITY  411310105     128      3,525  SH      SOLE          1        3,525
HARBOR FLORIDA BANCSHARES              EQUITY  411901101     423     12,210  SH      SOLE          1       12,210
HARLAND, JOHN H. CO.                   EQUITY  412693103     597     16,540  SH      SOLE          1       16,540
HARLEY DAVIDSON INC                    EQUITY  412822108      20        334  SH      DEFINED       2                     334
HARLEY-DAVIDSON FUNDING                EQUITY  412822108    7559    124,434  SH      SOLE          1      124,434
HARLEYSVILLE GROUP, INC.               EQUITY  412824104     181      7,590  SH      SOLE          1        7,590
HARLEYSVILLE NATIONAL CORP.            EQUITY  412850109     409     15,373  SH      SOLE          1       15,373
HARMAN INT'L INDUSTRIES, INC.          EQUITY  413086109   14447    113,758  SH      SOLE          1      113,758
HARMONIC INC.                          EQUITY  413160102     352     42,164  SH      SOLE          1       42,164
HARRAH'S ENTERTAINMENT, INC.           EQUITY  413619107    3355     50,153  SH      SOLE          1       50,153
HARRAHS ENTMT INC                      EQUITY  413619107       8        127  SH      DEFINED       2                     127
HARRAHS ENTMT INC COM                  EQUITY  413619107       1      22300  SH      SOLE          3        20800              1500
HARRIS & HARRIS GROUP INC              EQUITY  413833104     149      9,115  SH      SOLE          1        9,115
HARRIS CORP DEL COM                    EQUITY  413875105       2      29000  SH      SOLE          3        29000
HARRIS CORP.                           EQUITY  413875105    7030    113,779  SH      SOLE          1      113,779
HARRIS INTERACTIVE INC                 EQUITY  414549105     241     30,567  SH      SOLE          1       30,567
HARSCO CORP.                           EQUITY  415864107    3913     70,202  SH      SOLE          1       70,202
HART MARX                              EQUITY  417119104     104     13,429  SH      SOLE          1       13,429
HARTE-HANKS COMMUNICATIONS             EQUITY  416196103    3753    144,449  SH      SOLE          1      144,449
HARTFORD FINANCIAL SVCS GR             EQUITY  416515104      23        334  SH      DEFINED       2                     334
HARTFORD FINANCIAL SVCS GROUP          EQUITY  416515104   47928    697,456  SH      SOLE          1      697,456
HARVEST NATURAL RESOUR                 EQUITY  41754V103     364     21,104  SH      SOLE          1       21,104
HASBRO INC                             EQUITY  418056107       4        201  SH      DEFINED       2                     201
HASBRO, INC.                           EQUITY  418056107    1893     97,679  SH      SOLE          1       97,679
HAVERTY FURNITURE COMPANIES            EQUITY  419596101     202     10,900  SH      SOLE          1       10,900
HAWAIIAN ELECTRIC INDUSTRIES,          EQUITY  419870100    5010    171,874  SH      SOLE          1      171,874
HAYES LEMMERZ INTERNATIONAL            EQUITY  420781304     196     22,154  SH      SOLE          1       22,154
HCA INC                                EQUITY  404119109      19        479  SH      DEFINED       2                     479
HCA INC.                               EQUITY  404119109    8511    212,977  SH      SOLE          1      212,977
HCC INSURANCE HOLDINGS, INC.           EQUITY  404132102    3818    115,266  SH      SOLE          1      115,266
HEADWATERS INC                         EQUITY  42210P102     562     19,715  SH      SOLE          1       19,715
HEALTH CARE PPTY INVS COM              EQUITY  421915109              14850  SH      SOLE          3                          14850
HEALTH CARE PPTYS INVEST INC           EQUITY  421915109     501     18,107  SH      SOLE          1       18,107
Health Care Prop Investors             EQUITY  421915109    2492     90,000  SH      SOLE          4       90,000
HEALTH CARE REIT INC COM               EQUITY  42217K106               5780  SH      SOLE          3                           5780
HEALTH CARE REIT, INC.                 EQUITY  42217K106     269      7,050  SH      SOLE          1        7,050
HEALTH MANAGEMENT ASSOC.               EQUITY  421933102    2481    109,185  SH      SOLE          1      109,185
HEALTH MGMT ASSOC                      EQUITY  421933102       6        277  SH      DEFINED       2                     277
HEALTH NET INC.                        EQUITY  42222G108    5459    189,088  SH      SOLE          1      189,088
Healthcare Realty Trust                EQUITY  421946104    2646     65,000  SH      SOLE          4       65,000
HEALTHCARE REALTY TRUST, INC.          EQUITY  421946104    1356     33,324  SH      SOLE          1       33,324
HEALTHCARE RLTY TR COM                 EQUITY  421946104               5340  SH      SOLE          3                           5340
HEALTHCARE SVCS GRP IN                 EQUITY  421906108     191      9,147  SH      SOLE          1        9,147
HEALTHEXTRAS INC                       EQUITY  422211102     470     28,852  SH      SOLE          1       28,852
HEALTHEXTRAS INC COM                   EQUITY  422211102       4     266800  SH      SOLE          3       263200              3600
HEARST-ARGYLE TELEVI                   EQUITY  422317107      20        760  SH      SOLE          1          760
HEARTLAND EXPRESS, INC.                EQUITY  422347104     597     26,556  SH      SOLE          1       26,556
HEARTLAND FINANCIAL USA INC            EQUITY  42234Q102     117      5,824  SH      SOLE          1        5,824
HECLA MNG CO                           EQUITY  422704106     405     69,439  SH      SOLE          1       69,439
HEICO CORP.                            EQUITY  422806109     258     11,434  SH      SOLE          1       11,434
HEIDRICK & STRUGGLES INT'L             EQUITY  422819102     337      9,829  SH      SOLE          1        9,829





                                                                                             
HEINZ H J CO                           EQUITY  423074103      15        397  SH      DEFINED       2                     397
HELEN OF TROY CORP LTD COM             EQUITY  G4388N106       1      34100  SH      SOLE          3        34100
HELIX TECHNOLOGY CORP.                 EQUITY  423319102     267     15,331  SH      SOLE          1       15,331
HELMERICH & PAYNE, INC.                EQUITY  423452101    6048    177,672  SH      SOLE          1      177,672
HENRY JACK & ASSOCIATES                EQUITY  426281101    3054    153,376  SH      SOLE          1      153,376
HENRY SCHEIN INC                       EQUITY  806407102    5127     73,628  SH      SOLE          1       73,628
HERCULES INC                           EQUITY  427056106       2        127  SH      DEFINED       2                     127
HERCULES, INC.                         EQUITY  427056106    4349    292,869  SH      SOLE          1      292,869
HERITAGE PROPERTY INVESTMENT           EQUITY  42725M107     680     21,177  SH      SOLE          1       21,177
HERLEY INDS INC DEL                    EQUITY  427398102     136      6,701  SH      SOLE          1        6,701
HERMAN MILLER, INC.                    EQUITY  600544100    3320    120,158  SH      SOLE          1      120,158
HERSHA HOSPITALITY TRUST               EQUITY  427825104      26      2,230  SH      SOLE          1        2,230
HERSHEY FOODS CORP                     EQUITY  427866108      16        280  SH      DEFINED       2                     280
HERSHEY FOODS CORP.                    EQUITY  427866108    6015    108,297  SH      SOLE          1      108,297
HEWITT ASSOCIATES INC-CL A             EQUITY  42822Q100      30        932  SH      SOLE          1          932
HEWLETT PACKARD CO                     EQUITY  428236103    6844    326,382  SH      DEFINED       2                 326,382
HEWLETT PACKARD CO.                    EQUITY  428236103   35785  1,706,468  SH      SOLE          1    1,706,468
HEXCEL CORP.                           EQUITY  428291108     178     12,252  SH      SOLE          1       12,252
HIBBETT SPORTING GOODS, INC.           EQUITY  428565105     366     13,738  SH      SOLE          1       13,738
HIBERNIA CORP                          EQUITY  428656102    9957    337,400  SH      DEFINED       2                 337,400
HIBERNIA CORP. CLASS A                 EQUITY  428656102    7789    263,928  SH      SOLE          1      263,928
HIGHLAND HOSPITALITY CORP              EQUITY  430141101     279     24,783  SH      SOLE          1       24,783
HIGHWOODS PROPERTIES, INC.             EQUITY  431284108    3532    127,504  SH      SOLE          1      127,504
HILB, ROGAL & HAMILTON CO.             EQUITY  431294107     655     18,077  SH      SOLE          1       18,077
HILLENBRAND INDUSTRIES, INC.           EQUITY  431573104    5839    105,140  SH      SOLE          1      105,140
HILTON HOTELS CORP                     EQUITY  432848109    3963    174,291  SH      SOLE          1      174,291
HILTON HOTELS CORP                     EQUITY  432848109    6536    287,439  SH      DEFINED       2                 287,439
HNI CORP                               EQUITY  404251100    4113     95,543  SH      SOLE          1       95,543
HOLLINGER INTERNATIONAL, INC.          EQUITY  435569108     528     33,694  SH      SOLE          1       33,694
HOLLIS-EDEN PHARMACEUTICALS            EQUITY  435902101      76      8,081  SH      SOLE          1        8,081
HOLLY CORP.                            EQUITY  435758305     333     11,950  SH      SOLE          1       11,950
HOLLYWOOD ENTERTAINMENT CORP.          EQUITY  436141105     404     30,883  SH      SOLE          1       30,883
HOLLYWOOD PARK, INC.                   EQUITY  723456109     413     20,860  SH      SOLE          1       20,860
HOLOGIC INC                            EQUITY  436440101     329     11,973  SH      SOLE          1       11,973
HOME DEPOT INC                         EQUITY  437076102   17674    413,516  SH      DEFINED       2                 413,516
HOME DEPOT, INC.                       EQUITY  437076102   60919  1,425,341  SH      SOLE          1    1,425,341
HOME PROPERTIES INC.                   EQUITY  437306103     987     22,951  SH      SOLE          1       22,951
HOMEBANC CORP/GA                       EQUITY  43738R109     196     20,253  SH      SOLE          1       20,253
HOMESTORE.COM                          EQUITY  437852106     201     66,313  SH      SOLE          1       66,313
HONEYWELL INTERNATIONAL INC.           EQUITY  438516106   12953    365,788  SH      SOLE          1      365,788
HONEYWELL INTL INC                     EQUITY  438516106      35        978  SH      DEFINED       2                     978
HOOKER FURNITURE CORP                  EQUITY  439038100      91      4,017  SH      SOLE          1        4,017
HOOPER HOLMES, INC.                    EQUITY  439104100     199     33,612  SH      SOLE          1       33,612
HORACE MANN EDUCATORS CORP.            EQUITY  440327104    1847     96,792  SH      SOLE          1       96,792
HORIZON FINANCIAL CORP                 EQUITY  44041F105     126      6,110  SH      SOLE          1        6,110
HORMEL FOODS CORP.                     EQUITY  440452100    7356    234,641  SH      SOLE          1      234,641
HORNBECK OFFSHORE SERVICES             EQUITY  440543106      69      3,560  SH      SOLE          1        3,560
HORNBECK OFFSHORE SVCS COM             EQUITY  440543106       5     260200  SH      SOLE          3       256300              3900
HORNBECK OFFSHORE SVCS INC             EQUITY  440543106    7110    368,400  SH      DEFINED       2                 368,400
HOSPIRA INC                            EQUITY  441060100    2395     71,494  SH      SOLE          1       71,494
HOSPIRA INC                            EQUITY  441060100       8        226  SH      DEFINED       2                     226
Hospira Inc                            EQUITY  441060100      84      2,500  SH      SOLE          4        2,500
HOSPITALITY PPTYS TR COM SH BE         EQUITY  44106M102               7510  SH      SOLE          3                           7510
HOSPITALITY PROPERTIES TRUST           EQUITY  44106M102    5606    121,871  SH      SOLE          1      121,871
HOST MARRIOTT CORP COM                 EQUITY  44107p104       1      38850  SH      SOLE          3                          38850
HOT TOPIC INC                          EQUITY  441339108     487     28,323  SH      SOLE          1       28,323
HOUSTON EXPLORATION COMPAN             EQUITY  442120101     418      7,420  SH      SOLE          1        7,420
HOVNANIAN ENTER, INC. COM PAR $0.01    EQUITY  442487203    5115    103,283  SH      SOLE          1      103,283
HRPT PROPERTIES TRUST                  EQUITY  40426W101     311     24,205  SH      SOLE          1       24,205





                                                                                             
HRPT TRUST                             EQUITY  40426w101              19830  SH      SOLE          3                          19830
HUB GROUP INC-CL A                     EQUITY  443320106     220      4,213  SH      SOLE          1        4,213
HUBBELL INC. CLASS B                   EQUITY  443510201    5423    103,696  SH      SOLE          1      103,696
HUDSON CITY BANCORP                    EQUITY  443683107      57      1,549  SH      SOLE          1        1,549
HUDSON HIGHLAND GROUP INC              EQUITY  443792106     168      5,847  SH      SOLE          1        5,847
HUDSON RIVER BANKCORP.                 EQUITY  444128102     353     17,815  SH      SOLE          1       17,815
HUGHES SUPPLY, INC.                    EQUITY  444482103      48      1,478  SH      SOLE          1        1,478
HUMAN GENOME SCIENCES, INC.            EQUITY  444903108     914     76,016  SH      SOLE          1       76,016
HUMANA INC                             EQUITY  444859102       5        181  SH      DEFINED       2                     181
HUMANA, INC.                           EQUITY  444859102    2283     76,897  SH      SOLE          1       76,897
HUNT JB TRANS SVC INC COM              EQUITY  445658107       3      65200  SH      SOLE          3        65200
HUNTINGTON BANCSHARES INC              EQUITY  446150104       7        263  SH      DEFINED       2                     263
HUNTINGTON BANCSHARES, INC.            EQUITY  446150104    2573    103,987  SH      SOLE          1      103,987
HURON CONSULTING GROUP INC             EQUITY  447462102      75      3,376  SH      SOLE          1        3,376
HUSDON UNITED BANCORP                  EQUITY  444165104      44      1,109  SH      SOLE          1        1,109
HUTCHINSON TECHNOLOGY, INC.            EQUITY  448407106     529     15,308  SH      SOLE          1       15,308
HYDRIL                                 EQUITY  448774109     426      9,350  SH      SOLE          1        9,350
HYPERCOM CORP                          EQUITY  44913M105     177     29,924  SH      SOLE          1       29,924
HYPERION SOLUTIONS CORP                EQUITY  44914M104    1066     22,863  SH      SOLE          1       22,863
HYPERION SOLUTIONS CP COM              EQUITY  44914M104       7     145394  SH      SOLE          3       142400              2994
IAC/INTERACTIVECORP                    EQUITY  44919P102    1393     50,430  SH      SOLE          1       50,430
IBERIABANK CORP                        EQUITY  450828108     244      3,676  SH      SOLE          1        3,676
ICON PLC - SPONSORED ADR               EQUITY  45103T107    2521     75,050  SH      SOLE          1       75,050
ICOS CORPORATION                       EQUITY  449295104      36      1,288  SH      SOLE          1        1,288
ICU MEDICAL, INC.                      EQUITY  44930G107     169      6,191  SH      SOLE          1        6,191
ID BIOMEDICAL CORP                     EQUITY  44936D108    1476     99,100  SH      DEFINED       2                  99,100
IDACORP, INC.                          EQUITY  451107106    2822     92,326  SH      SOLE          1       92,326
IDENIX PHARMACEUTICALS INC             EQUITY  45166R204      58      3,402  SH      SOLE          1        3,402
IDENTIX INC                            EQUITY  451906101     382     51,799  SH      SOLE          1       51,799
IDEX CORP                              EQUITY  45167R104    9400    232,100  SH      DEFINED       2                 232,100
IDEX CORP.                             EQUITY  45167R104    1192     29,444  SH      SOLE          1       29,444
IDEXX LABORATORIES, INC.               EQUITY  45168D104      44        806  SH      SOLE          1          806
IDINE REWARDS NETWORK                  EQUITY  761557107      66      9,380  SH      SOLE          1        9,380
IDT CORP-CL B                          EQUITY  448947309      21      1,365  SH      SOLE          1        1,365
IDX SYSTEMS CORP.                      EQUITY  449491109     419     12,172  SH      SOLE          1       12,172
I-FLOW CORP                            EQUITY  449520303     194     10,649  SH      SOLE          1       10,649
IGATE CORP                             EQUITY  45169U105      50     12,227  SH      SOLE          1       12,227
IHOP CORP.                             EQUITY  449623107     497     11,866  SH      SOLE          1       11,866
II VI INC COM                          EQUITY  902104108       7     168000  SH      SOLE          3       165900              2100
II-VI INC                              EQUITY  902104108     280      6,581  SH      SOLE          1        6,581
IKON OFFICE SOLUTIONS INC.             EQUITY  451713101      34      2,950  SH      SOLE          1        2,950
ILLINOIS TOOL WKS INC                  EQUITY  452308109      31        336  SH      DEFINED       2                     336
Illinois Tool Works                    EQUITY  452308109    1854     20,000  SH      SOLE          4       20,000
ILLINOIS TOOL WORKS, INC.              EQUITY  452308109   16365    176,573  SH      SOLE          1      176,573
ILLUMINA INC                           EQUITY  452327109     162     17,081  SH      SOLE          1       17,081
IMAGISTICS INTL INC                    EQUITY  45247T104     329      9,774  SH      SOLE          1        9,774
IMATION CORP.                          EQUITY  45245A107    2480     77,918  SH      SOLE          1       77,918
IMCLONE SYS INC COM                    EQUITY  45245W109       1      31700  SH      SOLE          3        31700
IMCLONE SYSTEMS                        EQUITY  45245W109      71      1,541  SH      SOLE          1        1,541
IMMUCOR INC                            EQUITY  452526106     617     26,247  SH      SOLE          1       26,247
IMMUNICON CORP                         EQUITY  45260A107      25      3,539  SH      SOLE          1        3,539
IMMUNOGEN INC                          EQUITY  45253H101     190     21,494  SH      SOLE          1       21,494
IMMUNOMEDICS, INC.                     EQUITY  452907108      80     26,480  SH      SOLE          1       26,480
IMPAC MORTGAGE HOLDINGS INC            EQUITY  45254P102     990     43,683  SH      SOLE          1       43,683
IMPAX LABORATORIES INC                 EQUITY  45256B101     453     28,557  SH      SOLE          1       28,557
IMS HEALTH INC                         EQUITY  449934108       6        264  SH      DEFINED       2                     264
IMS HEALTH, INC.                       EQUITY  449934108    2405    103,638  SH      SOLE          1      103,638
INAMED CORP                            EQUITY  453235103    3853     60,923  SH      SOLE          1       60,923
INCO LTD                               EQUITY  453258402    2990     81,800  SH      DEFINED       1            0     81,800




                                                                                            
INCYTE CORP                            EQUITY  45337C102     406      40,658  SH      SOLE     1         40,658
INDEPENDENCE COMMUNITY BANK            EQUITY  453414104    6134     144,050  SH      SOLE     1        144,050
INDEPENDENCE HLDG CO N                 EQUITY  453440307      50       2,687  SH      SOLE     1          2,687
INDEPENDENT BANK CORP.-MASSACHUSETTS   EQUITY  453836108     291       8,629  SH      SOLE     1          8,629
INDEPENDENT BANK CORP.-MICHIGAN        EQUITY  453838104     326      10,913  SH      SOLE     1         10,913
INDEVUS PHARMACEUTICALS INC            EQUITY  454072109     145      24,285  SH      SOLE     1         24,285
INDYMAC BANCORP, INC.                  EQUITY  456607100    3633     105,459  SH      SOLE     1        105,459
INFINITY PROPERTY & CASUALTY           EQUITY  45665Q103     427      12,128  SH      SOLE     1         12,128
INFOCROSSING INC                       EQUITY  45664X109     156       9,211  SH      SOLE     1          9,211
INFOCROSSING INC COM                   EQUITY  45664X109      16      938054  SH      SOLE     3         924900              13154
INFOCUS CORPORATION                    EQUITY  45665B106     213      23,245  SH      SOLE     1         23,245
INFONET SERVICES COR                   EQUITY  45666T106      74      36,687  SH      SOLE     1         36,687
INFORMATICA CORP                       EQUITY  45666Q102     409      50,342  SH      SOLE     1         50,342
INFOSPACE INC.                         EQUITY  45678T201     891      18,732  SH      SOLE     1         18,732
INFOUSA INC. CLASS B                   EQUITY  456818301     209      18,664  SH      SOLE     1         18,664
INFRASOURCE SERVICES INC               EQUITY  45684P102      66       5,063  SH      SOLE     1          5,063
INGERSOLL RAND COMPANY LIM             EQUITY  G4776G101      16         196  SH      DEFINED  2                        196
INGERSOLL-RAND CO CL A                 EQUITY  G4776G101    8781     109,352  SH      SOLE     1        109,352
INGLES MARKETS INC CLASS A             EQUITY  457030104      74       5,989  SH      SOLE     1          5,989
INGRAM MICRO INC. CLASS A              EQUITY  457153104      62       2,963  SH      SOLE     1          2,963
INKINE PHARMACEUTICAL CO INC           EQUITY  457214104     155      28,579  SH      SOLE     1         28,579
INNKEEPERS USA TRUST                   EQUITY  4576J0104     332      23,409  SH      SOLE     1         23,409
INNOVATIVE SOLUTIONS & SUPPORT         EQUITY  45769N105     136       4,091  SH      SOLE     1          4,091
INPHONIC INC                           EQUITY  45772G105     121       4,392  SH      SOLE     1          4,392
INPUT/OUTPUT, INC.                     EQUITY  457652105     331      37,398  SH      SOLE     1         37,398
INSIGHT COMMUNICATIO                   EQUITY  45768V108     242      26,146  SH      SOLE     1         26,146
INSIGHT ENTERPRISES, INC.              EQUITY  45765U103     581      28,316  SH      SOLE     1         28,316
INSITUFORM TECHNOLOGIES, INC. CLASS A  EQUITY  457667103     355      15,681  SH      SOLE     1         15,681
INSPIRE PHARMACEUTICALS INC            EQUITY  457733103     405      24,162  SH      SOLE     1         24,162
INSTINET GROUP INCORPORATED            EQUITY  457750107      18       3,058  SH      SOLE     1          3,058
INSURANCE AUTO AUCTIONS INC COM        EQUITY  457875102     114       5,074  SH      SOLE     1          5,074
INSWEB CORP                            EQUITY  45809K202      25       9,194  SH      SOLE     1          9,194
INTAC INTERNATIONAL                    EQUITY  45811T100      60       4,626  SH      SOLE     1          4,626
INTEGRA BANK CORP.                     EQUITY  45814P105     208       8,988  SH      SOLE     1          8,988
INTEGRA LIFESCIENCES CORP              EQUITY  457985208   12464     337,500  SH      DEFINED  2                    337,500
INTEGRA LIFESCIENCES HOLDINGS          EQUITY  457985208     440      11,906  SH      SOLE     1         11,906
INTEGRATED CIRCUIT SYSTEMS             EQUITY  45811K208    2603     124,444  SH      SOLE     1        124,444
INTEGRATED DEVICE TECHNOLOGY,          EQUITY  458118106    2784     240,825  SH      SOLE     1        240,825
INTEGRATED ELECTRICAL SERVICES         EQUITY  45811E103      93      19,304  SH      SOLE     1         19,304
INTEGRATED SILICON SOLUTION            EQUITY  45812P107     172      20,949  SH      SOLE     1         20,949
INTEL CORP                             EQUITY  458140100   25619   1,095,328  SH      DEFINED  2                  1,095,328
INTEL CORP.                            EQUITY  458140100   94566   4,043,000  SH      SOLE     1      4,043,000
INTER PARFUMS INC                      EQUITY  458334109      47       2,972  SH      SOLE     1          2,972
INTERACTIVE DATA CORP                  EQUITY  45840J107     469      21,581  SH      SOLE     1         21,581
INTERCHANGE CORP                       EQUITY  45845K109      36       1,969  SH      SOLE     1          1,969
INTERCHANGE FINL SVCS                  EQUITY  458447109     168       6,469  SH      SOLE     1          6,469
INTERDIGITAL COMMUNICATION             EQUITY  45866A105     721      32,614  SH      SOLE     1         32,614
INTERFACE, INC. CLASS A                EQUITY  458665106     259      25,989  SH      SOLE     1         25,989
INTERGRAPH CORP.                       EQUITY  458683109     522      19,386  SH      SOLE     1         19,386
INTERMAGNETICS GENERAL CORP.           EQUITY  458771102     417      16,412  SH      SOLE     1         16,412
INTERMUNE INC.                         EQUITY  45884X103     223      16,853  SH      SOLE     1         16,853
INTERNAP NETWORK SERVICES              EQUITY  45885A102     158     170,320  SH      SOLE     1        170,320
INTERNATIONAL BANCSHARES CORP.         EQUITY  459044103      34         874  SH      SOLE     1            874
International Bus. Machines ComStk U   EQUITY  459200101    3806      44,390  SH      SOLE     1         44,390
INTERNATIONAL BUSINESS MAC             EQUITY  459200101   30611     310,537  SH      DEFINED  2                    310,537
International Business Machines        EQUITY  459200101     986      10,000  SH      SOLE     4         10,000
INTERNATIONAL FLAVOURS                 EQUITY  459506101       5         107  SH      DEFINED  2                        107
INTERNATIONAL GAME TECHNOL             EQUITY  459902102      13         392  SH      DEFINED  2                        392
INTERNATIONAL GAME TECHNOLOGY          EQUITY  459902102    5016     145,892  SH      SOLE     1        145,892





                                                                                             
International Game Technology       EQUITY  459902102    1719      50,000  SH       SOLE       4         50,000
INTERNATIONAL PAPER CO              EQUITY  460146103      23         553  SH       DEFINED    2                        553
INTERNATIONAL PAPER CO.             EQUITY  460146103   21277     509,093  SH       SOLE       1        509,093
International Rectifier             EQUITY  460254105     891      20,000  SH       SOLE       4         20,000
INTERNATIONAL RECTIFIER CORP.       EQUITY  460254105    5061     113,553  SH       SOLE       1        113,553
INTERNATIONAL SPEEDWAY CORP.        EQUITY  460335201    4762      90,198  SH       SOLE       1         90,198
INTERNATIONAL STEEL GROUP           EQUITY  460377104   12936     318,936  SH       SOLE       1            736
INTERNATL RECTIFIER CP COM          EQUITY  460254105       3       68900  SH       SOLE       3          66800               2100
INTERNET CAPITAL GROUP, INC.        EQUITY  46059C205     201      22,351  SH       SOLE       1         22,351
INTERNET SECURITY SY                EQUITY  46060X107     525      22,598  SH       SOLE       1         22,598
INTERPUBLIC GROUP CORP              EQUITY  460690100    2543     189,753  SH       SOLE       1        189,753
INTERPUBLIC GROUP COS INC           EQUITY  460690100       6         481  SH       DEFINED    2                        481
INTERSECTIONS INC                   EQUITY  460981301      72       4,151  SH       SOLE       1          4,151
INTERSIL CORP -CL A                 EQUITY  46069S109    4458     266,776  SH       SOLE       1        266,776
INTER-TEL, INC.                     EQUITY  458372109     331      12,079  SH       SOLE       1         12,079
INTERVIDEO INC                      EQUITY  46114Y101      67       5,032  SH       SOLE       1          5,032
INTERVOICE-BRITE INC.               EQUITY  461142101     282      21,094  SH       SOLE       1         21,094
INTERWOVEN INC                      EQUITY  46114T508     258      23,737  SH       SOLE       1         23,737
INTEVAC INC                         EQUITY  461148108      74       9,822  SH       SOLE       1          9,822
INTL BUSINESS MACHINES CORP         EQUITY  459200101  143769   1,458,402  SH       SOLE       1      1,458,402
INT'L. FLAVORS & FRAGRANCES,        EQUITY  459506101    1792      41,824  SH       SOLE       1         41,824
INTRADO INC                         EQUITY  46117A100     123      10,137  SH       SOLE       1         10,137
INTRALASE CORP                      EQUITY  461169104     105       4,477  SH       SOLE       1          4,477
Intuit                              EQUITY  461202103     880      20,000  SH       SOLE       4         20,000
INTUIT, INC.                        EQUITY  461202103    4893     111,184  SH       SOLE       1        111,184
INTUITIVE SURGICAL INC              EQUITY  46120E602     787      19,676  SH       SOLE       1         19,676
INVACARE CORP.                      EQUITY  461203101     705      15,236  SH       SOLE       1         15,236
INVERNESS MEDICAL INNOVATION        EQUITY  46126P106     198       7,886  SH       SOLE       1          7,886
INVESTMENT TECHNOLOGY GROUP         EQUITY  46145F105     515      25,741  SH       SOLE       1         25,741
INVESTORS FINANCIAL SERVICES        EQUITY  461915100    5649     113,029  SH       SOLE       1        113,029
INVESTORS FINL SERVICE COM          EQUITY  461915100       3       63800  SH       SOLE       3          63800
INVESTORS REAL ESTATE TRUST         EQUITY  461730103     303      28,898  SH       SOLE       1         28,898
INVITROGEN CORP                     EQUITY  46185R100    6079      90,549  SH       SOLE       1         90,549
IOMEGA CORP                         EQUITY  462030305     168      30,254  SH       SOLE       1         30,254
IONICS, INC.                        EQUITY  462218108     469      10,811  SH       SOLE       1         10,811
IOWA TELECOMMUNICATIONS SERV        EQUITY  462594201     242      11,209  SH       SOLE       1         11,209
IPASS INC                           EQUITY  46261V108     192      25,944  SH       SOLE       1         25,944
IPAYMENT INC                        EQUITY  46262E105     305       6,159  SH       SOLE       1          6,159
IPC HOLDINGS LTD.                   EQUITY  G4933P101  510024  11,722,000  SH       SOLE       1     11,722,000
IRON MOUNTAIN INC.                  EQUITY  462846106      77       2,526  SH       SOLE       1          2,526
IRWIN FINANCIAL CORP.               EQUITY  464119106     292      10,279  SH       SOLE       1         10,279
ISHARES COHEN & STEERS RLTY         EQUITY  464287564     218       1,600  SH       SOLE       1          1,600
ISHARES MSCI EAFE INDEX FUND        EQUITY  464287465   15448      96,400  SH       SOLE       1         96,400
iSHARES MSCI JAPAN INDEX FD         EQUITY  464286848    4847     445,060  SH       SOLE       1        445,060
iSHARES RUSSELL 2000                EQUITY  464287655    3587      27,700  SH       SOLE       1         27,700
ISHARES RUSSELL MIDCAP GRWTH        EQUITY  464287481    1284      15,200  SH       SOLE       1         15,200
ISHARES RUSSELL MIDCAP VALUE        EQUITY  464287473    2335      20,700  SH       SOLE       1         20,700
ISHARES S&P 500/BARRA GROWTH        EQUITY  464287309     895      15,500  SH       SOLE       1         15,500
ISHARES S&P 500/BARRA VALUE         EQUITY  464287408    2320      36,900  SH       SOLE       1         36,900
ISHARES S&P GLOBAL 100              EQUITY  464287572     142       2,300  SH       SOLE       1          2,300
ISHARES TR COHEN&ST RLTY            EQUITY  464287564                1600  SH       SOLE       3                              1600
ISIS PHARMACEUTICALS, INC.          EQUITY  464330109     180      30,427  SH       SOLE       1         30,427
ISLE CAPRI CASINOS INC              EQUITY  464592104    1047      40,800  SH       DEFINED    2                     40,800
ISLE OF CAPRI CASINOS               EQUITY  464592104    1381      53,821  SH       SOLE       1         53,821
ISOLAGEN INC                        EQUITY  46488N103     102      12,983  SH       SOLE       1         12,983
ISOLAGEN INC COM                    EQUITY  46488N103       5      685600  SH       SOLE       3         677400               8200
ISTA PHARMACEUTICALS INC.           EQUITY  45031X204      48       4,785  SH       SOLE       1          4,785
ISTAR FINANCIAL INC                 EQUITY  45031U101     123       2,713  SH       SOLE       1          2,713
ITC DELTACOM INC                    EQUITY  45031T401      13       7,371  SH       SOLE       1          7,371





                                                                                             
ITLA CAP CORP                      EQUITY  450565106     171       2,909  SH        SOLE       1          2,909
ITRON, INC.                        EQUITY  465741106     293      12,240  SH        SOLE       1         12,240
ITT EDUCATIONAL SERVICES, INC.     EQUITY  45068B109    3716      78,159  SH        SOLE       1         78,159
ITT EDUCATIONAL SVCS COM           EQUITY  45068B109       9      195278  SH        SOLE       3         190400               4878
ITT INDS INC                       EQUITY  450911102   21012     248,805  SH        DEFINED    2                    248,805
ITT INDUSTRIAL INC                 EQUITY  450911102    3506      41,516  SH        SOLE       1         41,516
ITT Industries                     EQUITY  450911102    2044      24,200  SH        SOLE       4         24,200
IVANHOE MINES LTD                  EQUITY  46579N103    9458   1,316,000  SH        DEFINED    1              0   1,316,000
IVAX CORP                          EQUITY  465823102     791      50,000  SH        DEFINED    2                     50,000
IVAX CORP.                         EQUITY  465823102    6724     425,016  SH        SOLE       1        425,016
IVAX DIAGNOSTICS INC               EQUITY  45070W109      17       3,945  SH        SOLE       1          3,945
IVILLAGE INC                       EQUITY  46588H105     114      18,456  SH        SOLE       1         18,456
IXIA                               EQUITY  45071R109     261      15,513  SH        SOLE       1         15,513
IXIA COM                           EQUITY  45071R109       9      515100  SH        SOLE       3         507700               7400
IXYS CORP.                         EQUITY  46600W106     114      11,030  SH        SOLE       1         11,030
J & J SNACK FOODS CORP             EQUITY  466032109     174       3,556  SH        SOLE       1          3,556
J JILL GROUP INC                   EQUITY  466189107     155      10,430  SH        SOLE       1         10,430
J.B. HUNT TRANSPORT SERVICES       EQUITY  445658107    6172     137,620  SH        SOLE       1        137,620
J.C. PENNEY CO., INC.              EQUITY  708160106   12980     313,534  SH        SOLE       1        313,534
J0-ANN STORES INC                  EQUITY  47758P307     305      11,082  SH        SOLE       1         11,082
J2 GLOBAL COMMUNICATIO             EQUITY  46626E205     382      11,058  SH        SOLE       1         11,058
JABIL CIRCUIT INC                  EQUITY  466313103       6         229  SH        DEFINED    2                        229
JABIL CIRCUT, INC.                 EQUITY  466313103   37841   1,484,353  SH        SOLE       1      1,484,353
JACK IN THE BOX INC.               EQUITY  466367109     790      21,424  SH        SOLE       1         21,424
JACKSON HEWITT TAX SERVICE         EQUITY  468202106     557      22,074  SH        SOLE       1         22,074
JACOBS ENGINEERING GROUP, INC.     EQUITY  469814107    4580      95,827  SH        SOLE       1         95,827
JACUZZI BRANDS INC                 EQUITY  469865109     385      44,248  SH        SOLE       1         44,248
JAKKS PACIFIC, INC.                EQUITY  47012E106     329      14,872  SH        SOLE       1         14,872
JAMDAT MOBILE INC                  EQUITY  47023T100      74       3,594  SH        SOLE       1          3,594
JAMDAT MOBILE INC                  EQUITY  47023T100      21       1,000  SH        DEFINED    2                      1,000
JANUS CAP GROUP INC                EQUITY  47102X105       5         269  SH        DEFINED    2                        269
JANUS CAPITAL GROUP                EQUITY  47102X105    1915     113,916  SH        SOLE       1        113,916
JARDEN CORP                        EQUITY  471109108     694      15,967  SH        SOLE       1         15,967
JDA SOFTWARE GROUP, INC.           EQUITY  46612K108     206      15,096  SH        SOLE       1         15,096
JDS UNIPHASE CORP                  EQUITY  46612J101    2412     760,861  SH        SOLE       1        760,861
JDS UNIPHASE CORP                  EQUITY  46612J101       5       1,641  SH        DEFINED    2                      1,641
JEFFERIES GROUP, INC.              EQUITY  472319102    3913      97,157  SH        SOLE       1         97,157
JEFFERSON PILOT CORP               EQUITY  475070108       8         155  SH        DEFINED    2                        155
JEFFERSON-PILOT CORP.              EQUITY  475070108    3989      76,775  SH        SOLE       1         76,775
JETBLUE AIRWAYS CORP               EQUITY  477143101    4084     175,894  SH        SOLE       1        175,894
JETBLUE AWYS CORP COM              EQUITY  477143101       4      168474  SH        SOLE       3         166900               1574
JLG INDUSTRIES, INC.               EQUITY  466210101     504      25,656  SH        SOLE       1         25,656
JM SMUCKER CO/THE NEW COM WI       EQUITY  832696405    4675      99,322  SH        SOLE       1         99,322
JOHN B. SANFILIPPO & SON           EQUITY  800422107      95       3,695  SH        SOLE       1          3,695
JOHN WILEY & SONS, INC. CLASS A    EQUITY  968223206      38       1,086  SH        SOLE       1          1,086
JOHNSON & JOHNSON                  EQUITY  478160104  126260   1,990,854  SH        SOLE       1      1,990,854
JOHNSON + JOHNSON                  EQUITY  478160104   37676     594,083  SH        DEFINED    2                    594,083
Johnson and Johnson                EQUITY  478160104    3805      60,000  SH        SOLE       4         60,000
JOHNSON CONTROLS, INC.             EQUITY  478366107    5426      85,528  SH        SOLE       1         85,528
JOHNSON CTLS INC                   EQUITY  478366107   12763     201,182  SH        DEFINED    2                    201,182
JONES APPAREL GROUP INC            EQUITY  480074103       5         139  SH        DEFINED    2                        139
JONES APPAREL GROUP, INC.          EQUITY  480074103    3912     106,963  SH        SOLE       1        106,963
JONES LANG LASALLE INC COM         EQUITY  48020Q107       7      191850  SH        SOLE       3         187300               4550
JONES LANG LASALLE, INC.           EQUITY  48020Q107     700      18,718  SH        SOLE       1         18,718
JOS A BANK CLOTHIERS INC           EQUITY  480838101     170       6,006  SH        SOLE       1          6,006
JOURNAL COMMUNICATIONS INC-A       EQUITY  481130102     214      11,849  SH        SOLE       1         11,849
JOURNAL REGISTER CO.               EQUITY  481138105     476      24,623  SH        SOLE       1         24,623
JOY GLOBAL INC.                    EQUITY  481165108    1295      29,808  SH        SOLE       1         29,808
JPMORGAN CHASE + CO                EQUITY  46625H100   22196     568,979  SH        DEFINED    2                    568,979





                                                                                            
JPMORGAN CHASE AND CO.               EQUITY  46625H100  146501   3,753,833  SH      SOLE       1      3,753,833
JUNIPER NETWORKS INC COM             EQUITY  48203R104       1       52000  SH      SOLE       3          49800               2200
JUNIPER NETWORKS, INC.               EQUITY  48203R104    1064      39,150  SH      SOLE       1         39,150
JUPITERMEDIA CORP                    EQUITY  48207D101     232       9,774  SH      SOLE       1          9,774
JUPITERMEDIA CORP COM  144           EQUITY  48207D101       4      159900  SH      SOLE       3         159900
K V PHARMACEUT [A]                   EQUITY  482740206     462      20,962  SH      SOLE       1         20,962
K.FORCE INC.                         EQUITY  493732101     166      14,986  SH      SOLE       1         14,986
K2, INC.                             EQUITY  482732104     388      24,405  SH      SOLE       1         24,405
KADANT INC                           EQUITY  48282T104     172       8,398  SH      SOLE       1          8,398
KAMAN CORP., CLASS A                 EQUITY  483548103     157      12,398  SH      SOLE       1         12,398
KANA SOFTWARE INC.                   EQUITY  483600300                  36  SH      SOLE       1             36
KANBAY INTERNATIONAL INC             EQUITY  48369P207     131       4,196  SH      SOLE       1          4,196
KANSAS CITY LIFE INSURANCE CO.       EQUITY  484836101     103       2,160  SH      SOLE       1          2,160
KANSAS CITY SOUTHERN                 EQUITY  485170302     652      36,781  SH      SOLE       1         36,781
KAYDON CORP.                         EQUITY  486587108     545      16,505  SH      SOLE       1         16,505
KB HOME                              EQUITY  48666K109    2134      20,603  SH      SOLE       1         20,603
KB HOME                              EQUITY  48666K109       6          53  SH      DEFINED    2                         53
KCS ENERGY, INC.                     EQUITY  482434206     424      28,711  SH      SOLE       1         28,711
KEANE INC                            EQUITY  486665102    2487     169,200  SH      DEFINED    2                    169,200
KEANE, INC.                          EQUITY  486665102    1966     133,746  SH      SOLE       1        133,746
KEITHLEY INSTRUMENTS, INC.           EQUITY  487584104     146       7,390  SH      SOLE       1          7,390
KELLOGG CO                           EQUITY  487836108      21         469  SH      DEFINED    2                        469
KELLOGG CO.                          EQUITY  487836108   10649     238,456  SH      SOLE       1        238,456
KELLWOOD CO.                         EQUITY  488044108     550      15,936  SH      SOLE       1         15,936
KELLY SERVICES, INC., CLASS A        EQUITY  488152208    2094      69,370  SH      SOLE       1         69,370
KEMET CORP.                          EQUITY  488360108    1752     195,731  SH      SOLE       1        195,731
KENNAMETAL, INC.                     EQUITY  489170100    4414      89,044  SH      SOLE       1         89,044
KENSEY NASH CORP                     EQUITY  490057106     193       5,592  SH      SOLE       1          5,592
KERR MCGEE CORP                      EQUITY  492386107      10         172  SH      DEFINED    2                        172
KERR-MCGEE CORP                      EQUITY  492386107   13637     235,975  SH      SOLE       1        235,975
KERYX BIOPHARMACEUTICALS             EQUITY  492515101     147      12,706  SH      SOLE       1         12,706
KEY BANK NA                          EQUITY  493267108    6541     192,962  SH      SOLE       1        192,962
KEY ENERGY SERVICES INC              EQUITY  492914106     903      76,494  SH      SOLE       1         76,494
Keycorp                              EQUITY  493267108    2204      65,000  SH      SOLE       4         65,000
KEYCORP NEW                          EQUITY  493267108      16         462  SH      DEFINED    2                        462
KEYNOTE SYSTEMS INC                  EQUITY  493308100     126       9,032  SH      SOLE       1          9,032
Keyspan                              EQUITY  49337W100    1775      45,000  SH      SOLE       4         45,000
KEYSPAN CORP                         EQUITY  49337W100       7         183  SH      DEFINED    2                        183
KEYSPAN CORPORATION                  EQUITY  49337W100   22273     564,578  SH      SOLE       1        564,578
KEYSTONE AUTOMOTIVE IN               EQUITY  49338N109     207       8,920  SH      SOLE       1          8,920
K-FED BANCORP                        EQUITY  48246S101      50       3,339  SH      SOLE       1          3,339
KFX INC                              EQUITY  48245L107     385      26,506  SH      SOLE       1         26,506
KILROY REALTY CORP.                  EQUITY  49427F108     849      19,865  SH      SOLE       1         19,865
KIMBALL INTERNATIONAL, INC. CLASS B  EQUITY  494274103     188      12,707  SH      SOLE       1         12,707
KIMBERLY CLARK CORP                  EQUITY  494368103      36         554  SH      DEFINED    2                        554
KIMBERLY-CLARK CORP.                 EQUITY  494368103   15238     231,544  SH      SOLE       1        231,544
KIMCO REALTY                         EQUITY  49446R109     861      14,842  SH      SOLE       1         14,842
KIMCO REALTY CORP COM                EQUITY  49446R109       1       12440  SH      SOLE       3                             12440
Kinder Morgan Energy Partners        EQUITY  494550106    2438      55,000  SH      SOLE       4         55,000
Kinder Morgan Inc                    EQUITY  49455P101    2925      40,000  SH      SOLE       4         40,000
KINDER MORGAN INC KANS               EQUITY  49455P101      10         141  SH      DEFINED    2                        141
KINDER MORGAN INC.                   EQUITY  49455P101    4017      54,931  SH      SOLE       1         54,931
KINDRED HEALTHCARE INC               EQUITY  494580103     463      15,463  SH      SOLE       1         15,463
KINETIC CONSEPTS INC                 EQUITY  49460W208      44         575  SH      SOLE       1            575
KING PHARMACEUTICALS INC             EQUITY  495582108       3         275  SH      DEFINED    2                        275
KING PHARMACEUTICALS, INC.           EQUITY  495582108    1349     108,750  SH      SOLE       1        108,750
KINROSS GOLD                         EQUITY  496902404    3026     431,000  SH      DEFINED    1              0     431,000
KINTERA INC                          EQUITY  49720P506      35       3,912  SH      SOLE       1          3,912
KIRBY CORP.                          EQUITY  497266106     565      12,727  SH      SOLE       1         12,727




                                                                                            
KIRKLAND'S INC                         EQUITY  497498105      80       6,499  SH       SOLE    1          6,499
KITE REALTY GROUP TRUST                EQUITY  49803T102     171      11,181  SH       SOLE    1         11,181
KLA TENCOR CORP                        EQUITY  482480100      10         222  SH       DEFINED 2                        222
KLA-TENCOR CORP COM                    EQUITY  482480100       1       21600  SH       SOLE    3          21600
KLA-TENCOR CORP.                       EQUITY  482480100    5162     110,810  SH       SOLE    1        110,810
KMART HOLDING CORP                     EQUITY  498780105    5287      53,426  SH       SOLE    1         53,426
KNBT BANCORP INC                       EQUITY  482921103     303      17,933  SH       SOLE    1         17,933
KNIGHT RIDDER INC                      EQUITY  499040103       6          88  SH       DEFINED 2                         88
KNIGHT TRADING GROUP                   EQUITY  499063105     744      67,948  SH       SOLE    1         67,948
KNIGHT TRADING GROUP INC               EQUITY  499063105    2430     221,900  SH       DEFINED 2                    221,900
KNIGHT TRANSPORTATION INC              EQUITY  499064103     533      21,498  SH       SOLE    1         21,498
KNIGHT-RIDDER, INC.                    EQUITY  499040103    2304      34,417  SH       SOLE    1         34,417
KNOLOGY INC                            EQUITY  499183804     155      39,813  SH       SOLE    1         39,813
KOHLS CORP                             EQUITY  500255104    6092     123,890  SH       DEFINED 2                    123,890
KOHLS CORP.                            EQUITY  500255104    8377     170,361  SH       SOLE    1        170,361
KOMAG INC                              EQUITY  500453204     303      16,144  SH       SOLE    1         16,144
KOPIN CORP.                            EQUITY  500600101     159      41,140  SH       SOLE    1         41,140
Korea Electric Power Corp. Kepco Sp    EQUITY  500631106     974      59,500  SH       SOLE    1         59,500
KORN/FERRY INTERNATIONAL               EQUITY  500643200    1738      83,755  SH       SOLE    1         83,755
KOS PHARMACEUTICALS, INC.              EQUITY  500648100     263       7,000  SH       SOLE    1          7,000
KOSAN BIOSCIENCES INC                  EQUITY  50064W107      86      12,395  SH       SOLE    1         12,395
KRAFT FOODS INC                        EQUITY  50075N104   30362     852,639  SH       SOLE    1        852,639
KRAMONT REALTY TRUST                   EQUITY  50075Q107     392      16,756  SH       SOLE    1         16,756
KRISPY KREME DOUGHNU                   EQUITY  501014104    1711     135,823  SH       SOLE    1        135,823
KROGER CO                              EQUITY  501044101      15         840  SH       DEFINED 2                        840
KROGER CO.                             EQUITY  501044101    5834     332,612  SH       SOLE    1        332,612
KRONOS WORLDWIDE INC                   EQUITY  50105F105      75       1,843  SH       SOLE    1          1,843
KRONOS, INC.                           EQUITY  501052104     932      18,230  SH       SOLE    1         18,230
K-SWISS, INC.                          EQUITY  482686102     442      15,185  SH       SOLE    1         15,185
KULICKE & SOFFA INDUSTRIES             EQUITY  501242101     257      29,835  SH       SOLE    1         29,835
KVH INDUSTRIES INC                     EQUITY  482738101      83       8,464  SH       SOLE    1          8,464
KYPHON INC                             EQUITY  501577100     352      13,670  SH       SOLE    1         13,670
L 3 COMMUNICATIONS HLDG CO             EQUITY  502424104   21579     291,131  SH       DEFINED 2                    291,131
L-3 COMMUNICATIONS HOLDINGS,           EQUITY  502424104    3765      51,403  SH       SOLE    1         51,403
L-3 COMMUNICATNS HLDGS COM             EQUITY  502424104       5       71300  SH       SOLE    3          70300               1000
LA QUINTA PROPERTIES-PAIRED            EQUITY  50419U202    1003     110,290  SH       SOLE    1        110,290
LABONE INC NEW                         EQUITY  50540L105     647      20,187  SH       SOLE    1         20,187
LABOR READY INC COM NEW                EQUITY  505401208       8      453545  SH       SOLE    3         442545              11000
LABOR READY, INC.                      EQUITY  505401208     411      24,294  SH       SOLE    1         24,294
LABORATORY CORP AMER HLDGS             EQUITY  50540R409       8         157  SH       DEFINED 2                        157
LABORATORY CRP OF AMER HLDGS           EQUITY  50540R409    3090      62,030  SH       SOLE    1         62,030
LABRANCHE & CO. INC.                   EQUITY  505447102    1181     131,757  SH       SOLE    1        131,757
LACLEDE GAS CO.                        EQUITY  505597104     379      12,165  SH       SOLE    1         12,165
LAFARGE NORTH AMERIC                   EQUITY  505862102      42         812  SH       SOLE    1            812
LAIDLAW INTERNATIONAL                  EQUITY  50730R102   10964     512,347  SH       SOLE    1        512,347
LAKELAND BANCORP INC                   EQUITY  511637100     176      10,048  SH       SOLE    1         10,048
LAKELAND FINL CORP                     EQUITY  511656100     136       3,417  SH       SOLE    1          3,417
LAKES ENTERTAINMENT INC                EQUITY  51206P109     147       8,997  SH       SOLE    1          8,997
LAM RESEARCH CORP COM                  EQUITY  512807108       1       44800  SH       SOLE    3          44800
LAM RESEARCH CORP.                     EQUITY  512807108    6987     241,697  SH       SOLE    1        241,697
LAM RESH CORP                          EQUITY  512807108   30011   1,038,100  SH       DEFINED 2                  1,038,100
LAMAR ADVERTISING CO                   EQUITY  512815101     339       7,925  SH       SOLE    1          7,925
LANCASTER COLONY CORP.                 EQUITY  513847103    3205      74,768  SH       SOLE    1         74,768
LANCE, INC.                            EQUITY  514606102     287      15,063  SH       SOLE    1         15,063
LANDAMERICA FINANCIAL GROUP            EQUITY  514936103     564      10,449  SH       SOLE    1         10,449
LANDAUER, INC.                         EQUITY  51476K103     239       5,229  SH       SOLE    1          5,229
LANDRY'S RESTAURANTS INC.              EQUITY  51508L103     367      12,633  SH       SOLE    1         12,633
LANDSTAR SYSTEM, INC.                  EQUITY  515098101    1289      17,500  SH       SOLE    1         17,500
LANNETT CO INC                         EQUITY  516012101      40       4,053  SH       SOLE    1          4,053





                                                                                             
LASALLE HOTEL PROPERTIES               EQUITY  517942108     624      19,618  SH       SOLE    1         19,618
LASERCARD CORP                         EQUITY  51807U101      60       5,719  SH       SOLE    1          5,719
LASERSCOPE                             EQUITY  518081104     381      10,621  SH       SOLE    1         10,621
LATTICE SEMICONDUCTOR CORP.            EQUITY  518415104    1463     256,721  SH       SOLE    1        256,721
LAUDER ESTEE COS INC                   EQUITY  518439104   14825     323,900  SH       DEFINED 2                    323,900
LAUREATE EDUCATION INC                 EQUITY  518613104    3608      81,832  SH       SOLE    1         81,832
LAWSON PRODUCTS, INC.                  EQUITY  520776105     144       2,875  SH       SOLE    1          2,875
LAWSON SOFTWARE                        EQUITY  520780107     224      32,636  SH       SOLE    1         32,636
LAWSON SOFTWARE INC                    EQUITY  520780107    4467     650,200  SH       DEFINED 2                    650,200
LAYNE CHRISTENSEN COMPANY              EQUITY  521050104     105       5,785  SH       SOLE    1          5,785
LA-Z-BOY CHAIR CO.                     EQUITY  505336107     473      30,745  SH       SOLE    1         30,745
LCA VISION INC                         EQUITY  501803308    4934     210,950  SH       DEFINED 2                    210,950
LCA-VISION INC                         EQUITY  501803308     212       9,064  SH       SOLE    1          9,064
LEADIS TECHNOLOGY INC                  EQUITY  52171N103      37       3,515  SH       SOLE    1          3,515
LEAPFROG ENTERPRISES                   EQUITY  52186N106     219      16,119  SH       SOLE    1         16,119
LEAPFROG ENTERPRISES                   EQUITY  52186N106       9         695  SH       DEFINED 2                        695
LEAR CORP                              EQUITY  521865105    6998     114,702  SH       SOLE    1        114,702
LEARNING TREE INTERNATIONAL            EQUITY  522015106      69       5,171  SH       SOLE    1          5,171
LECG CORP                              EQUITY  523234102     143       7,666  SH       SOLE    1          7,666
LECROY CORP                            EQUITY  52324W109     112       4,800  SH       SOLE    1          4,800
LECROY CORP COM                        EQUITY  52324W109       7      285000  SH       SOLE    3         285000
LEE ENTERPRISES, INC.                  EQUITY  523768109    3544      76,912  SH       SOLE    1         76,912
LEGG MASON, INC.                       EQUITY  524901105   12556     171,396  SH       SOLE    1        171,396
LEGGETT & PLATT, INC.                  EQUITY  524660107    2492      87,663  SH       SOLE    1         87,663
LEGGETT + PLATT INC                    EQUITY  524660107       6         217  SH       DEFINED 2                        217
LEHMAN BROTHERS HLDGS INC              EQUITY  524908100      27         306  SH       DEFINED 2                        306
LEHMAN BROTHERS HOLDINGS, INC.         EQUITY  524908100   10023     114,576  SH       SOLE    1        114,576
LENNAR CORP. COM CLASS A               EQUITY  526057104   15030     265,174  SH       SOLE    1        265,174
LENNOX INTERNATIONAL INC               EQUITY  526107107     527      25,915  SH       SOLE    1         25,915
LEUCADIA NATIONAL CORP.                EQUITY  527288104    8448     121,591  SH       SOLE    1        121,591
LEVEL 3 COMMUNICATIONS, INC.           EQUITY  52729N100     214      63,092  SH       SOLE    1         63,092
LEVITT CORP-CL A                       EQUITY  52742P108     275       8,994  SH       SOLE    1          8,994
LEXAR MEDIA INC                        EQUITY  52886P104     326      41,565  SH       SOLE    1         41,565
LEXICON GENETICS INC COM               EQUITY  528872104       4      563100  SH       SOLE    3         556600               6500
LEXICON GENETICS INC.                  EQUITY  528872104     288      37,196  SH       SOLE    1         37,196
LEXINGTON CORP. PROPERTRIES            EQUITY  529043101     760      33,680  SH       SOLE    1         33,680
LEXMARK INTERNATIONAL GROUP            EQUITY  529771107    7984      93,935  SH       SOLE    1         93,935
LEXMARK INTL INC                       EQUITY  529771107      12         147  SH       DEFINED 2                        147
LIBBEY, INC.                           EQUITY  529898108     178       8,020  SH       SOLE    1          8,020
LIBERTY CORP.                          EQUITY  530370105     405       9,221  SH       SOLE    1          9,221
LIBERTY MEDIA CORP                     EQUITY  530718105      79       7,360  SH       DEFINED 2                      7,360
LIBERTY MEDIA INTL                     EQUITY  530719103      17         367  SH       DEFINED 2                        367
LIBERTY MEDIA INTL INC-A               EQUITY  530719103     750      16,229  SH       SOLE    1         16,229
LIBERTY PPTY TR SH BEN INT             EQUITY  531172104                9520  SH       SOLE    3                              9520
LIBERTY PROPERTY TRUST                 EQUITY  531172104    6709     155,310  SH       SOLE    1        155,310
LIFE TIME FITNESS INC                  EQUITY  53217R207     181       6,975  SH       SOLE    1          6,975
LIFECELL CORPORATION                   EQUITY  531927101     171      16,685  SH       SOLE    1         16,685
LIFELINE SYS INC                       EQUITY  532192101     167       6,501  SH       SOLE    1          6,501
LIFEPOINT HOSPITALS HLDG               EQUITY  53219L109    3043      87,390  SH       SOLE    1         87,390
LIFETIME HOAN CORP                     EQUITY  531926103      67       4,185  SH       SOLE    1          4,185
LIGAND PHARMACEUTICALS, INC., CLASS B  EQUITY  53220K207     505      43,380  SH       SOLE    1         43,380
LILLY ELI + CO                         EQUITY  532457108      73       1,286  SH       DEFINED 2                      1,286
LIMITED BRANDS INC                     EQUITY  532716107   16702     725,562  SH       DEFINED 2                    725,562
LIMITED BRANDS, INC.                   EQUITY  532716107   22257     966,838  SH       SOLE    1        966,838
LIN TV CORP                            EQUITY  532774106     301      15,755  SH       SOLE    1         15,755
LINCARE HOLDINGS, INC.                 EQUITY  532791100    7571     177,504  SH       SOLE    1        177,504
LINCOLN ELECTRIC HOLDINGS, INC         EQUITY  533900106     680      19,684  SH       SOLE    1         19,684
LINCOLN NATIONAL CORP.                 EQUITY  534187109    3666      78,524  SH       SOLE    1         78,524
LINCOLN NATL CORP                      EQUITY  534187109      48       1,028  SH       DEFINED 2                      1,028





                                                                                             
LINDSAY MANUFACTURING CO.              EQUITY  535555106     179       6,901  SH       SOLE    1          6,901
LINEAR TECHNOLOGY CORP                 EQUITY  535678106      14         349  SH       DEFINED 2                        349
LINEAR TECHNOLOGY CORP.                EQUITY  535678106    6730     173,641  SH       SOLE    1        173,641
LINENS 'N THINGS, INC.                 EQUITY  535679104     655      26,400  SH       SOLE    1         26,400
LIONBRIDGE TECHNOLOGIES INC            EQUITY  536252109     184      27,348  SH       SOLE    1         27,348
LITHIA MOTORS, INC.                    EQUITY  536797103     225       8,378  SH       SOLE    1          8,378
LITTELFUSE, INC.                       EQUITY  537008104     442      12,952  SH       SOLE    1         12,952
LIZ CLAIBORNE INC                      EQUITY  539320101       5         123  SH       DEFINED 2                        123
LIZ CLAIBORNE, INC.                    EQUITY  539320101    2066      48,937  SH       SOLE    1         48,937
LKQ CORP                               EQUITY  501889208     172       8,566  SH       SOLE    1          8,566
LNR PROPERTY CORP.                     EQUITY  501940100    2963      47,100  SH       SOLE    1         47,100
LOCKHEED MARTIN CORP                   EQUITY  539830109      28         503  SH       DEFINED 2                        503
LOCKHEED MARTIN CORP.                  EQUITY  539830109   10889     196,014  SH       SOLE    1        196,014
LODGENET ENTERTAINMENT CORP.           EQUITY  540211109     136       7,678  SH       SOLE    1          7,678
LODGIAN INC                            EQUITY  54021P403       2         124  SH       SOLE    1            124
LOEWS CORP                             EQUITY  540424108      15         211  SH       DEFINED 2                        211
LOEWS CORP - CAROLINA GROUP            EQUITY  540424207      42       1,434  SH       SOLE    1          1,434
LOEWS CORP.                            EQUITY  540424108    5804      82,555  SH       SOLE    1         82,555
LO-JACK CORPORATION                    EQUITY  539451104     869      71,900  SH       SOLE    1         71,900
LONE STAR STEAKHOUSE & SALOON          EQUITY  542307103     261       9,322  SH       SOLE    1          9,322
LONE STAR TECHNOLOGIES, INC.           EQUITY  542312103     565      16,892  SH       SOLE    1         16,892
LONGS DRUG STORES CORP.                EQUITY  543162101     489      17,742  SH       SOLE    1         17,742
LONGVIEW FIBRE CO.                     EQUITY  543213102    2099     115,690  SH       SOLE    1        115,690
LOOKSMART LTD                          EQUITY  543442107     123      56,061  SH       SOLE    1         56,061
LOUISIANA PAC CORP                     EQUITY  546347105       3         125  SH       DEFINED 2                        125
LOUISIANA PACIFIC CORP.                EQUITY  546347105    1370      51,239  SH       SOLE    1         51,239
LOWE'S COMPANIES, INC.                 EQUITY  548661107   24390     423,518  SH       SOLE    1        423,518
LSI INDUSTRIES, INC.                   EQUITY  50216C108     133      11,589  SH       SOLE    1         11,589
LSI LOGIC CORP                         EQUITY  502161102       2         437  SH       DEFINED 2                        437
LSI LOGIC CORP.                        EQUITY  502161102    1132     206,484  SH       SOLE    1        206,484
LTC PROP INC                           EQUITY  502175102     172       8,661  SH       SOLE    1          8,661
LTX CORP.                              EQUITY  502392103    1064     138,355  SH       SOLE    1        138,355
LUBRIZOL CORP.                         EQUITY  549271104    4184     113,519  SH       SOLE    1        113,519
LUCENT TECHNOLOGIES INC                EQUITY  549463107    7434   1,977,234  SH       SOLE    1      1,977,234
LUCENT TECHNOLOGIES INC                EQUITY  549463107      19       5,024  SH       DEFINED 2                      5,024
LUFKIN INDS INC COM                    EQUITY  549764108     165       4,167  SH       SOLE    1          4,167
LUMINENT MORTGAGE CAPITAL IN           EQUITY  550278303     255      21,420  SH       SOLE    1         21,420
LUMINEX CORP                           EQUITY  55027E102     140      15,745  SH       SOLE    1         15,745
LYON WILLIAM HOMES                     EQUITY  552074106     173       2,466  SH       SOLE    1          2,466
LYONDELL CHEMICAL CO COM               EQUITY  552078107       4      150508  SH       SOLE    3         148100               2408
LYONDELL CHEMICAL CO.                  EQUITY  552078107   11860     410,106  SH       SOLE    1        410,106
M & F WORLDWIDE CORP                   EQUITY  552541104      81       5,971  SH       SOLE    1          5,971
M + T BK CORP                          EQUITY  55261F104      14         132  SH       DEFINED 2                        132
M&T BANK CORP.                         EQUITY  55261F104    5527      51,248  SH       SOLE    1         51,248
M.D.C. HOLDINGS, INC.                  EQUITY  552676108      47         548  SH       SOLE    1            548
M/I HOMES INC                          EQUITY  55305B101     388       7,111  SH       SOLE    1          7,111
MACATAWA BK CORP                       EQUITY  554225102     167       5,173  SH       SOLE    1          5,173
MACDERMID, INC.                        EQUITY  554273102     572      15,848  SH       SOLE    1         15,848
MACERICH CO COM                        EQUITY  554382101                6610  SH       SOLE    3                              6610
MACERICH CO.                           EQUITY  554382101     506       8,060  SH       SOLE    1          8,060
MACK CALI REALTY CORP COM              EQUITY  554489104                6780  SH       SOLE    3                              6780
MACK-CALI REALTY CORP                  EQUITY  554489104    5081     110,376  SH       SOLE    1        110,376
MACROMEDIA INC COM                     EQUITY  556100105       2       70600  SH       SOLE    3          66400               4200
MACROMEDIA, INC.                       EQUITY  556100105    3756     120,694  SH       SOLE    1        120,694
MACROVISION CORP                       EQUITY  555904101    2888     112,281  SH       SOLE    1        112,281
MAF BANCORP, INC.                      EQUITY  55261R108     733      16,357  SH       SOLE    1         16,357
MAGELLAN HEALTH SERVICES INC           EQUITY  559079207     540      15,802  SH       SOLE    1         15,802
Magellan Midstream Partner             EQUITY  559080106    2347      40,000  SH       SOLE    4         40,000
MAGMA DESIGN AUTOMATIO                 EQUITY  559181102     181      14,455  SH       SOLE    1         14,455





                                                                                            
MAGNA ENTERTAINMENT CL A               EQUITY  559211107    1132     188,100  SH      SOLE     1        188,100
MAGNATEK, INC.                         EQUITY  559424106      96      13,905  SH      SOLE     1         13,905
MAGNUM HUNTER RESOURCES INC            EQUITY  55972F203     657      50,947  SH      SOLE     1         50,947
MAGUIRE PROPERTIES INC                 EQUITY  559775101     679      24,716  SH      SOLE     1         24,716
MAIN STREET BANKS INC                  EQUITY  56034R102     279       7,978  SH      SOLE     1          7,978
MAINSOURCE FINANCIAL G                 EQUITY  56062Y102     135       5,664  SH      SOLE     1          5,664
MANDALAY RESORT GROUP                  EQUITY  562567107   12412     176,232  SH      SOLE     1        176,232
MANHATTAN ASSOCIATES, INC.             EQUITY  562750109     423      17,720  SH      SOLE     1         17,720
MANHATTAN ASSOCS INC                   EQUITY  562750109    3723     155,900  SH      DEFINED  2                    155,900
MANITOWOC CO., INC.                    EQUITY  563571108     592      15,713  SH      SOLE     1         15,713
MANNATECH INC                          EQUITY  563771104     159       8,338  SH      SOLE     1          8,338
MANNING (GREG) AUCTIONS INC            EQUITY  563823103      37       2,962  SH      SOLE     1          2,962
MANNKIND CORP                          EQUITY  56400P201     120       7,631  SH      SOLE     1          7,631
MANOR CARE INC NEW                     EQUITY  564055101       3          98  SH      DEFINED  2                         98
MANOR CARE, INC.                       EQUITY  564055101    2187      61,722  SH      SOLE     1         61,722
MANPOWER, INC.                         EQUITY  56418H100    7411     153,445  SH      SOLE     1        153,445
MANTECH INTL CORP                      EQUITY  564563104     235       9,879  SH      SOLE     1          9,879
MANUGISTICS GROUP IN                   EQUITY  565011103      92      32,222  SH      SOLE     1         32,222
MANULIFE FINANCIAL                     EQUITY  56501R106    3719      80,800  SH      DEFINED  1              0      80,800
MAPICS INC                             EQUITY  564910107     157      14,916  SH      SOLE     1         14,916
MAPINFO CORP COM                       EQUITY  565105103     142      11,861  SH      SOLE     1         11,861
MARATHON OIL CORP                      EQUITY  565849106    5863     155,901  SH      SOLE     1        155,901
MARATHON OIL CORP                      EQUITY  565849106    4697     124,894  SH      DEFINED  2                    124,894
MARCHEX INC-CLASS B                    EQUITY  56624R108      51       2,413  SH      SOLE     1          2,413
MARCONI CORP PLC-SPONS ADR             EQUITY  56630M101     516      24,568  SH      SOLE     1         24,568
MARCUS CORP                            EQUITY  566330106     291      11,585  SH      SOLE     1         11,585
MARINEMAX INC                          EQUITY  567908108     203       6,829  SH      SOLE     1          6,829
MARKEL CORP                            EQUITY  570535104      69         190  SH      SOLE     1            190
MARKETAXESS HLDGS INC                  EQUITY  57060D108    2434     143,100  SH      DEFINED  2                    143,100
MARKETAXESS HOLDINGS INC               EQUITY  57060D108      50       2,951  SH      SOLE     1          2,951
MARKETWATCH INC                        EQUITY  570619106     110       6,122  SH      SOLE     1          6,122
MARLIN BUSINESS SERVICES INC           EQUITY  571157106      66       3,481  SH      SOLE     1          3,481
MARRIOTT INTERNATIONAL, INC.           EQUITY  571903202    6875     109,169  SH      SOLE     1        109,169
MARSH & MCLENNAN COMPANIES INC         EQUITY  571748102   14156     430,259  SH      SOLE     1        430,259
MARSH + MCLENNAN COS INC               EQUITY  571748102      20         599  SH      DEFINED  2                        599
MARSHALL & ILSLEY CORP.                EQUITY  571834100    4443     100,518  SH      SOLE     1        100,518
MARSHALL EDWARDS INC                   EQUITY  572322303      38       4,208  SH      SOLE     1          4,208
MARTEK BIOSCIENCES CORP.               EQUITY  572901106      31         603  SH      SOLE     1            603
MARTEN TRANSPORT LTD                   EQUITY  573075108     122       5,370  SH      SOLE     1          5,370
MARTHA STEWART LIVING-CL A             EQUITY  573083102     198       6,836  SH      SOLE     1          6,836
MARTIN MARIETTA MATERIALS              EQUITY  573284106    4389      81,787  SH      SOLE     1         81,787
MARVEL ENTERPRISES INC                 EQUITY  57383M108      34       1,640  SH      SOLE     1          1,640
MARVELL TECH GROUP LTD ORD             EQUITY  G5876H105       4      107600  SH      SOLE     3         107600
MARVELL TECHNOLOGY GROUP L             EQUITY  G5876H105   15543     438,200  SH      DEFINED  2                    438,200
MARVELL TECHNOLOGY GROUP LTD           EQUITY  G5876H105     643      18,120  SH      SOLE     1         18,120
MASCO CORP                             EQUITY  574599106      19         509  SH      DEFINED  2                        509
MASCO CORP.                            EQUITY  574599106    8880     243,082  SH      SOLE     1        243,082
MASISA SA ADR EACH REP 30 C            EQUITY  574799102      98       6,000  SH      SOLE     1          6,000
MASSEY ENERGY COMPANY                  EQUITY  576206106      65       1,874  SH      SOLE     1          1,874
MASTEC, INC.                           EQUITY  576323109     139      13,786  SH      SOLE     1         13,786
MATRIA HEALTHCARE INC                  EQUITY  576817209     236       6,049  SH      SOLE     1          6,049
MATRIX SERVICE CO                      EQUITY  576853105      81      10,060  SH      SOLE     1         10,060
MATRIXONE INC                          EQUITY  57685P304     208      31,811  SH      SOLE     1         31,811
MATTEL INC                             EQUITY  577081102       9         472  SH      DEFINED  2                        472
MATTEL, INC.                           EQUITY  577081102   39998   2,052,247  SH      SOLE     1      2,052,247
MATTHEWS INTERNATIONAL CORP. CLASS A   EQUITY  577128101     695      18,899  SH      SOLE     1         18,899
MATTSON TECHNOLOGY INC COM             EQUITY  577223100       7      623086  SH      SOLE     3         607800              15286
MATTSON TECHNOLOGY, INC.               EQUITY  577223100     263      23,426  SH      SOLE     1         23,426
MAUI LAND & PINEAPPLE CO               EQUITY  577345101      74       1,893  SH      SOLE     1          1,893





                                                                                             
MAVERICK TUBE CORP.                    EQUITY  577914104     753      24,850  SH      SOLE     1         24,850
MAXIM INTEGRATED PRODS COM             EQUITY  57772K101       1       31500  SH      SOLE     3          31500
MAXIM INTEGRATED PRODS INC             EQUITY  57772K101      16         370  SH      DEFINED  2                        370
MAXIM INTEGRATED PRODUCTS INC.         EQUITY  57772K101    7436     175,410  SH      SOLE     1        175,410
MAXIM PHARMACEUTICALS INC.             EQUITY  57772M107      50      16,631  SH      SOLE     1         16,631
MAXIMUS, INC.                          EQUITY  577933104     341      10,958  SH      SOLE     1         10,958
MAXTOR CORP                            EQUITY  577729205      32       5,947  SH      SOLE     1          5,947
MAXWELL TECHNOLOGIES, INC.             EQUITY  577767106      65       6,426  SH      SOLE     1          6,426
MAXYGEN                                EQUITY  577776107     167      13,068  SH      SOLE     1         13,068
MAY DEPARTMENT STORES CO.              EQUITY  577778103    3863     131,394  SH      SOLE     1        131,394
MAY DEPT STORES CO                     EQUITY  577778103      10         332  SH      DEFINED  2                        332
MAYTAG CORP                            EQUITY  578592107       2          90  SH      DEFINED  2                         90
MAYTAG CORP.                           EQUITY  578592107    1099      52,088  SH      SOLE     1         52,088
MB FINANCIAL INC                       EQUITY  55264U108     477      11,318  SH      SOLE     1         11,318
MBIA INC                               EQUITY  55262C100      10         160  SH      DEFINED  2                        160
MBIA, INC                              EQUITY  55262C100    4836      76,416  SH      SOLE     1         76,416
MBNA CORP                              EQUITY  55262L100      41       1,452  SH      DEFINED  2                      1,452
MBNA CORP.                             EQUITY  55262L100   15559     551,922  SH      SOLE     1        551,922
MBT FINANCIAL CORP                     EQUITY  578877102     195       8,398  SH      SOLE     1          8,398
MCAFEE INC                             EQUITY  579064106    7882     272,451  SH      SOLE     1        272,451
MCAFEE INC                             EQUITY  579064106    5505     190,300  SH      DEFINED  2                    190,300
MCCLATCHY COMPANY-CL                   EQUITY  579489105      34         474  SH      SOLE     1            474
MCCORMICK & CO., INC.                  EQUITY  579780206    2361      61,153  SH      SOLE     1         61,153
MCCORMICK + CO INC                     EQUITY  579780206   15094     391,027  SH      DEFINED  2                    391,027
MCDATA CORP                            EQUITY  580031201                  57  SH      DEFINED  2                         57
MCDATA CORP-CL A                       EQUITY  580031201    1592     267,072  SH      SOLE     1        267,072
MCDONALDS CORP                         EQUITY  580135101    4983     155,429  SH      DEFINED  2                    155,429
MCDONALD'S CORP.                       EQUITY  580135101   52308   1,649,578  SH      SOLE     1      1,649,578
MCG CAPITAL CORP                       EQUITY  58047P107    4349     253,873  SH      SOLE     1        253,873
MCGRATH RENTCORP                       EQUITY  580589109     247       5,653  SH      SOLE     1          5,653
MCGRAW HILL COS INC                    EQUITY  580645109      20         216  SH      DEFINED  2                        216
MCGRAW-HILL, INC.                      EQUITY  580645109    7365      80,456  SH      SOLE     1         80,456
MCI INC                                EQUITY  552691107    3388     168,074  SH      SOLE     1        168,074
MCKESSON CORP                          EQUITY  58155Q103      11         334  SH      DEFINED  2                        334
MCKESSON CORP.                         EQUITY  58155Q103    4265     135,556  SH      SOLE     1        135,556
MCMORAN EXPLORATION CO                 EQUITY  582411104     198      10,584  SH      SOLE     1         10,584
MDU RESOURCES GROUP, INC.              EQUITY  552690109    5362     200,981  SH      SOLE     1        200,981
MEADWESTVACO CORP                      EQUITY  583334107   12978     382,942  SH      SOLE     1        382,942
MEADWESTVACO CORP                      EQUITY  583334107       8         230  SH      DEFINED  2                        230
MEASUREMENT SPECIALTIES INC            EQUITY  583421102     160       6,269  SH      SOLE     1          6,269
MECHEL STEEL GROUP OAO-ADR             EQUITY  583840103    1918      85,800  SH      SOLE     1         85,800
MEDAREX INC                            EQUITY  583916101     501      46,451  SH      SOLE     1         46,451
MEDAREX INC                            EQUITY  583916101     916      85,000  SH      DEFINED  2                     85,000
MEDCATH CORP                           EQUITY  58404W109      87       3,536  SH      SOLE     1          3,536
MEDCATH CORP COM                       EQUITY  58404W109       2       96100  SH      SOLE     3          96100
MEDCO HEALTH SOLUTIONS INC             EQUITY  58405U102    7166     172,260  SH      SOLE     1        172,260
MEDCO HEALTH SOLUTIONS INC             EQUITY  58405U102     965      23,196  SH      DEFINED  2                     23,196
MEDIA GENERAL, INC. CLASS A            EQUITY  584404107    2616      40,370  SH      SOLE     1         40,370
MEDIACOM COMMUNICATI                   EQUITY  58446K105     242      38,716  SH      SOLE     1         38,716
MEDICAL ACTION IND INC                 EQUITY  58449L100      94       4,793  SH      SOLE     1          4,793
MEDICAL STAFFING NETWORK HOLDINGS      EQUITY  58463F104      58       7,113  SH      SOLE     1          7,113
MEDICINES CO                           EQUITY  584688105    6748     234,300  SH      DEFINED  2                    234,300
MEDICINES COMPANY                      EQUITY  584688105     806      28,001  SH      SOLE     1         28,001
MEDICIS PHARMACEUTIC                   EQUITY  584690309      46       1,297  SH      SOLE     1          1,297
MEDICURE                               EQUITY  58469E101    1315   1,759,000  SH      DEFINED  1              0   1,759,000
MEDIMMUNE INC                          EQUITY  584699102       8         283  SH      DEFINED  2                        283
MEDIMMUNE, INC.                        EQUITY  584699102    3518     129,761  SH      SOLE     1        129,761
MEDIS TECHNOLOGIES LTD                 EQUITY  58500P107     140       7,638  SH      SOLE     1          7,638
MEDTRONIC INC                          EQUITY  585055106   17254     347,374  SH      DEFINED  2                    347,374





                                                                                            
MEDTRONIC, INC.                        EQUITY  585055106   26545     534,434  SH      SOLE     1        534,434
MELLON FINANCIAL CORPORATION           EQUITY  58551A108    5605     180,181  SH      SOLE     1        180,181
MELLON FINL CORP                       EQUITY  58551A108    3876     124,581  SH      DEFINED  2                    124,581
MEMC ELECTRONIC MATERIALS, INC         EQUITY  552715104      23       1,758  SH      SOLE     1          1,758
MENS WEARHOUSE, INC.                   EQUITY  587118100     593      18,546  SH      SOLE     1         18,546
MENTOR CORP.                           EQUITY  587188103     865      25,651  SH      SOLE     1         25,651
MENTOR GRAPHICS CORP.                  EQUITY  587200106    2644     172,907  SH      SOLE     1        172,907
MERCANTILE BANK CORP                   EQUITY  587376104     166       4,206  SH      SOLE     1          4,206
MERCANTILE BANKSHARES CORP.            EQUITY  587405101    7039     134,847  SH      SOLE     1        134,847
MERCK & CO., INC.                      EQUITY  589331107   30889     961,090  SH      SOLE     1        961,090
MERCK + CO INC                         EQUITY  589331107   24632     766,499  SH      DEFINED  2                    766,499
MERCURY COMPUTER SYSTEMS INC           EQUITY  589378108     370      12,456  SH      SOLE     1         12,456
MERCURY GENERAL CORP                   EQUITY  589400100      38         640  SH      SOLE     1            640
MERCURY INTERACTIVE CORP               EQUITY  589405109       4          96  SH      DEFINED  2                         96
MERCURY INTERACTIVE CORP.              EQUITY  589405109   20886     458,537  SH      SOLE     1        458,537
MEREDITH CORP                          EQUITY  589433101    1192      21,984  SH      SOLE     1         21,984
MEREDITH CORP                          EQUITY  589433101       3          57  SH      DEFINED  2                         57
MERGE TECHNOLOGIES INC                 EQUITY  589981109     143       6,440  SH      SOLE     1          6,440
MERIDIAN GOLD                          EQUITY  589975101    3508     185,700  SH      DEFINED  1              0     185,700
MERIDIAN RESOURCE CORP                 EQUITY  58977Q109     216      35,762  SH      SOLE     1         35,762
MERISTAR HOSPITALITY CORP              EQUITY  58984Y103    4122     493,695  SH      DEFINED  2                    493,695
MERISTAR HOSPITALITY CORP.             EQUITY  58984Y103    5019     601,049  SH      SOLE     1        601,049
MERIT MED SYS INC                      EQUITY  589889104     210      13,766  SH      SOLE     1         13,766
MERITAGE HOMES CORPORATION             EQUITY  59001A102     700       6,213  SH      SOLE     1          6,213
MERIX CORPORATION                      EQUITY  590049102     122      10,577  SH      SOLE     1         10,577
MERRILL LYNCH & CO., INC.              EQUITY  590188108   24357     407,504  SH      SOLE     1        407,504
MERRILL LYNCH + CO INC                 EQUITY  590188108   17695     296,059  SH      DEFINED  2                    296,059
MESA AIRLINES, INC.                    EQUITY  590479101     148      18,613  SH      SOLE     1         18,613
METAL MANAGEMENT INC                   EQUITY  591097209     278      10,344  SH      SOLE     1         10,344
METALS USA INC                         EQUITY  591324207     220      11,846  SH      SOLE     1         11,846
METHODE ELECTRONICS, INC.              EQUITY  591520200     268      20,834  SH      SOLE     1         20,834
METLIFE INC                            EQUITY  59156R108      34         846  SH      DEFINED  2                        846
METLIFE, INC.                          EQUITY  59156R108   13010     321,156  SH      SOLE     1        321,156
METRIS COMPANIES INC                   EQUITY  591598107     241      18,935  SH      SOLE     1         18,935
METRO-GOLDWYN-MAYER                    EQUITY  591610100      16       1,372  SH      SOLE     1          1,372
METROLOGIC INSTRUMENTS INC             EQUITY  591676101     131       6,163  SH      SOLE     1          6,163
METTLER-TOLEDO INTERNATIONAL           EQUITY  592688105      54       1,062  SH      SOLE     1          1,062
MFS Municipal Inc                      EQUITY  552738106     136      17,700  SH      SOLE     4         17,700
MGE ENERGY INC                         EQUITY  55277P104     422      11,725  SH      SOLE     1         11,725
MGI PHARMA INC                         EQUITY  552880106      45       1,624  SH      SOLE     1          1,624
MGI PHARMA INC                         EQUITY  552880106    2241      80,000  SH      DEFINED  2                     80,000
MGIC INVESTMENT CORP.                  EQUITY  552848103    3007      43,630  SH      SOLE     1         43,630
MGIC INVT CORP WIS                     EQUITY  552848103       8         110  SH      DEFINED  2                        110
MGM GRAND INC                          EQUITY  552953101    3044      41,843  SH      SOLE     1         41,843
MGM MIRAGE COM                         EQUITY  552953101       5       63200  SH      SOLE     3          61800               1400
MGM MIRAGEINC                          EQUITY  552953101    2600      35,750  SH      DEFINED  2                     35,750
MGP INGREDIENTS INC                    EQUITY  55302G103      40       4,645  SH      SOLE     1          4,645
MICHAELS STORES, INC.                  EQUITY  594087108    6913     230,672  SH      SOLE     1        230,672
MICREL, INC.                           EQUITY  594793101    2106     191,096  SH      SOLE     1        191,096
MICRO THERAPEUTICS INC                 EQUITY  59500W100      30       7,975  SH      SOLE     1          7,975
MICROCHIP TECHNOLOGY, INC.             EQUITY  595017104    9654     363,081  SH      SOLE     1        363,081
MICROMUSE INC                          EQUITY  595094103     255      45,963  SH      SOLE     1         45,963
MICRON TECHNOLOGY INC                  EQUITY  595112103       9         696  SH      DEFINED  2                        696
MICRON TECHNOLOGY, INC.                EQUITY  595112103    3388     274,297  SH      SOLE     1        274,297
MICROS SYSTEMS, INC.                   EQUITY  594901100     738       9,456  SH      SOLE     1          9,456
MICROSEMI CORP COM                     EQUITY  595137100      11      637576  SH      SOLE     3         625100              12476
MICROSEMI CORP.                        EQUITY  595137100     606      34,907  SH      SOLE     1         34,907
MICROSOFT CORP                         EQUITY  594918104   50240   1,880,922  SH      DEFINED  2                  1,880,922
MICROSOFT CORP COM                     EQUITY  594918104       2       86400  SH      SOLE     3          86400




                                                                                      
MICROSOFT CORP.                       EQUITY  594918104  217715  8,145,116  SH      SOLE    1    8,145,116
MICROSTRATEGY INC                     EQUITY  594972408     424      7,037  SH      SOLE    1        7,037
MICROSTRATEGY INC CL A NEW            EQUITY  594972408       4      73800  SH      SOLE    3        72400              1400
MICROTEK MEDICAL HOLDINGS IN          EQUITY  59515B109     102     25,226  SH      SOLE    1       25,226
MICROTUNE INC                         EQUITY  59514P109     184     30,186  SH      SOLE    1       30,186
MICROTUNE INC DEL COM                 EQUITY  59514P109       5     791200  SH      SOLE    3       780400             10800
MICROVISION INC.                      EQUITY  594960106      77     10,947  SH      SOLE    1       10,947
MID STATE BANCSHARES                  EQUITY  595440108     395     13,783  SH      SOLE    1       13,783
MID-AMERICA APT. COMMUNITIES          EQUITY  59522J103     525     12,746  SH      SOLE    1       12,746
MIDAS, INC.                           EQUITY  595626102     181      9,067  SH      SOLE    1        9,067
MIDDLEBY CORP                         EQUITY  596278101     133      2,621  SH      SOLE    1        2,621
MIDDLESEX WATER CO                    EQUITY  596680108     126      6,639  SH      SOLE    1        6,639
MIDLAND CO COM                        EQUITY  597486109     167      5,328  SH      SOLE    1        5,328
MIDWAY GAMES INC.                     EQUITY  598148104     284     27,090  SH      SOLE    1       27,090
MIDWEST BANC HOLDINGS INC.            EQUITY  598251106     138      6,326  SH      SOLE    1        6,326
MILACRON, INC.                        EQUITY  598709103      55     16,150  SH      SOLE    1       16,150
MILLENNIUM PHARMACEUTICALS            EQUITY  599902103    4477    369,400  SH      DEFINED 2                 369,400
MILLENNIUM PHARMACEUTICALS, IN        EQUITY  599902103    6920    570,057  SH      SOLE    1      570,057
MILLIPORE CORP                        EQUITY  601073109       3         57  SH      DEFINED 2                      57
MILLIPORE CORP.                       EQUITY  601073109    1105     22,175  SH      SOLE    1       22,175
MILLS CORP COM                        EQUITY  601148109               6070  SH      SOLE    3                           6070
MILLS CORP.                           EQUITY  601148109     469      7,356  SH      SOLE    1        7,356
MINAS BUENAVENTURA-SPON ADR           EQUITY  204448104     984     42,960  SH      SOLE    1       42,960
MINDSPEED TECHNOLOGIES INC            EQUITY  602682106     162     58,415  SH      SOLE    1       58,415
MINE SAFETY APPLIANCES CO.            EQUITY  602720104     642     12,660  SH      SOLE    1       12,660
MINERALS TECHNOLOGIES, INC.           EQUITY  603158106    3099     46,458  SH      SOLE    1       46,458
MIPS TECHNOLOGIES INC                 EQUITY  604567107     237     24,052  SH      SOLE    1       24,052
MISSION RESOURCES CORP                EQUITY  605109107     139     23,828  SH      SOLE    1       23,828
MISSION WEST PROPERTIES               EQUITY  605203108     133     12,460  SH      SOLE    1       12,460
MKS INSTRUMENTS, INC.                 EQUITY  55306N104     353     19,036  SH      SOLE    1       19,036
MOBILE MINI INC.                      EQUITY  60740F105     278      8,429  SH      SOLE    1        8,429
MOBILE TELESYSTEMS-SP ADR             EQUITY  607409109    9760     69,200  SH      SOLE    1       69,200
MOBILITY ELECTRONICS INC              EQUITY  60741U101     124     14,509  SH      SOLE    1       14,509
MODINE MANUFACTURING CO.              EQUITY  607828100    2428     71,891  SH      SOLE    1       71,891
MOHAWK INDUSTRIES, INC.               EQUITY  608190104   10324    113,144  SH      SOLE    1      113,144
MOLECULAR DEVICES CORP COM            EQUITY  60851C107       7     351200  SH      SOLE    3       347000              4200
MOLECULAR DEVICES CORP.               EQUITY  60851C107     182      9,045  SH      SOLE    1        9,045
MOLEX INC                             EQUITY  608554101       6        214  SH      DEFINED 2                     214
MOLEX, INC.                           EQUITY  608554101    2843     94,783  SH      SOLE    1       94,783
MOLINA HEALTHCARE INC                 EQUITY  60855R100     282      6,086  SH      SOLE    1        6,086
MOMENTA PHARMACEUTICALS INC           EQUITY  60877T100      25      3,605  SH      SOLE    1        3,605
MONACO COACH CORP                     EQUITY  60886R103     315     15,326  SH      SOLE    1       15,326
MONEYGRAM INTERNATIONAL               EQUITY  60935Y109    3186    150,730  SH      SOLE    1      150,730
MONMOUTH REIT -CL A                   EQUITY  609720107      16      1,910  SH      SOLE    1        1,910
MONOLITHIC POWER SYSTEMS INC          EQUITY  609839105      30      3,253  SH      SOLE    1        3,253
MONOLITHIC SYS TECHNOL                EQUITY  609842109      85     13,713  SH      SOLE    1       13,713
MONRO MUFFLER BRAKE IN                EQUITY  610236101     139      5,510  SH      SOLE    1        5,510
MONSANTO CO                           EQUITY  61166W101    6622    119,200  SH      SOLE    1      119,200
MONSANTO CO NEW                       EQUITY  61166W101      17        300  SH      DEFINED 2                     300
MONSTER WORLDWIDE INC                 EQUITY  611742107    1775     52,751  SH      SOLE    1       52,751
MONSTER WORLDWIDE INC                 EQUITY  611742107       5        135  SH      DEFINED 2                     135
MONSTER WORLDWIDE INC COM             EQUITY  611742107       5     135100  SH      SOLE    3       132000              3100
MOODYS CORP                           EQUITY  615369105      15        168  SH      DEFINED 2                     168
MOODY'S CORP.                         EQUITY  615369105    5684     65,451  SH      SOLE    1       65,451
MOOG INC.                             EQUITY  615394202     693     15,280  SH      SOLE    1       15,280
MORGAN STANLEY                        EQUITY  617446448   27699    498,904  SH      SOLE    1      498,904
MORGAN STANLEY                        EQUITY  617446448   13410    241,489  SH      DEFINED 2                 241,489
MORGAN STANLEY DEAN WITTER & C REPO   EQUITY  568427108     133      5,082  SH      SOLE    1        5,082
MORTGAGEIT HOLDINGS INC               EQUITY  61915Q108     154      8,572  SH      SOLE    1        8,572





                                                                                       
MOSAIC CO/THE                         EQUITY  61945A107    1108     67,892  SH      SOLE    1       67,892
MOTIVE INC                            EQUITY  61980V107      35      3,095  SH      SOLE    1        3,095
MOTOROLA INC                          EQUITY  620076109   15607    907,367  SH      DEFINED 2                 907,367
MOTOROLA, INC.                        EQUITY  620076109   18948  1,101,637  SH      SOLE    1    1,101,637
MOVADO GROUP, INC.                    EQUITY  624580106     166      8,917  SH      SOLE    1        8,917
MOVIE GALLERY, INC.                   EQUITY  624581104     276     14,449  SH      SOLE    1       14,449
MPS GROUP INC                         EQUITY  553409103    2865    233,713  SH      SOLE    1      233,713
MPS GROUP INC COM                     EQUITY  553409103       5     378590  SH      SOLE    3       369690              8900
MRO SOFTWARE                          EQUITY  55347W105     149     11,482  SH      SOLE    1       11,482
MRV COMMUNICATIONS, INC.              EQUITY  553477100     228     62,003  SH      SOLE    1       62,003
MSC INDUSTRIAL DIRECT CO.             EQUITY  553530106      27        743  SH      SOLE    1          743
MSC SOFTWARE CORPORATION              EQUITY  553531104     168     16,063  SH      SOLE    1       16,063
MTC TECHNOLOGIES INC                  EQUITY  55377A106     143      4,245  SH      SOLE    1        4,245
MTC TECHNOLOGIES INC COM              EQUITY  55377A106       1      42300  SH      SOLE    3        42300
MTR GAMING GROUP INC                  EQUITY  553769100     144     13,627  SH      SOLE    1       13,627
MTS SYSTEMS CORP.                     EQUITY  553777103     420     12,431  SH      SOLE    1       12,431
MUELLER INDUSTRIES, INC.              EQUITY  624756102     661     20,539  SH      SOLE    1       20,539
MULTI-FINELINE ELECTRONIX IN          EQUITY  62541B101      63      3,468  SH      SOLE    1        3,468
MULTIMEDIA GAMES INC                  EQUITY  625453105     219     13,891  SH      SOLE    1       13,891
Municipal High Income Fund            EQUITY  626214100     707     98,900  SH      SOLE    4       98,900
MUNICIPAL MORTGAGE & EQUITY           EQUITY  62624B101     468     17,200  SH      SOLE    1       17,200
Murphy Oil Corp                       EQUITY  626717102     805     10,000  SH      SOLE    4       10,000
MURPHY OIL CORP.                      EQUITY  626717102   12584    156,422  SH      SOLE    1      156,422
MYERS INDUSTRIES, INC.                EQUITY  628464109     183     14,327  SH      SOLE    1       14,327
MYKROLIS CORP                         EQUITY  62852P103     338     24,221  SH      SOLE    1       24,221
MYLAN LABORATORIES INC.               EQUITY  628530107    2133    120,652  SH      SOLE    1      120,652
MYLAN LABS INC                        EQUITY  628530107       5        306  SH      DEFINED 2                     306
MYOGEN INC                            EQUITY  62856E104      89     11,052  SH      SOLE    1       11,052
MYRIAD GENETICS INC                   EQUITY  62855J104     405     17,999  SH      SOLE    1       17,999
NABI BIOPHARMACEUTICALS               EQUITY  629519109     495     33,794  SH      SOLE    1       33,794
NABORS INDUSTRIES LTD                 EQUITY  G6359F103    3412     66,515  SH      SOLE    1       66,515
NABORS INDUSTRIES LTD                 EQUITY  G6359F103      61      1,245  SH      DEFINED 2                   1,245
NACCO INDUSTRIES, INC. CLASS A        EQUITY  629579103     290      2,754  SH      SOLE    1        2,754
NALCO HOLDING CO                      EQUITY  62985Q101      21      1,084  SH      SOLE    1        1,084
NANOGEN INC.                          EQUITY  630075109     147     19,981  SH      SOLE    1       19,981
NARA BANCORP INC                      EQUITY  63080P105     230     10,792  SH      SOLE    1       10,792
NASB FINL INC                         EQUITY  628968109      72      1,812  SH      SOLE    1        1,812
NASDAQ-100 SHARES                     EQUITY  631100104   10949    273,800  SH      SOLE    1      273,800
NASHFINCH CO.                         EQUITY  631158102     273      7,219  SH      SOLE    1        7,219
NATIONAL BEVERAGE CORP.               EQUITY  635017106      35      4,226  SH      SOLE    1        4,226
NATIONAL CITY CORP                    EQUITY  635405103      29        770  SH      DEFINED 2                     770
NATIONAL CITY CORP.                   EQUITY  635405103   11088    295,280  SH      SOLE    1      295,280
NATIONAL DATA CORP.                   EQUITY  639480102     393     21,144  SH      SOLE    1       21,144
NATIONAL FINANCIAL PARTNERS           EQUITY  63607P208     759     19,551  SH      SOLE    1       19,551
NATIONAL FUEL GAS CO.                 EQUITY  636180101   15285    539,360  SH      SOLE    1      539,360
NATIONAL HEALTH INVESTORS, INC        EQUITY  63633D104     391     13,415  SH      SOLE    1       13,415
NATIONAL HEALTH REALTY                EQUITY  635905102      22      1,080  SH      SOLE    1        1,080
NATIONAL HEALTHCARE CORP              EQUITY  635906100     139      3,939  SH      SOLE    1        3,939
NATIONAL INSTRUMENTS CORP.            EQUITY  636518102    3653    134,045  SH      SOLE    1      134,045
NATIONAL PENN BANCSHARES, INC.        EQUITY  637138108     560     20,226  SH      SOLE    1       20,226
NATIONAL PRESTO INDUSTRIES            EQUITY  637215104     126      2,760  SH      SOLE    1        2,760
NATIONAL SEMICONDUCTOR COR            EQUITY  637640103    2858    159,207  SH      DEFINED 2                 159,207
NATIONAL SEMICONDUCTOR CORP.          EQUITY  637640103    3887    216,531  SH      SOLE    1      216,531
NATIONAL WESTERN LIFE INS. CO. CLASS  EQUITY  638522102     213      1,281  SH      SOLE    1        1,281
NATIONAL-OILWELL INC COM              EQUITY  637071101       1      38800  SH      SOLE    3        37400              1400
NATIONAL-OILWELL, INC.                EQUITY  637071101    5323    141,633  SH      SOLE    1      141,633
NATIONWIDE FINANCIAL                  EQUITY  638612101      53      1,389  SH      SOLE    1        1,389
NATIONWIDE HEALTH PROPERTIES          EQUITY  638620104    1104     46,483  SH      SOLE    1       46,483
NATURES SUNSHINE PRODUCTS, INC        EQUITY  639027101     124      6,083  SH      SOLE    1        6,083





                                                                                      
NAUTILUS GROUP INC                 EQUITY  63910B102     406     16,808  SH       SOLE      1       16,808
NAVARRE CORP                       EQUITY  639208107     227     12,897  SH       SOLE      1       12,897
NAVIGANT CONSULTING CO.            EQUITY  63935N107     717     26,951  SH       SOLE      1       26,951
NAVIGANT INTERNATIONAL, INC.       EQUITY  63935R108     101      8,260  SH       SOLE      1        8,260
NAVIGATORS GROUP INC               EQUITY  638904102     152      5,034  SH       SOLE      1        5,034
NAVISTAR INTERNATIONAL CORP.       EQUITY  63934E108    1923     43,722  SH       SOLE      1       43,722
NAVISTAR INTL CORP INC             EQUITY  63934E108       3         79  SH       DEFINED   2                      79
NAVTEQ CORP                        EQUITY  63936L100      43        935  SH       SOLE      1          935
NBC CAPITAL CORP                   EQUITY  628729105     108      4,057  SH       SOLE      1        4,057
NBT BANCORP, INC.                  EQUITY  628778102     495     19,251  SH       SOLE      1       19,251
NBTY, INC.                         EQUITY  628782104      30      1,263  SH       SOLE      1        1,263
NCI BUILDING SYSTEMS, INC.         EQUITY  628852105     429     11,433  SH       SOLE      1       11,433
NCO GROUP, INC.                    EQUITY  628858102     410     15,870  SH       SOLE      1       15,870
NCR CORP NEW                       EQUITY  62886E108       7        106  SH       DEFINED   2                     106
NCR CORP.                          EQUITY  62886E108    2897     41,839  SH       SOLE      1       41,839
NDS GROUP PLC-SPONS ADR            EQUITY  628891103    3463    124,100  SH       SOLE      1      124,100
NECTAR THERAPEUTICS                EQUITY  640268108      39      1,933  SH       SOLE      1        1,933
NEENAH PAPER INC                   EQUITY  640079109      25        756  SH       SOLE      1          756
NEIGHBORCARE INC                   EQUITY  64015Y104     677     22,050  SH       SOLE      1       22,050
NEIMAN MARCUS GROUP INC CL A       EQUITY  640204202    5935     82,964  SH       SOLE      1       82,964
NEKTAR THERAPEUTICS                EQUITY  640268108     405     20,000  SH       DEFINED   2                  20,000
NELNET INC                         EQUITY  64031N108   10505    390,100  SH       DEFINED   2                 390,100
NELNET INC-CL A                    EQUITY  64031N108     128      4,760  SH       SOLE      1        4,760
NEOFORMA INC                       EQUITY  640475505      42      5,414  SH       SOLE      1        5,414
NEOPHARM INC                       EQUITY  640919106     126     10,099  SH       SOLE      1       10,099
NEOSE TECHNOLOGIES, INC.           EQUITY  640522108      82     12,130  SH       SOLE      1       12,130
NESS TECHNOLOGIES INC              EQUITY  64104X108     118      7,905  SH       SOLE      1        7,905
NET2PHONE, INC.                    EQUITY  64108N106      71     20,942  SH       SOLE      1       20,942
NETBANK INC                        EQUITY  640933107     283     27,205  SH       SOLE      1       27,205
NETFLIX.COM INC                    EQUITY  64110L106      10        810  SH       SOLE      1          810
NETGEAR INC                        EQUITY  64111Q104     231     12,701  SH       SOLE      1       12,701
NETIQ CORP.                        EQUITY  64115P102     409     33,489  SH       SOLE      1       33,489
NETRATINGS INC                     EQUITY  64116M108     138      7,206  SH       SOLE      1        7,206
NETSCOUT SYSTEMS INC               EQUITY  64115T104      97     13,938  SH       SOLE      1       13,938
NETWORK APPLIANCE INC              EQUITY  64120L104      14        408  SH       DEFINED   2                     408
NETWORK APPLIANCE, INC.            EQUITY  64120L104    6323    190,350  SH       SOLE      1      190,350
NETWORK EQUIPMENT TECH.            EQUITY  641208103     138     14,084  SH       SOLE      1       14,084
NEUROCHEM INC                      EQUITY  64125K101    1764    100,000  SH       DEFINED   1            0    100,000
NEUROCRINE BIOSCIENCES INC         EQUITY  64125C109    1883     38,200  SH       DEFINED   2                  38,200
NEUROCRINE BIOSCIENCES, INC.       EQUITY  64125C109      42        842  SH       SOLE      1          842
NEUROGEN CORP.                     EQUITY  64124E106     137     14,667  SH       SOLE      1       14,667
NEVADA GOLD & CASINO               EQUITY  64126Q206      58      4,780  SH       SOLE      1        4,780
NEW CENTURY FINANCIAL CORP         EQUITY  6435EV108    1495     23,399  SH       SOLE      1       23,399
NEW JERSEY RESOURCES CORP.         EQUITY  646025106     701     16,184  SH       SOLE      1       16,184
NEW PLAN EXCEL REALTY TRUST        EQUITY  648053106   10597    391,312  SH       SOLE      1      391,312
NEW PLAN EXCEL REALTY TRUST        EQUITY  648053106              11440  SH       SOLE      3                          11440
NEW YORK & CO                      EQUITY  649295102      98      5,908  SH       SOLE      1        5,908
NEW YORK COMMUNITY BANCORP INC     EQUITY  649445103    9284    451,332  SH       SOLE      1      451,332
NEW YORK TIMES CO                  EQUITY  650111107       7        165  SH       DEFINED   2                     165
NEW YORK TIMES CO. CLASS  A        EQUITY  650111107    2647     64,883  SH       SOLE      1       64,883
NEWALLIANCE BANCSHARES INC         EQUITY  650203102      32      2,070  SH       SOLE      1        2,070
NEWCASTLE INVESTMENT CORP          EQUITY  65105M108     669     21,038  SH       SOLE      1       21,038
NEWELL RUBBERMAID INC              EQUITY  651229106       8        312  SH       DEFINED   2                     312
NEWELL RUBBERMAID, INC.            EQUITY  651229106   20245    836,931  SH       SOLE      1      836,931
NEWFIELD EXPLORATION               EQUITY  651290108    6258    105,986  SH       SOLE      1      105,986
Newfield Exploration Co            EQUITY  651290108     591     10,000  SH       SOLE      4       10,000
NEWMARKET CORP                     EQUITY  651587107     160      8,062  SH       SOLE      1        8,062
NEWMONT MINING CORP HLDG CO        EQUITY  651639106    8551    192,545  SH       SOLE      1      192,545
NEWMONT MNG CORP                   EQUITY  651639106      22        505  SH       DEFINED   2                     505





                                                                                       
NEWPARK RESOURCES, INC.               EQUITY  651718504     253     49,210  SH      SOLE    1       49,210
NEWPORT CORP                          EQUITY  651824104    1368     97,051  SH      SOLE    1       97,051
NEWS CORP                             EQUITY  65248E104      55      2,969  SH      DEFINED 2                   2,969
NEWS CORP INC-CL A                    EQUITY  65248E104   20734  1,111,143  SH      SOLE    1    1,111,143
NEWTEK BUSINESS SERVICES INC          EQUITY  652526104    2955    687,233  SH      SOLE    1      687,233
NEXEN                                 EQUITY  65334H102    5992    148,100  SH      DEFINED 1            0    148,100
NEXSTAR BROADCASTING GROUP-A          EQUITY  65336K103      55      5,912  SH      SOLE    1        5,912
NEXTEL COMMUNICATIONS INC             EQUITY  65332V103   15170    505,663  SH      DEFINED 2                 505,663
NEXTEL COMMUNICATIONS, INC.  CLASS A  EQUITY  65332V103   18902    629,873  SH      SOLE    1      629,873
NEXTEL PARTNERS INC                   EQUITY  65333F107    1032     52,834  SH      SOLE    1       52,834
NGP CAPITAL RESOURCES CO              EQUITY  62912R107     144      9,385  SH      SOLE    1        9,385
NIC INC                               EQUITY  62914B100      93     18,279  SH      SOLE    1       18,279
NICOR INC                             EQUITY  654086107       2         50  SH      DEFINED 2                      50
NICOR, INC.                           EQUITY  654086107    1650     44,662  SH      SOLE    1       44,662
NII HLDGS INC                         EQUITY  62913F201   12100    255,000  SH      DEFINED 2                 255,000
NII HOLDINGS INC-CL B                 EQUITY  62913F201      62      1,316  SH      SOLE    1        1,316
NIKE INC                              EQUITY  654106103    6502     71,698  SH      DEFINED 2                  71,698
NIKE, INC. CLASS  B                   EQUITY  654106103   13462    148,440  SH      SOLE    1      148,440
NIKU CORP                             EQUITY  654113703    1109     55,000  SH      DEFINED 2                  55,000
NIKU CORPORATION                      EQUITY  654113703       4     210100  SH      SOLE    3       207000              3100
NISOURCE INC                          EQUITY  65473P105       7        307  SH      DEFINED 2                     307
NISOURCE, INC.                        EQUITY  65473P105   24279  1,065,806  SH      SOLE    1    1,065,806
NITROMED INC                          EQUITY  654798503     151      5,783  SH      SOLE    1        5,783
NL INDUSTRIES, INC.                   EQUITY  629156407     102      4,632  SH      SOLE    1        4,632
NMS COMMUNICATIONS CP COM             EQUITY  629248105       2     275000  SH      SOLE    3       275000
NMS COMMUNUCATIONS CORP.              EQUITY  629248105     172     27,301  SH      SOLE    1       27,301
NN INC                                EQUITY  629337106     130      9,810  SH      SOLE    1        9,810
NOBLE CORPORATION                     EQUITY  G65422100    2863     57,554  SH      SOLE    1       57,554
NOBLE CORPORATION                     EQUITY  G65422100       8        154  SH      DEFINED 2                     154
NOBLE CORPORATION SHS                 EQUITY  G65422100       3      50800  SH      SOLE    3        49800              1000
NOBLE ENERGYINC                       EQUITY  655044105    6174    100,137  SH      SOLE    1      100,137
NOBLE INTERNATIONAL LTD               EQUITY  655053106      76      3,724  SH      SOLE    1        3,724
NOKIA CORP                            EQUITY  654902204   16203  1,034,000  SH      DEFINED 2               1,034,000
NOKIA CORP SPON-ADR                   EQUITY  654902204    1481     94,530  SH      SOLE    1       94,530
NORDSON CORP                          EQUITY  655663102   13371    333,700  SH      DEFINED 2                 333,700
NORDSON CORP.                         EQUITY  655663102    3064     76,474  SH      SOLE    1       76,474
NORDSTROM INC                         EQUITY  655664100       7        159  SH      DEFINED 2                     159
NORDSTROM, INC.                       EQUITY  655664100    2903     62,131  SH      SOLE    1       62,131
NORFOLK SOUTHERN CORP.                EQUITY  655844108   10126    279,795  SH      SOLE    1      279,795
NORFOLK SOUTHN CORP                   EQUITY  655844108      16        450  SH      DEFINED 2                     450
NORTEL NETWORKS CORP                  EQUITY  656568102    4117  1,191,100  SH      DEFINED 1            0  1,191,100
NORTEL NETWORKS CORP                  EQUITY  656568102       8      2,225  SH      DEFINED 2                   2,225
NORTH FORK BANCORPORATION             EQUITY  659424105    4737    164,185  SH      DEFINED 2                 164,185
NORTH FORK BANCORPORATION INC.        EQUITY  659424105    6077    210,658  SH      SOLE    1      210,658
NORTH PITTSBURGH SYSTEMS              EQUITY  661562108     218      8,811  SH      SOLE    1        8,811
NORTHEAST UTILITIES                   EQUITY  664397106    4120    218,563  SH      SOLE    1      218,563
NORTHERN TRUST CORP                   EQUITY  665859104      12        249  SH      DEFINED 2                     249
NORTHERN TRUST CORP.                  EQUITY  665859104    6106    125,689  SH      SOLE    1      125,689
NORTHFIELD LABORATORIES, INC.         EQUITY  666135108     252     11,172  SH      SOLE    1       11,172
NORTHGATE EXPLORATION LTD             EQUITY  666416102    1238    734,100  SH      DEFINED 1            0    734,100
NORTHROP GRUMMAN CORP.                EQUITY  666807102    8513    156,608  SH      SOLE    1      156,608
NORTHWEST AIRLINES CORP CL-A          EQUITY  667280101     480     43,901  SH      SOLE    1       43,901
NORTHWEST BANCORP INC.                EQUITY  667328108     278     11,067  SH      SOLE    1       11,067
NORTHWEST NATURAL GAS CO.             EQUITY  667655104     541     16,025  SH      SOLE    1       16,025
NOVA CHEMICALS CORP COM               EQUITY  66977W109      10     214190  SH      SOLE    3       210400              3790
NOVASTAR FINL INC                     EQUITY  669947400     781     15,784  SH      SOLE    1       15,784
NOVATEL WIRELESS INC                  EQUITY  66987M604     210     10,827  SH      SOLE    1       10,827
NOVATEL WIRELESS INC COM NEW          EQUITY  66987M604      11     561116  SH      SOLE    3       553600              7516
NOVELL, INC .                         EQUITY  670006105    1138    168,655  SH      SOLE    1      168,655




                                                                             
NOVELLUS SYS INC                    EQUITY   670008101      4      159  SH      DEFINED  2               159
NOVELLUS SYS INC COM                EQUITY   670008101      1    44600  SH      SOLE     3      44600
NOVELLUS SYSTEMS, INC.              EQUITY   670008101   2030   72,790  SH      SOLE     1     72,790
NOVEN PHARMACEUTICALS, INC.         EQUITY   670009109    234   13,734  SH      SOLE     1     13,734
NPS  PHARMACEUTICALS INC.           EQUITY   62936P103    400   21,858  SH      SOLE     1     21,858
NRG ENERGY INC                      EQUITY   629377508   5202  144,291  SH      SOLE     1    144,291
NS GROUP, INC.                      EQUITY   628916108    299   10,759  SH      SOLE     1     10,759
NSTAR                               EQUITY   67019E107  13035  240,150  SH      SOLE     1    240,150
NTL INC                             EQUITY   62940M104    615    8,432  SH      SOLE     1      8,432
NTN COMMUNICATIONS INC              EQUITY   629410309    146   45,639  SH      SOLE     1     45,639
NU SKIN ENTERPRISES, INC. CLASS A   EQUITY   67018T105    783   30,845  SH      SOLE     1     30,845
NUCO2 INC                           EQUITY   629428103     89    4,001  SH      SOLE     1      4,001
NUCOR CORP                          EQUITY   670346105      9      181  SH      DEFINED  2               181
NUCOR CORP.                         EQUITY   670346105   4218   80,589  SH      SOLE     1     80,589
NUTRACEUTICAL INTL CORP             EQUITY   67060Y101     71    4,628  SH      SOLE     1      4,628
NUVASIVE INC                        EQUITY   670704105     39    3,807  SH      SOLE     1      3,807
NUVASIVE INC COM                    EQUITY   670704105      3   252000  SH      SOLE     3     252000
NUVEEN INVESTMENTS INC              EQUITY   67090F106     18      460  SH      SOLE     1        460
NUVELO INC                          EQUITY   67072M301    219   22,247  SH      SOLE     1     22,247
NVIDIA CORP                         EQUITY   67066G104   1704   74,540  SH      SOLE     1     74,540
NVIDIA CORP                         EQUITY   67066G104      4      189  SH      DEFINED  2               189
NVIDIA CORP COM                     EQUITY   67066G104      2    65000  SH      SOLE     3      60600         4400
NVR, INC.                           EQUITY   62944T105     95      124  SH      SOLE     1        124
NYMAGIC, INC.                       EQUITY   629484106     49    1,939  SH      SOLE     1      1,939
OAK HILL FINANCIAL INC              EQUITY   671337103     80    2,060  SH      SOLE     1      2,060
OAKLEY INC.                         EQUITY   673662102    155   12,144  SH      SOLE     1     12,144
OCA INC                             EQUITY   67083Q101    157   24,794  SH      SOLE     1     24,794
OCCIDENTAL PETE CORP                EQUITY   674599105     26      449  SH      DEFINED  2               449
OCCIDENTAL PETROLEUM CORP.          EQUITY   674599105   9797  167,869  SH      SOLE     1    167,869
OCCULOGIX INC.                      EQUITY   67461T107    795   78,300  SH      DEFINED  1          0 78,300
OCEANEERING INTERNATIONAL, INC      EQUITY   675232102    547   14,648  SH      SOLE     1     14,648
OCEANFIRST FINANCIAL CORP           EQUITY   675234108    135    5,493  SH      SOLE     1      5,493
O'CHARLEY'S INC.                    EQUITY   670823103    243   12,453  SH      SOLE     1     12,453
OCTEL CORP.                         EQUITY   675727101    152    7,311  SH      SOLE     1      7,311
OCULAR SCIENCES, INC.               EQUITY   675744106   2609   53,233  SH      SOLE     1     53,233
OCWEN FINANCIAL CORP.               EQUITY   675746101    207   21,703  SH      SOLE     1     21,703
ODYSSEY HEALTHCARE INC              EQUITY   67611V101    294   21,490  SH      SOLE     1     21,490
ODYSSEY RE HLDGS CORP               EQUITY   67612W108      8      307  SH      SOLE     1        307
OFFICE DEPOT INC                    EQUITY   676220106      6      355  SH      DEFINED  2               355
OFFICE DEPOT, INC.                  EQUITY   676220106   2440  140,561  SH      SOLE     1    140,561
OFFICEMAX INC                       EQUITY   67622P101   1317   41,976  SH      SOLE     1     41,976
OFFICEMAX INC DE                    EQUITY   67622P101      3      106  SH      DEFINED  2               106
OFFSHORE LOGISTICS, INC.            EQUITY   676255102    385   11,857  SH      SOLE     1     11,857
OGE ENERGY CORP.                    EQUITY   670837103  12560  473,794  SH      SOLE     1    473,794
OHIO CASUALTY CORP.                 EQUITY   677240103   3245  139,812  SH      SOLE     1    139,812
OIL STATES INTERNATIONAL INC        EQUITY   678026105    329   17,061  SH      SOLE     1     17,061
OLD DOMINION FGHT LINE COM          EQUITY   679580100      7   192325  SH      SOLE     3     192325
OLD DOMINION FREIGHT LINE           EQUITY   679580100    337    9,671  SH      SOLE     1      9,671
OLD NATL BANCORP                    EQUITY   680033107   1008   38,962  SH      SOLE     1     38,962
OLD REPUBLIC INTL CORP.             EQUITY   680223104   7853  310,395  SH      SOLE     1    310,395
OLD SECOND BANCORP INC              EQUITY   680277100    249    7,821  SH      SOLE     1      7,821
OLIN CORP.                          EQUITY   680665205   3490  158,510  SH      SOLE     1    158,510
OLYMPIC STEEL INC COM               EQUITY   68162K106      2    58000  SH      SOLE     3      58000
OM GROUP INC                        EQUITY   670872100    540   16,653  SH      SOLE     1     16,653
OMEGA FINANCIAL CORP.               EQUITY   682092101    227    6,629  SH      SOLE     1      6,629
OMEGA HEALTHCARE INVESTORS          EQUITY   681936100    387   32,809  SH      SOLE     1     32,809
OMEGA PROTEIN CORP                  EQUITY   68210P107     30    3,496  SH      SOLE     1      3,496
OMNICARE, INC.                      EQUITY   681904108   6136  177,236  SH      SOLE     1    177,236
OMNICELL INC                        EQUITY   68213N109    141   12,774  SH      SOLE     1     12,774





                                                                                     
OMNICOM GROUP                         EQUITY  681919106     18        212   SH      DEFINED 2                    212
OMNICOM GROUP, INC.                   EQUITY  681919106   6650     78,862   SH      SOLE    1      78,862
OMNIVISION TECHNOLOGIE                EQUITY  682128103    599     32,660   SH      SOLE    1      32,660
OMNOVA SOLUTIONS                      EQUITY  682129101    133     23,595   SH      SOLE    1      23,595
ON SEMICONDUCTOR CORPORATION          EQUITY  682189105    321     70,653   SH      SOLE    1      70,653
ONE LIBERTY PROPERTIES INC            EQUITY  682406103     23      1,100   SH      SOLE    1       1,100
ONEOK, INC.                           EQUITY  682680103   5526    194,448   SH      SOLE    1     194,448
ONYX PHARMACEUTICALS INC              EQUITY  683399109    659     20,353   SH      SOLE    1      20,353
ONYX PHARMACEUTICALS INC              EQUITY  683399109   5202    160,600   SH      DEFINED 2                160,600
OPEN SOLLUTIONS INC                   EQUITY  68371P102    200      7,722   SH      SOLE    1       7,722
OPEN SOLUTIONS INC COM                EQUITY  68371P102      9     330368   SH      SOLE    3      321900             8468
OPEN TEXT CORP                        EQUITY  683715106   3796    189,600   SH      DEFINED 1           0    189,600
OPENWAVE SYSTEMS INC.                 EQUITY  683718308    584     37,748   SH      SOLE    1      37,748
OPLINK COMMUNICATIONS INC             EQUITY  68375Q106    124     62,768   SH      SOLE    1      62,768
OPNET TECHNOLOGIES                    EQUITY  683757108     58      6,913   SH      SOLE    1       6,913
OPSWARE INC                           EQUITY  68383A101    221     30,119   SH      SOLE    1      30,119
OPTICAL COMMUNICATION PROD            EQUITY  68382T101     27     10,786   SH      SOLE    1      10,786
OPTION CARE INC                       EQUITY  683948103    134      7,768   SH      SOLE    1       7,768
ORACLE CORP                           EQUITY  68389X105  15198  1,107,729   SH      DEFINED 2              1,107,729
ORACLE CORP.                          EQUITY  68389X105  49604  3,615,482   SH      SOLE    1   3,615,482
ORANGE 21                             EQUITY  685317109      1     136100   SH      SOLE    3      136100
ORASURE TECHNOLOGIES INC              EQUITY  68554V108    157     23,313   SH      SOLE    1      23,313
ORBITAL SCIENCES CORP.                EQUITY  685564106    559     47,248   SH      SOLE    1      47,248
OREGON STEEL MILLS, INC.              EQUITY  686079104    407     20,077   SH      SOLE    1      20,077
OREGON STL MLS INC COM                EQUITY  686079104      2      88600   SH      SOLE    3       88600
O'REILLY AUTOMOTIVE, INC.             EQUITY  686091109   4222     93,725   SH      SOLE    1      93,725
ORIENTAL FINANCIAL GROUP              EQUITY  68618W100    310     10,940   SH      SOLE    1      10,940
ORIGEN FINANCIAL INC                  EQUITY  68619E208     36      4,837   SH      SOLE    1       4,837
ORLEANS HOMEBUILDERS INC              EQUITY  686588104     28      1,434   SH      SOLE    1       1,434
ORMAT TECHNOLOGIES INC                EQUITY  686688102     68      4,198   SH      SOLE    1       4,198
ORTHOLOGIC CORP                       EQUITY  68750J107    139     22,305   SH      SOLE    1      22,305
ORTHOVITA INC                         EQUITY  68750U102    114     27,279   SH      SOLE    1      27,279
OSCIENT PHARMACEUTICALS CORP          EQUITY  68812R105    130     35,640   SH      SOLE    1      35,640
OSHKOSH B'GOSH, INC. CLASS A          EQUITY  688222207     84      3,908   SH      SOLE    1       3,908
OSHKOSH TRUCK CORP CL B               EQUITY  688239201     56        823   SH      SOLE    1         823
OSI PHARMACEUTICALS                   EQUITY  671040103     84      1,126   SH      SOLE    1       1,126
OSI PHARMACEUTICALS INC               EQUITY  671040103   1497     20,000   SH      DEFINED 2                 20,000
OSI SYSTEMS INC                       EQUITY  671044105    194      8,555   SH      SOLE    1       8,555
OTTER TAIL POWER CO.                  EQUITY  689648103    388     15,192   SH      SOLE    1      15,192
OUTBACK STEAKHOUSE INC.               EQUITY  689899102   5735    125,263   SH      SOLE    1     125,263
OVERLAND STORAGE INC                  EQUITY  690310107    134      8,029   SH      SOLE    1       8,029
OVERNITE CORP                         EQUITY  690322102    613     16,448   SH      SOLE    1      16,448
OVERNITE CORP COM                     EQUITY  690322102      7     181888   SH      SOLE    3      178300             3588
OVERSEAS SHIPHOLDING GROUP            EQUITY  690368105   4520     81,893   SH      SOLE    1      81,893
OVERSTOCK.COM                         EQUITY  690370101    477      6,911   SH      SOLE    1       6,911
OWENS & MINOR, INC.                   EQUITY  690732102    648     22,987   SH      SOLE    1      22,987
OWENS-ILLINOIS, INC.                  EQUITY  690768403     62      2,716   SH      SOLE    1       2,716
OXFORD INDS INC.                      EQUITY  691497309    322      7,791   SH      SOLE    1       7,791
P A M TRANSN SVCS INC                 EQUITY  693149106     70      3,745   SH      SOLE    1       3,745
P G & E CORP.                         EQUITY  69331C108   6100    183,302   SH      SOLE    1     183,302
P. F. CHANGS CHINA BISTRO INC.        EQUITY  69333Y108    846     15,019   SH      SOLE    1      15,019
PACCAR INC                            EQUITY  693718108     16        197   SH      DEFINED 2                    197
PACCAR, INC                           EQUITY  693718108   7374     91,620   SH      SOLE    1      91,620
PACER INTERNATIONAL INC               EQUITY  69373H106    345     16,234   SH      SOLE    1      16,234
PACIFIC CAPITAL BANCORP               EQUITY  69404P101    907     26,678   SH      SOLE    1      26,678
PACIFIC SUNWEAR OF CALIFORNIA         EQUITY  694873100   2809    126,171   SH      SOLE    1     126,171
PACIFICARE HEALTH SYSTEMS             EQUITY  695112102  11304    200,000   SH      DEFINED 2                200,000
PACIFICARE HEALTH SYSTEMS INC CLASS A EQUITY  695112102   8111    143,498   SH      SOLE    1     143,498
PACKAGING CORP OF AMERICA             EQUITY  695156109   4260    180,896   SH      SOLE    1     180,896





                                                                           
PACKETEER, INC                     EQUITY  695210104    279   19,274  SH      SOLE    1     19,274
PACTIV CORP                        EQUITY  695257105      4      169  SH      DEFINED 2                169
PACTIV CORPORATION                 EQUITY  695257105   1682   66,514  SH      SOLE    1     66,514
PAIN THERAPEUTICS INC              EQUITY  69562K100    134   18,613  SH      SOLE    1     18,613
PALATIN TECHNOLOGIES INC           EQUITY  696077304     82   30,921  SH      SOLE    1     30,921
PALL CORP                          EQUITY  696429307   1617   55,849  SH      SOLE    1     55,849
PALL CORP                          EQUITY  696429307      4      141  SH      DEFINED 2                141
PALM HARBOR HOMES, INC             EQUITY  696639103     94    5,579  SH      SOLE    1      5,579
PALMONE INC                        EQUITY  69713P107    774   24,541  SH      SOLE    1     24,541
PALMSOURCE INC                     EQUITY  697154102    109    8,591  SH      SOLE    1      8,591
PALOMAR MEDICAL TECHNOLOGIES       EQUITY  697529303    184    7,044  SH      SOLE    1      7,044
PAN PACIFIC RETAIL COM             EQUITY  69806L104            4520  SH      SOLE    3                     4520
PAN PACIFIC RETAIL PROPERTIES      EQUITY  69806L104    346    5,512  SH      SOLE    1      5,512
PANERA BREAD COMPANY CL A          EQUITY  69840W108    670   16,619  SH      SOLE    1     16,619
PANTRY INC                         EQUITY  698657103    205    6,808  SH      SOLE    1      6,808
PAPA JOHNS INTERNATIONAL, INC      EQUITY  698813102    222    6,439  SH      SOLE    1      6,439
PAR PHARMACEUTICAL COMPANIES, INC  EQUITY  69888P106   3181   76,861  SH      SOLE    1     76,861
PAR PHARMACEUTICAL COS INC         EQUITY  69888P106   3273   79,100  SH      DEFINED 2             79,100
PARADYNE NETWORKS INC              EQUITY  69911G107     83   23,123  SH      SOLE    1     23,123
PARAMETRIC TECHNOLOGY CORP         EQUITY  699173100   2982  506,306  SH      DEFINED 2            506,306
PARAMETRIC TECHNOLOGY CORP.        EQUITY  699173100   1717  291,493  SH      SOLE    1    291,493
PAREXEL INTERNATIONAL CORP.        EQUITY  699462107    311   15,328  SH      SOLE    1     15,328
PARK ELECTROCHEMICAL CORP.         EQUITY  700416209    220   10,147  SH      SOLE    1     10,147
PARK NATIONAL CORP.                EQUITY  700658107   1144    8,440  SH      SOLE    1      8,440
PARKER DRILLING CO.                EQUITY  701081101    218   55,368  SH      SOLE    1     55,368
PARKER HANNIFIN CORP               EQUITY  701094104     10      136  SH      DEFINED 2                136
PARKER HANNIFIN CORP.              EQUITY  701094104   6103   80,572  SH      SOLE    1     80,572
PARKWAY PROPERTIES, INC.           EQUITY  70159Q104    392    7,720  SH      SOLE    1      7,720
PARTNERS TRUST FINANCIAL GRP       EQUITY  70213F102    211   18,146  SH      SOLE    1     18,146
PARTY CITY CORP                    EQUITY  702145103     87    6,693  SH      SOLE    1      6,693
PATHMARK STORES INC                EQUITY  70322A101    103   17,657  SH      SOLE    1     17,657
PATINA OIL & GAS CORP              EQUITY  703224105     61    1,626  SH      SOLE    1      1,626
PATTERSON COS INC                  EQUITY  703395103  10513  242,281  SH      SOLE    1    242,281
PATTERSON UTI ENERGY INC           EQUITY  703481101   6294  323,600  SH      DEFINED 2            323,600
PATTERSON-UTI ENERGY INC           EQUITY  703481101   5537  284,666  SH      SOLE    1    284,666
PAXAR CORP.                        EQUITY  704227107    450   20,301  SH      SOLE    1     20,301
PAXSON COMMUNICATIONS CORP.        EQUITY  704231109     37   26,623  SH      SOLE    1     26,623
PAYCHEX INC                        EQUITY  704326107     15      430  SH      DEFINED 2                430
PAYCHEX, INC.                      EQUITY  704326107   6318  185,400  SH      SOLE    1    185,400
PAYLESS SHOESOURCE, INC.           EQUITY  704379106   1897  154,250  SH      SOLE    1    154,250
PC CONNECTION INC                  EQUITY  69318J100     40    4,224  SH      SOLE    1      4,224
PC MALL INC                        EQUITY  69323K100    108    4,805  SH      SOLE    1      4,805
PC-TEL  INC.                       EQUITY  69325Q105     97   12,293  SH      SOLE    1     12,293
PDF SOLUTIONS INC                  EQUITY  693282105    138    8,570  SH      SOLE    1      8,570
PEABODY ENERGY CORP                EQUITY  704549104   8898  109,975  SH      SOLE    1    109,975
PEAPACK-GLADSTONE FINL             EQUITY  704699107    135    4,288  SH      SOLE    1      4,288
PEC SOLUTIONS INC                  EQUITY  705107100     96    6,773  SH      SOLE    1      6,773
PEDIATRIX MED GROUP                EQUITY  705324101   1185   18,500  SH      DEFINED 2             18,500
PEDIATRIX MEDICAL GROUP            EQUITY  705324101    840   13,118  SH      SOLE    1     13,118
PEETS COFFEE & TEA INC             EQUITY  705560100    182    6,893  SH      SOLE    1      6,893
PEGASUS COMMUNICATIONS CORP        EQUITY  705904605      1       66  SH      SOLE    1         66
PEGASUS SOLUTIONS INC.             EQUITY  705906105    160   12,662  SH      SOLE    1     12,662
PEGASYSTEMS INC                    EQUITY  705573103     57    6,633  SH      SOLE    1      6,633
PENN ENGINERRING & MFG CORP        EQUITY  707389300    114    6,305  SH      SOLE    1      6,305
PENN NATIONAL GAMING, INC.         EQUITY  707569109   1138   18,791  SH      SOLE    1     18,791
PENN VA CORP COM                   EQUITY  707882106      2    46500  SH      SOLE    3      46500
PENN VIRGINIA CORPORATION          EQUITY  707882106    434   10,709  SH      SOLE    1     10,709
PENN-AMERICA GROUP INC             EQUITY  707247102     85    5,636  SH      SOLE    1      5,636
PENNEY J C INC                     EQUITY  708160106     13      325  SH      DEFINED 2                325





                                                                                    
PENNFED FINANCIAL SVCS INC          EQUITY  708167101      86      5,333  SH      SOLE    1       5,333
PENNROCK FINL SVCS COR              EQUITY  708352109     173      4,454  SH      SOLE    1       4,454
PENNSYLVANIA REAL ESTATE INV.       EQUITY  709102107     962     22,477  SH      SOLE    1      22,477
PENTAIR INC COM                     EQUITY  709631105       5     119434  SH      SOLE    3      115600              3834
PENTAIR INC.                        EQUITY  709631105    7469    171,475  SH      SOLE    1     171,475
PENWEST PHARMACEUTICALS CO          EQUITY  709754105     117      9,745  SH      SOLE    1       9,745
PEOPLES BANCORP INC                 EQUITY  709789101     171      6,235  SH      SOLE    1       6,235
PEOPLES BANK                        EQUITY  710198102      37        952  SH      SOLE    1         952
PEOPLES ENERGY CORP                 EQUITY  711030106       2         43  SH      DEFINED 2                     43
PEOPLES ENERGY CORP.                EQUITY  711030106   13192    300,152  SH      SOLE    1     300,152
PEOPLES HOLDING COMPANY             EQUITY  711148106     174      5,266  SH      SOLE    1       5,266
PEP BOYS-MANNY, MOE & JACK          EQUITY  713278109     579     33,891  SH      SOLE    1      33,891
PEPCO HOLDINGS INC                  EQUITY  713291102   17917    840,366  SH      SOLE    1     840,366
PEPSI BOTTLING                      EQUITY  713409100    3569    131,977  SH      SOLE    1     131,977
PEPSI BOTTLING GROUP INC            EQUITY  713409100       8        284  SH      DEFINED 2                    284
PEPSIAMERICAS INC                   EQUITY  71343P200    4971    234,053  SH      SOLE    1     234,053
Pepsico                             EQUITY  713448108    1566     30,000  SH      SOLE    4      30,000
PEPSICO INC                         EQUITY  713448108   13239    253,614  SH      DEFINED 2                253,614
PEPSICO, INC.                       EQUITY  713448108   72139  1,381,976  SH      SOLE    1   1,381,976
PEREGRINE PHARMACEUTICALS INC       EQUITY  713661106      86     73,826  SH      SOLE    1      73,826
PERFICIENT INC COM                  EQUITY  71375U101       3     478700  SH      SOLE    3      478700
PERFORMANCE FOOD GROUP CO.          EQUITY  713755106     732     27,214  SH      SOLE    1      27,214
PERICOM SEMICONDUCTOR CORP          EQUITY  713831105     123     13,002  SH      SOLE    1      13,002
PERINI CORP                         EQUITY  713839108   44459  2,663,826  SH      SOLE    1   2,663,826
PERKINELMER INC                     EQUITY  714046109       3        146  SH      DEFINED 2                    146
PERKINELMER INC COM                 EQUITY  714046109       2      70400  SH      SOLE    3       70400
PERKINELMER INC.                    EQUITY  714046109    1294     57,515  SH      SOLE    1      57,515
PEROT SYSTEM CORP.                  EQUITY  714265105     716     44,641  SH      SOLE    1      44,641
PERRIGO CO.                         EQUITY  714290103    2731    158,148  SH      SOLE    1     158,148
PERRY ELLIS INTERNATIONAL           EQUITY  288853104      65      3,179  SH      SOLE    1       3,179
PER-SE TECHNOLOGIES                 EQUITY  713569309     217     13,694  SH      SOLE    1      13,694
PETCO ANIMAL SUPPLIES               EQUITY  716016209      37        949  SH      SOLE    1         949
PETMED EXPRESS INC                  EQUITY  716382106      44      5,785  SH      SOLE    1       5,785
PETROKAZAKHSTAN INC-CL A            EQUITY  71649P102    2342     63,300  SH      DEFINED 1           0     63,300
PETROL BRASILEIROS SPONS AD         EQUITY  71654V101     364     12,100  SH      SOLE    1      12,100
PETROLEO BRASILEIRO S.A. ADR        EQUITY  71654V408    8235    208,150  SH      SOLE    1     208,150
PETROLEUM DEVELOPMENT CORP          EQUITY  716578109     368      9,537  SH      SOLE    1       9,537
PETSMART, INC                       EQUITY  716768106    9135    257,095  SH      SOLE    1     257,095
PFF BANCORP, INC.                   EQUITY  69331W104     337      7,280  SH      SOLE    1       7,280
PFIZER INC                          EQUITY  717081103   48461  1,802,467  SH      DEFINED 2              1,802,467
PFIZER, INC.                        EQUITY  717081103  125013  4,639,299  SH      SOLE    1   4,639,299
PG+E CORP                           EQUITY  69331C108      15        458  SH      DEFINED 2                    458
PHARMACEUTICAL PRODUCT DEVELOPMENT  EQUITY  717124101      46      1,105  SH      SOLE    1       1,105
PHARMACYCLICS INC.                  EQUITY  716933106     121     11,516  SH      SOLE    1      11,516
PHARMION CORP                       EQUITY  71715B409     368      8,729  SH      SOLE    1       8,729
PHARMOS CORP                        EQUITY  717139208      79     55,352  SH      SOLE    1      55,352
PHASE FORWARD INC                   EQUITY  71721R406      26      3,221  SH      SOLE    1       3,221
PHELPS DODGE CORP                   EQUITY  717265102      11        109  SH      DEFINED 2                    109
PHELPS DODGE CORP.                  EQUITY  717265102    4241     42,875  SH      SOLE    1      42,875
PHILADELPHIA CONS. HLDG. CO.        EQUITY  717528103     693     10,471  SH      SOLE    1      10,471
PHILLIPS-VAN HEUSEN CORP.           EQUITY  718592108     384     14,234  SH      SOLE    1      14,234
PHOENIX COMPANIES INC               EQUITY  71902E109     694     55,550  SH      SOLE    1      55,550
PHOENIX TECHNOLOGY LTD COM          EQUITY  719153108       1     167600  SH      SOLE    3      167600
PHOTON DYNAMICS                     EQUITY  719364101     237      9,769  SH      SOLE    1       9,769
PHOTRONICS INC.                     EQUITY  719405102     315     19,091  SH      SOLE    1      19,091
PICO HOLDINGS INC                   EQUITY  693366205      97      4,689  SH      SOLE    1       4,689
PIEDMONT NATURAL GAS CO., INC.      EQUITY  720186105    1039     44,696  SH      SOLE    1      44,696
PIER 1 IMPORTS, INC.                EQUITY  720279108    2880    146,200  SH      SOLE    1     146,200
PILGRIMS PRIDE CORP.                EQUITY  721467108      11        373  SH      SOLE    1         373




                                                                                    
PINNACLE AIRL CORP COM          EQUITY   723443107       2       162200   SH      SOLE       3     162200
PINNACLE AIRLINES CORP          EQUITY   723443107     159       11,390   SH      SOLE       1     11,390
PINNACLE SYSTEMS, INC.          EQUITY   723481107     246       40,404   SH      SOLE       1     40,404
PINNACLE WEST CAP CORP          EQUITY   723484101       5          104   SH      DEFINED    2                  104
PINNACLE WEST CAPITAL CORP.     EQUITY   723484101   18888      425,300   SH      SOLE       1    425,300
PIONEER DRILLING CO COM         EQUITY   723655106       2       186000   SH      SOLE       3     186000
PIONEER NATURAL RESOURCES CORP  EQUITY   723787107    8710      248,152   SH      SOLE       1    248,152
PIPER JAFFRAY COS               EQUITY   724078100     727       15,152   SH      SOLE       1     15,152
PIPER JAFFRAY COS               EQUITY   724078100    9595      200,100   SH      DEFINED    2              200,100
PITNEY BOWES INC                EQUITY   724479100      12          262   SH      DEFINED    2                  262
PITNEY BOWES, INC.              EQUITY   724479100    4775      103,177   SH      SOLE       1    103,177
PIXAR INC                       EQUITY   725811103     399        4,656   SH      SOLE       1      4,656
PIXELWORKS INC                  EQUITY   72581M107     270       23,776   SH      SOLE       1     23,776
PLACER DOME INC                 EQUITY   725906101    4210      224,400   SH      DEFINED    1          0   224,400
PLACER SIERRA BANCSHARES        EQUITY   726079106      96        3,363   SH      SOLE       1      3,363
PLAINS ALL AMER PIPELINE LP     EQUITY   726503105     917       24,290   SH      SOLE       1     24,290
PLAINS EXPLORATION & PRODUCT    EQUITY   726505100    4540      174,611   SH      SOLE       1    174,611
PLANAR SYSTEMS, INC.            EQUITY   726900103      96        8,588   SH      SOLE       1      8,588
PLANETOUT INC                   EQUITY   727058109      46        3,371   SH      SOLE       1      3,371
PLANTRONICS, INC.               EQUITY   727493108    3413       82,300   SH      SOLE       1     82,300
PLATO LEARNING INC              EQUITY   72764Y100     101       13,500   SH      SOLE       1     13,500
PLAYBOY ENTERPRISES, INC.       EQUITY   728117300     141       11,469   SH      SOLE       1     11,469
PLAYTEX PRODUCTS, INC.          EQUITY   72813P100     163       20,418   SH      SOLE       1     20,418
PLEXUS CORP.                    EQUITY   729132100    1271       97,683   SH      SOLE       1     97,683
PLUG POWER INC                  EQUITY   72919P103     174       28,439   SH      SOLE       1     28,439
PLUM CREEK TIMBER CO INC        EQUITY   729251108    3174       82,574   SH      SOLE       1     82,574
PLUM CREEK TIMBER CO INC        EQUITY   729251108       8          209   SH      DEFINED    2                  209
PLX TECHNOLOGY, INC.            EQUITY   693417107     131       12,622   SH      SOLE       1     12,622
PMA CAPITAL CORP.               EQUITY   693419202     164       15,857   SH      SOLE       1     15,857
PMC SIERRA INC                  EQUITY   69344F106    2174      193,203   SH      DEFINED    2              193,203
PMC-SIERRA INC COM              EQUITY   69344F106       4       385000   SH      SOLE       3     378700             6300
PMC-SIERRA, INC.                EQUITY   69344F106     895       79,549   SH      SOLE       1     79,549
PMI GROUP, INC.                 EQUITY   69344M101    6770      162,167   SH      SOLE       1    162,167
PNC FINANCIAL SERVICES          EQUITY   693475105   27777      483,581   SH      SOLE       1    483,581
PNC FINL SVCS GROUP INC         EQUITY   693475105      18          321   SH      DEFINED    2                  321
PNM RESOURCES INC               EQUITY   69349H107    3459      136,791   SH      SOLE       1    136,791
POGO PRODUCING CO               EQUITY   730448107    5317      109,656   SH      SOLE       1    109,656
POLARIS INDUSTRIES, INC.        EQUITY   731068102      67          987   SH      SOLE       1        987
POLO RALPH LAUREN CO            EQUITY   731572103      44        1,040   SH      SOLE       1      1,040
POLO RALPH LAUREN CORP CL A     EQUITY   731572103       2        37900   SH      SOLE       3      35600             2300
POLYCOM, INC.                   EQUITY   73172K104    3889      166,771   SH      SOLE       1    166,771
POLYMEDICA CORP                 EQUITY   731738100     575       15,419   SH      SOLE       1     15,419
POLYONE CORPORATION             EQUITY   73179P106     487       53,770   SH      SOLE       1     53,770
POPE & TALBOT, INC.             EQUITY   732827100     158        9,256   SH      SOLE       1      9,256
POPULAR INC                     EQUITY   733174106     190        6,574   SH      SOLE       1      6,574
PORTAL SOFTWARE INC             EQUITY   736126301      50       18,933   SH      SOLE       1     18,933
PORTALPLAYER INC                EQUITY   736187204      91        3,685   SH      SOLE       1      3,685
PORTFOLIO RECOVERY ASS COM      EQUITY   73640Q105      13       308400   SH      SOLE       3     302000             6400
PORTFOLIO RECOVERY ASSOCIATE    EQUITY   73640Q105     293        7,118   SH      SOLE       1      7,118
POSSIS MEDICAL INC              EQUITY   737407106     127        9,419   SH      SOLE       1      9,419
POST PROPERTIES, INC.           EQUITY   737464107     971       27,821   SH      SOLE       1     27,821
POTASH CORP SASK INC COM (F)    EQUITY   73755L107       2        25300   SH      SOLE       3      25300
POTLATCH CORP.                  EQUITY   737628107    3399       67,203   SH      SOLE       1     67,203
POWELL INDUSTRIES INC           EQUITY   739128106      74        3,987   SH      SOLE       1      3,987
POWER INTEGRATIONS, INC.        EQUITY   739276103     320       16,189   SH      SOLE       1     16,189
POWER ONE INC                   EQUITY   739308104       1           95   SH      DEFINED    2                   95
POWER-ONE , INC.                EQUITY   739308104     653       73,173   SH      SOLE       1     73,173
POWERWAVE TECHNOLOGIES INC      EQUITY   739363109    2005      236,395   SH      SOLE       1    236,395
POZEN INC.                      EQUITY   73941U102     102       14,083   SH      SOLE       1     14,083





                                                                                      
PPG INDS INC                    EQUITY   693506107      13          195   SH      DEFINED    2                  195
PPG INDUSTRIES, INC.            EQUITY   693506107   10970      160,948   SH      SOLE       1    160,948
PPL CORP                        EQUITY   69351T106      11          215   SH      DEFINED    2                  215
PPL CORPORATION                 EQUITY   69351T106    4844       90,922   SH      SOLE       1     90,922
PRA INTERNATIONAL               EQUITY   69353C101     119        4,798   SH      SOLE       1      4,798
PRAECIS PHARMACEUTICALS IN      EQUITY   739421105     114       60,000   SH      DEFINED    2               60,000
PRAECIS PHARMACEUTICALS INC     EQUITY   739421105      58       30,719   SH      SOLE       1     30,719
PRANA BIOTECHNOLOGY SPONSORED   EQUITY   739727105       1       292700   SH      SOLE       3     292700
PRAXAIR INC                     EQUITY   74005P104      16          369   SH      DEFINED    2                  369
PRAXAIR, INC.                   EQUITY   74005P104    6421      145,425   SH      SOLE       1    145,425
PRECISION CASTPARTS CORP.       EQUITY   740189105    7346      111,846   SH      SOLE       1    111,846
PRECISION DRILLING CORP C       EQUITY   74022D100    6231       99,300   SH      DEFINED    1          0    99,300
PREMCOR INC                     EQUITY   74045Q104      40          959   SH      SOLE       1        959
PRENTISS PROPERTIES TRUST       EQUITY   740706106    1190       31,145   SH      SOLE       1     31,145
PREPAID LEGAL SERVICES, INC.    EQUITY   740065107     216        5,752   SH      SOLE       1      5,752
PRESIDENTIAL LIFE CORP.         EQUITY   740884101     212       12,505   SH      SOLE       1     12,505
PRESSTEK INC                    EQUITY   741113104     146       15,085   SH      SOLE       1     15,085
PRG-SCHULTZ INTERNATIONAL       EQUITY   69357C107     121       24,079   SH      SOLE       1     24,079
PRICE COMMUNICATIONS CO.        EQUITY   741437305     438       23,548   SH      SOLE       1     23,548
PRICE T ROWE GROUP INC          EQUITY   74144T108       9          146   SH      DEFINED    2                  146
PRICELINE.COM INC               EQUITY   741503403     331       14,016   SH      SOLE       1     14,016
PRIDE INTERNATIONAL             EQUITY   74153Q102    4751      231,302   SH      SOLE       1    231,302
PRIMEDIA INC                    EQUITY   74157K101     294       77,474   SH      SOLE       1     77,474
PRIMUS TELECOMMUNICATIONS GP    EQUITY   741929103     138       43,464   SH      SOLE       1     43,464
PRINCETON REVIEW INC            EQUITY   742352107      59        9,674   SH      SOLE       1      9,674
PRINCIPAL FINANCIAL GROUP       EQUITY   74251V102   48425    1,184,832   SH      SOLE       1  1,184,832
PRINCIPAL FINANCIAL GROUP       EQUITY   74251V102      14          349   SH      DEFINED    2                  349
PRIORITY HEALTHCARE             EQUITY   74264T102     366       16,796   SH      SOLE       1     16,796
PRIVATEBANCORP INC              EQUITY   742962103     311        9,638   SH      SOLE       1      9,638
PROASSURANCE CORPORATION        EQUITY   74267C106     601       15,372   SH      SOLE       1     15,372
PROCTER & GAMBLE CO.            EQUITY   742718109  171676    3,118,214   SH      SOLE       1  3,118,214
PROCTER AND GAMBLE CO           EQUITY   742718109   24631      447,183   SH      DEFINED    2              447,183
Proctor & Gamble Co             EQUITY   742718109    1652       30,000   SH      SOLE       4     30,000
PROFESSIONAL DETAILING, INC.    EQUITY   69329V100     110        4,955   SH      SOLE       1      4,955
PROGENICS PHARMACEUTICALS       EQUITY   743187106     118        6,903   SH      SOLE       1      6,903
Progress Energy                 EQUITY   743263105    5429      120,000   SH      SOLE       4    120,000
PROGRESS ENERGY INC             EQUITY   743263105      13          281   SH      DEFINED    2                  281
PROGRESS ENERGY INC.            EQUITY   743263105    5508      121,747   SH      SOLE       1    121,747
PROGRESS SOFTWARE CORP.         EQUITY   743312100     431       18,465   SH      SOLE       1     18,465
PROGRESSIVE CORP OHIO           EQUITY   743315103      19          228   SH      DEFINED    2                  228
PROGRESSIVE CORP.               EQUITY   743315103    7810       92,058   SH      SOLE       1     92,058
PROLOGIS                        EQUITY   743410102    4564      105,324   SH      SOLE       1    105,324
PROLOGIS TR SH BEN INT          EQUITY   743410102       1        20340   SH      SOLE       3                       20340
PROQUEST CO.                    EQUITY   74346P102     417       14,049   SH      SOLE       1     14,049
PROSPERITY BANCSHARES INC       EQUITY   743606105     284        9,710   SH      SOLE       1      9,710
PROTECTIVE LIFE CORP COM        EQUITY   743674103    5046      118,211   SH      SOLE       1    118,211
PROTEIN DESIGN LABS, INC.       EQUITY   74369L103    3357      162,500   SH      SOLE       1    162,500
PROVIDE COMMERCE INC            EQUITY   74373W103      95        2,564   SH      SOLE       1      2,564
PROVIDENT BANCORP INC           EQUITY   74383A109     356       26,956   SH      SOLE       1     26,956
PROVIDENT BANKSHARES CORP.      EQUITY   743859100     694       19,089   SH      SOLE       1     19,089
PROVIDENT FINANCIAL HLDGS       EQUITY   743868101      85        2,946   SH      SOLE       1      2,946
PROVIDENT FINANCIAL SERVICES    EQUITY   74386T105     857       44,220   SH      SOLE       1     44,220
PROVIDIAN FINANCIAL CORP.       EQUITY   74406A102    2169      131,705   SH      SOLE       1    131,705
PROVIDIAN FINL CORP             EQUITY   74406A102    7246      439,933   SH      DEFINED    2              439,933
PROVINCE HEALTHCARE CO.         EQUITY   743977100     648       28,976   SH      SOLE       1     28,976
PROXYMED PHARMACY INC           EQUITY   744290305      35        3,520   SH      SOLE       1      3,520
PRUDENTIAL FINANCIAL INC        EQUITY   744320102   11992      218,193   SH      SOLE       1    218,193
PRUDENTIAL FINL INC             EQUITY   744320102      32          583   SH      DEFINED    2                  583
PS BUSINESS PARKS, INC.         EQUITY   69360J107     527       11,694   SH      SOLE       1     11,694





                                                                                     
PSEG ENERGY HOLDINGS               EQUITY   744573106    5536      106,933   SH      SOLE    1    106,933
PSS WORLD MEDICAL, INC             EQUITY   69366A100     495       39,580   SH      SOLE    1     39,580
PSYCHIATRIC SOLUTIONS COM          EQUITY   74439H108      14       369600   SH      SOLE    3     365400             4200
PSYCHIATRIC SOLUTIONS INC          EQUITY   74439H108     253        6,915   SH      SOLE    1      6,915
PTEK HLDGS INC                     EQUITY   69366M104     396       36,940   SH      SOLE    1     36,940
Public Service                     EQUITY   744573106    2847       55,000   SH      SOLE    4     55,000
PUBLIC STORAGE INC                 EQUITY   74460D109     916       16,425   SH      SOLE    1     16,425
PUBLIC STORAGE INC COM             EQUITY   74460D109       1        14400   SH      SOLE    3                       14400
PUBLIC SVC ENTERPRISE GROU         EQUITY   744573106      14          270   SH      DEFINED 2                  270
PUGET ENEGY INC.                   EQUITY   745310102   13551      548,615   SH      SOLE    1    548,615
PULITZER INC.                      EQUITY   745769109     317        4,883   SH      SOLE    1      4,883
PULTE HOMES INC                    EQUITY   745867101       9          145   SH      DEFINED 2                  145
PULTE HOMES INC.                   EQUITY   745867101    3670       57,521   SH      SOLE    1     57,521
QAD INC                            EQUITY   74727D108      67        7,525   SH      SOLE    1      7,525
QC HOLDINGS INC                    EQUITY   74729T101      56        2,930   SH      SOLE    1      2,930
QLOGIC CORP                        EQUITY   747277101       4          105   SH      DEFINED 2                  105
QLOGIC CORP.                       EQUITY   747277101    1824       49,656   SH      SOLE    1     49,656
QUAKER CHEM CORP COM               EQUITY   747316107     120        4,843   SH      SOLE    1      4,843
QUALCOMM INC                       EQUITY   747525103   14514      342,313   SH      DEFINED 2              342,313
QUALCOMM, INC.                     EQUITY   747525103   37426      882,691   SH      SOLE    1    882,691
QUALITY SYSTEMS INC                EQUITY   747582104     119        1,982   SH      SOLE    1      1,982
QUALTY DISTRIBUTION INC            EQUITY   74756M102      41        4,898   SH      SOLE    1      4,898
QUANEX CORP.                       EQUITY   747620102     661        9,641   SH      SOLE    1      9,641
QUANTA SERVICES, INC.              EQUITY   74762E102    1912      238,995   SH      SOLE    1    238,995
QUANTUM CORP DLT & STORAGE         EQUITY   747906204     277      105,795   SH      SOLE    1    105,795
QUEST DIAGNOSTICS, INC.            EQUITY   74834L100   16154      169,061   SH      SOLE    1    169,061
QUEST SOFTWARE INC                 EQUITY   74834T103     466       29,195   SH      SOLE    1     29,195
QUEST SOFTWARE INC COM             EQUITY   74834T103       2       134300   SH      SOLE    3     126500             7800
QUESTAR CORP.                      EQUITY   748356102    7311      143,469   SH      SOLE    1    143,469
QUICKSILVER RESOURCES COM          EQUITY   74837R104       4        99392   SH      SOLE    3      94800             4592
QUICKSILVER RESOURCES INC          EQUITY   74837R104     638       17,336   SH      SOLE    1     17,336
QUICKSILVER, INC.                  EQUITY   74838C106     972       32,634   SH      SOLE    1     32,634
QUIDEL CORPORATION                 EQUITY   74838J101      94       18,553   SH      SOLE    1     18,553
QUIMICA Y MINERA ADR-EACH R        EQUITY   833635105     360        7,000   SH      SOLE    1      7,000
QUIXOTE CORP                       EQUITY   749056107      88        4,323   SH      SOLE    1      4,323
QWEST COMMUNICATIONS INTL.         EQUITY   749121109    4037      909,164   SH      SOLE    1    909,164
R&G FINANCIAL CO.                  EQUITY   749136107     635       16,327   SH      SOLE    1     16,327
R. R. DONNELLEY AND SONS CO.       EQUITY   257867101    3487       98,800   SH      SOLE    1     98,800
R.H. DONNELLEY CORP.               EQUITY   74955W307     781       13,230   SH      SOLE    1     13,230
RADIAN GROUP, INC.                 EQUITY   750236101    8330      156,465   SH      SOLE    1    156,465
RADIATION THERAPY SERVICES         EQUITY   750323206      55        3,229   SH      SOLE    1      3,229
RADIO ONE INC -CL D                EQUITY   75040P405      31        1,941   SH      SOLE    1      1,941
RADIOSHACK CORP                    EQUITY   750438103       6          180   SH      DEFINED 2                  180
RADIOSHACK CORP.                   EQUITY   750438103    3319      100,947   SH      SOLE    1    100,947
RADISYS CORP.                      EQUITY   750459109     215       11,007   SH      SOLE    1     11,007
RAE SYSTEMS INC                    EQUITY   75061P102     148       20,268   SH      SOLE    1     20,268
RAILAMERICA INC                    EQUITY   750753105     282       21,577   SH      SOLE    1     21,577
RAIT INVESTMENT TRUST              EQUITY   749227104     419       14,988   SH      SOLE    1     14,988
RALCORP HOLDINGS, INC.             EQUITY   751028101     720       17,164   SH      SOLE    1     17,164
RAMBUS INC.                        EQUITY   750917106      46        2,003   SH      SOLE    1      2,003
RAMCO-GERSHENSON PROPERTIES        EQUITY   751452202     331       10,267   SH      SOLE    1     10,267
RANGE RES CORP COM                 EQUITY   75281A109       2        73922   SH      SOLE    3      72600             1322
RANGE RESOURCES CORP               EQUITY   75281A109     811       39,658   SH      SOLE    1     39,658
RARE HOSPITALITY INTERNATIONAL     EQUITY   753820109     636       19,957   SH      SOLE    1     19,957
RAVEN INDUSTRIES INC               EQUITY   754212108     194        9,086   SH      SOLE    1      9,086
RAYMOND JAMES FINANCIAL, INC.      EQUITY   754730109    3882      125,318   SH      SOLE    1    125,318
RAYONIER, INC.                     EQUITY   754907103    4149       84,829   SH      SOLE    1     84,829
RAYOVAC CORP.                      EQUITY   755081106     618       20,227   SH      SOLE    1     20,227
RAYTHEON CO                        EQUITY   755111507      20          514   SH      DEFINED 2                  514




                                                                                              
RAYTHEON CO.                               EQUITY   755111507   8768     225,804    SH       SOLE       1      225,804
RC2 CORP                                   EQUITY   749388104    316       9,683    SH       SOLE       1        9,683
READER'S DIGEST ASSOC., INC.               EQUITY   755267101   3130     224,994    SH       SOLE       1      224,994
READING INTERNATIONAL INC-A                EQUITY   755408101     71       8,463    SH       SOLE       1        8,463
REALNETWORKS, INC.                         EQUITY   75605L104    437      66,046    SH       SOLE       1       66,046
REALTY INCOME CORP COM                     EQUITY   756109104               4440    SH       SOLE       3                       4440
REALTY INCOME CORP.                        EQUITY   756109104   1401      27,702    SH       SOLE       1       27,702
RECKSON ASSOC REALTY CORP.                 EQUITY   75621K106    355      10,812    SH       SOLE       1       10,812
RECKSON ASSOCS RLTY COM                    EQUITY   75621K106               8940    SH       SOLE       3                       8940
RED HAT INC COM                            EQUITY   756577102      1       82400    SH       SOLE       3        82400
RED HAT, INC.                              EQUITY   756577102     50       3,741    SH       SOLE       1        3,741
RED ROBIN GOURMET BURGERS                  EQUITY   75689M101    376       7,023    SH       SOLE       1        7,023
REDBACK NETWORKS INC                       EQUITY   757209507     98      18,323    SH       SOLE       1       18,323
REDWOOD TRUST, INC.                        EQUITY   758075402    638      10,278    SH       SOLE       1       10,278
REEBOK INTERNATIONAL, LTD.                 EQUITY   758110100   1234      28,046    SH       SOLE       1       28,046
REEBOK INTL LTD                            EQUITY   758110100      3          66    SH       DEFINED    2                  66
REGAL ENTMT GROUP                          EQUITY   758766109     21       1,016    SH       SOLE       1        1,016
REGAL-BELOIT CORP.                         EQUITY   758750103    409      14,291    SH       SOLE       1       14,291
REGENCY CENTERS CORPORATION                EQUITY   758849103    467       8,434    SH       SOLE       1        8,434
REGENCY CTRS CORP COM                      EQUITY   758849103               6990    SH       SOLE       3                       6990
REGENERATION TECHNOLOGIES                  EQUITY   75886N100    143      13,633    SH       SOLE       1       13,633
REGENERON PHARMACEUTICALS INC.             EQUITY   75886F107    205      22,288    SH       SOLE       1       22,288
REGENT COMMUNICATIONS, INC                 EQUITY   758865109    108      20,467    SH       SOLE       1       20,467
REGIONS FINANCIAL CORP                     EQUITY   7591EP100   7441     209,088    SH       SOLE       1      209,088
REGIONS FINL CORP NEW                      EQUITY   7591EP100     19         528    SH       DEFINED    2                 528
REGIS CORP.                                EQUITY   758932107   3482      75,460    SH       SOLE       1       75,460
REHAB CARE GROUP                           EQUITY   759148109    266       9,514    SH       SOLE       1        9,514
REINSURANCE GROUP OF                       EQUITY   759351109     35         723    SH       SOLE       1          723
RELIANCE STEEL & ALUMINIUM CO.             EQUITY   759509102    645      16,557    SH       SOLE       1       16,557
RELIANT ENERGY INC                         EQUITY   75952B105    100       7,320    SH       SOLE       1        7,320
REMEC, INC.                                EQUITY   759543101    260      36,128    SH       SOLE       1       36,128
REMINGTON OIL & GAS CORP                   EQUITY   759594302    345      12,675    SH       SOLE       1       12,675
RENAISSANCE LEARNING, INC.                 EQUITY   75968L105     83       4,472    SH       SOLE       1        4,472
RENAL CARE GROUP, INC.                     EQUITY   759930100   4122     114,543    SH       SOLE       1      114,543
RENOVIS INC                                EQUITY   759885106     50       3,501    SH       SOLE       1        3,501
RENT-A-CENTER INC                          EQUITY   76009N100   3410     128,681    SH       SOLE       1      128,681
RENT-WAY, INC.                             EQUITY   76009U104    123      15,393    SH       SOLE       1       15,393
REPUBLIC AIRWAYS HOLDINGS IN               EQUITY   760276105     39       2,929    SH       SOLE       1        2,929
REPUBLIC BANCORP, INC.                     EQUITY   760281204    755      46,127    SH       SOLE       1       46,127
REPUBLIC SERVICES IN                       EQUITY   760759100   8613     256,805    SH       SOLE       1      256,805
RES-CARE INC                               EQUITY   760943100    156      10,228    SH       SOLE       1       10,228
RESMED INC                                 EQUITY   761152107     40         786    SH       SOLE       1          786
RESOURCE AMERICA, INC.                     EQUITY   761195205    284       8,726    SH       SOLE       1        8,726
RESOURCES GLOBAL PROFESSIONALS             EQUITY   76122Q105    736      13,545    SH       SOLE       1       13,545
RESPIRONICS INC.                           EQUITY   761230101     44         808    SH       SOLE       1          808
RESTORATION HARDWARE I                     EQUITY   760981100     89      15,439    SH       SOLE       1       15,439
RETAIL VENTURES INC                        EQUITY   76128Y102     55       7,768    SH       SOLE       1        7,768
RETEK INC.                                 EQUITY   76128Q109    780     126,755    SH       SOLE       1      126,755
REVLON, INC.-CL A                          EQUITY   761525500    197      85,685    SH       SOLE       1       85,685
REYNOLDS AMERICAN INC                      EQUITY   761713106   5224      66,466    SH       SOLE       1       66,466
REYNOLDS AMERN INC                         EQUITY   761713106     13         168    SH       DEFINED    2                 168
REYNOLDS AND REYNOLDS CO., CLASS A         EQUITY   761695105   2913     109,866    SH       SOLE       1      109,866
RF MICRO DEVICES INC                       EQUITY   749941100   2894     423,119    SH       SOLE       1      423,119
RF MONOLITHICS INC COM(OXFORD PTNRS L      EQUITY   74955F106     42       4,973    SH       SOLE       1        4,973
RHODIA SA - SPONSORED ADR                  EQUITY   762397107   2700   1,000,000    SH       SOLE       1    1,000,000
RIGEL PHARMACEUTICALS INC                  EQUITY   766559603    153       6,273    SH       SOLE       1        6,273
RIGGS NATIONAL CORP.                       EQUITY   766570105    216      10,141    SH       SOLE       1       10,141
RIGHTNOW TECHNOLOGIES INC                  EQUITY   76657R106     60       3,694    SH       SOLE       1        3,694
RITE AID CORP                              EQUITY   767754104     36       9,897    SH       SOLE       1        9,897





                                                                                         
RIVIERA HOLDINGS CORP                EQUITY     769627100   14355   345,900   SH       SOLE      1     345,900
RLI CORP.                            EQUITY     749607107     546    13,145   SH       SOLE      1      13,145
ROBBINS & MYERS, INC.                EQUITY     770196103     152     6,384   SH       SOLE      1       6,384
ROBERT HALF INTERNATIONAL INC.       EQUITY     770323103    2260    76,786   SH       SOLE      1      76,786
ROBERT HALF INTL INC                 EQUITY     770323103       6       197   SH       DEFINED   2                   197
ROCK-TENN CO., CLASS A               EQUITY     772739207     260    17,154   SH       SOLE      1      17,154
ROCKWELL AUTOMATION INC              EQUITY     773903109   19703   397,639   SH       SOLE      1     397,639
ROCKWELL COLLINS INC                 EQUITY     774341101    3109    78,833   SH       SOLE      1      78,833
ROFIN-SINAR TECHNOLOGIES INC         EQUITY     775043102     372     8,762   SH       SOLE      1       8,762
ROGERS CORP.                         EQUITY     775133101     419     9,726   SH       SOLE      1       9,726
ROHM + HAAS CO                       EQUITY     775371107   12058   272,626   SH       DEFINED   2               272,626
ROHM AND HAAS CO.                    EQUITY     775371107   10953   247,634   SH       SOLE      1     247,634
ROLLINS, INC.                        EQUITY     775711104    2318    88,074   SH       SOLE      1      88,074
ROPER INDS                           EQUITY     776696106   27067   445,400   SH       DEFINED   2               445,400
ROPER INDUSTRIES, INC.               EQUITY     776696106      52       858   SH       SOLE      1         858
ROSS STORES, INC.                    EQUITY     778296103    7541   261,203   SH       SOLE      1     261,203
ROSTELECOM-SPONSORED ADR             EQUITY     778529107    2048   173,000   SH       SOLE      1     173,000
ROWAN COMPANIES, INC.                EQUITY     779382100    1400    54,035   SH       SOLE      1      54,035
ROWAN COS INC                        EQUITY     779382100    6478   250,122   SH       DEFINED   2               250,122
ROYAL BANCSHARES OF PENN-A           EQUITY     780081105      69     2,567   SH       SOLE      1       2,567
ROYAL BANK CDA COMMON                EQUITY     780087102    5189    97,200   SH       DEFINED   1           0    97,200
ROYAL BK OF SCOT GRP PLC PERP        CorpBond   780097796     955    36,400   SH       SOLE      1          36
Royal Bk Scotland 8.5%               EQUITY     780097804     543    20,000   SH       SOLE      4      20,000
Royal Bk Scotland 8.8889%            EQUITY     780097861    3066   120,000   SH       SOLE      4     120,000
Royal Bk Scotland 9.125%             EQUITY     780097606    1184    45,000   SH       SOLE      4      45,000
ROYAL CARIBBEAN CRUISES LTD          EQUITY     V7780T103   26464   486,118   SH       SOLE      1     486,118
ROYAL GOLD INC                       EQUITY     780287108     176     9,638   SH       SOLE      1       9,638
RPC                                  EQUITY     749660106     141     5,601   SH       SOLE      1       5,601
RPM INTERNATIONAL INC.               EQUITY     749685103    3896   198,162   SH       SOLE      1     198,162
RSA SECURITY INC.                    EQUITY     749719100    3160   157,527   SH       SOLE      1     157,527
RTI INTERNATIONAL METALS, INC.       EQUITY     74973W107     256    12,441   SH       SOLE      1      12,441
RUBY TUESDAY INC                     EQUITY     781182100    4895   187,700   SH       DEFINED   2               187,700
RUBY TUESDAY, INC.                   EQUITY     781182100    2883   110,539   SH       SOLE      1     110,539
RUDDICK CORP.                        EQUITY     781258108    2121    97,799   SH       SOLE      1      97,799
RUDOLPH TECHNOLOGIES INC.            EQUITY     781270103     130     7,551   SH       SOLE      1       7,551
RUSH ENTERPRISES INC - CL B          EQUITY     781846308      89     5,124   SH       SOLE      1       5,124
RUSH ENTERPRISES INC CL B            EQUITY     781846308       2    132000   SH       SOLE      3      132000
RUSS BERRIE AND CO., INC.            EQUITY     782233100     105     4,614   SH       SOLE      1       4,614
RUSSELL CORP.                        EQUITY     782352108     327    16,785   SH       SOLE      1      16,785
RYANAIR HOLDINGS PLC-SP ADR          EQUITY     783513104      58     1,431   SH       SOLE      1       1,431
RYAN'S RESTAURANT GROUP INC          EQUITY     783520109     381    24,692   SH       SOLE      1      24,692
RYDER SYS INC                        EQUITY     783549108       3        73   SH       DEFINED   2                    73
RYDER SYSTEM, INC.                   EQUITY     783549108    1608    33,652   SH       SOLE      1      33,652
RYERSON TULL, INC.                   EQUITY     78375P107     217    13,807   SH       SOLE      1      13,807
RYLAND GROUP                         EQUITY     783764103    4659    80,976   SH       SOLE      1      80,976
S J W CORP COM                       EQUITY     784305104     138     3,784   SH       SOLE      1       3,784
S&P 500 DEPOSITORY RECEIPT           EQUITY     78462F103   42639   352,764   SH       SOLE      1     352,764
S&T BANCORP, INC.                    EQUITY     783859101     524    13,909   SH       SOLE      1      13,909
S.Y. BANCORP INC                     EQUITY     785060104     167     6,937   SH       SOLE      1       6,937
S1 CORPORATION                       EQUITY     78463B101     375    41,420   SH       SOLE      1      41,420
SABRE HLDGS CORP                     EQUITY     785905100       3       154   SH       DEFINED   2                   154
SABRE HOLDINGS CORP.                 EQUITY     785905100    1370    61,805   SH       SOLE      1      61,805
SAFECO CORP                          EQUITY     786429100       8       144   SH       DEFINED   2                   144
SAFECO CORP.                         EQUITY     786429100    2981    57,062   SH       SOLE      1      57,062
SAFEGUARD SCIENTIFICS, INC.          EQUITY     786449108     149    70,292   SH       SOLE      1      70,292
SAFENET INC                          EQUITY     78645R107     513    13,956   SH       SOLE      1      13,956
SAFETY INSURANCE GROUP INC           EQUITY     78648T100     185     5,889   SH       SOLE      1       5,889
SAFEWAY INC                          EQUITY     786514208    3975   201,385   SH       SOLE      1     201,385
SAFEWAY INC                          EQUITY     786514208      10       509   SH       DEFINED   2                   509





                                                                                              
SAGA COMMUNICATIONS, INC. CLASS A    EQUITY     786598102      162       9,586   SH       SOLE      1         9,586
SAKS INC.                            EQUITY     79377W108     3439     237,034   SH       SOLE      1       237,034
SALEM COMMUNICATION- CLASS A         EQUITY     794093104      141       5,636   SH       SOLE      1         5,636
SALESFORCE.COM INC                   EQUITY     79466L302      115       6,764   SH       SOLE      1         6,764
SALIX PHARMACEUTICALS                EQUITY     795435106      372      21,137   SH       SOLE      1        21,137
SALIX PHARMACEUTICALS LTD            EQUITY     795435106      880      50,000   SH       DEFINED   2                  50,000
SANDERS MORRIS HARRIS GRP IN         EQUITY     80000Q104      124       7,005   SH       SOLE      1         7,005
SANDERSON FARMS, INC.                EQUITY     800013104      262       6,048   SH       SOLE      1         6,048
SANDISK CORP.                        EQUITY     80004C101     7181     287,588   SH       SOLE      1       287,588
SANDY SPRING BANCORP, INC.           EQUITY     800363103      327       8,523   SH       SOLE      1         8,523
SANMINA - SCI CORP                   EQUITY     800907107     2376     280,574   SH       SOLE      1       280,574
SANMINA SCI CORP                     EQUITY     800907107        5         592   SH       DEFINED   2                     592
SANTANDER BANCORP                    EQUITY     802809103       93       3,094   SH       SOLE      1         3,094
SANTARUS INC                         EQUITY     802817304       44       4,913   SH       SOLE      1         4,913
SAPIENT CORP.                        EQUITY     803062108      366      46,247   SH       SOLE      1        46,247
SARA LEE CORP                        EQUITY     803111103       22         892   SH       DEFINED   2                     892
SARA LEE CORP.                       EQUITY     803111103     9496     393,372   SH       SOLE      1       393,372
SAUER-DANFOSS INC.                   EQUITY     804137107      129       5,905   SH       SOLE      1         5,905
SAUL CENTERS, INC.                   EQUITY     804395101      321       8,384   SH       SOLE      1         8,384
SAXON CAPITAL INC                    EQUITY     80556T106      701      29,238   SH       SOLE      1        29,238
SBA COMMUNICATIONS CORPORATION       EQUITY     78388J106      252      27,118   SH       SOLE      1        27,118
SBC COMMUNICATIONS INC               EQUITY     78387G103    11550     448,196   SH       DEFINED   2                 448,196
SBC Communications Inc               EQUITY     78387G103     1031      40,000   SH       SOLE      4        40,000
SBC COMMUNICATIONS, INC.             EQUITY     78387G103    78666   3,052,629   SH       SOLE      1     3,052,629
SBS TECHNOLOGIES INC                 EQUITY     78387P103      125       8,963   SH       SOLE      1         8,963
SCANA CORP                           EQUITY     80589M102     7535     191,248   SH       SOLE      1       191,248
SCANSOFT INC                         EQUITY     80603P107      199      47,395   SH       SOLE      1        47,395
SCANSOURCE INC                       EQUITY     806037107      456       7,335   SH       SOLE      1         7,335
SCBT FINANCIAL CORP                  EQUITY     78401V102      158       4,709   SH       SOLE      1         4,709
SCHAWK, INC.                         EQUITY     806373106       97       5,327   SH       SOLE      1         5,327
SCHERING PLOUGH CORP                 EQUITY     806605101       44       2,084   SH       DEFINED   2                   2,084
SCHERING-PLOUGH CORP.                EQUITY     806605101    14027     671,804   SH       SOLE      1       671,804
SCHLUMBERGER                         EQUITY     806857108      142       2,179   SH       DEFINED   2                   2,179
Schlumberger LTD                     EQUITY     806857108     1841      27,500   SH       SOLE      4        27,500
SCHLUMBERGER, LTD.                   EQUITY     806857108    21744     324,787   SH       SOLE      1       324,787
SCHNITZER STL INDS                   EQUITY     806882106      391      11,511   SH       SOLE      1        11,511
SCHOLASTIC CORP.                     EQUITY     807066105     3117      84,323   SH       SOLE      1        84,323
SCHOOL SPECIALTY, INC.               EQUITY     807863105      511      13,257   SH       SOLE      1        13,257
SCHULMAN, A. INC.                    EQUITY     808194104      379      17,706   SH       SOLE      1        17,706
SCHWAB CHARLES CORP                  EQUITY     808513105       18       1,531   SH       DEFINED   2                   1,531
SCHWEITZER-MAUDUIT INC.              EQUITY     808541106      299       8,819   SH       SOLE      1         8,819
SCICLONE PHARMACEUTICALS, INC.       EQUITY     80862K104       97      26,180   SH       SOLE      1        26,180
SCIENTIFIC ATLANTA INC               EQUITY     808655104        6         174   SH       DEFINED   2                     174
SCIENTIFIC GAMES CORP A              EQUITY     80874P109     1069      44,850   SH       SOLE      1        44,850
SCIENTIFIC-ATLANTA, INC.             EQUITY     808655104     2306      69,856   SH       SOLE      1        69,856
SCOTTS CO.                           EQUITY     810186106     4097      55,726   SH       SOLE      1        55,726
SCP POOL CORPORATION                 EQUITY     784028102      997      31,254   SH       SOLE      1        31,254
SCRIPPS CO                           EQUITY     811054204       70       1,460   SH       SOLE      1         1,460
SCS TRANSPORTATION INC               EQUITY     81111T102      204       8,727   SH       SOLE      1         8,727
Scudder Strategic Muni Inc           EQUITY     811234103      248      20,000   SH       SOLE      4        20,000
SEABOARD CORP.                       EQUITY     811543107      207         207   SH       SOLE      1           207
SEABULK INTERNATIONAL INC            EQUITY     81169P101       41       3,407   SH       SOLE      1         3,407
SEACHANGE INTERNATIONAL, INC.        EQUITY     811699107      250      14,360   SH       SOLE      1        14,360
SEACOAST BANKING CORP FL             EQUITY     811707306      151       6,789   SH       SOLE      1         6,789
SEACOR HOLDINGS INC                  EQUITY     811904101      580      10,861   SH       SOLE      1        10,861
SEALED AIR CORP                      EQUITY     81211K100     1991      37,383   SH       SOLE      1        37,383
SEALED AIR CORP NEW                  EQUITY     81211K100        5          95   SH       DEFINED   2                      95
SEARS ROEBUCK & CO                   EQUITY     812387108     4755      93,181   SH       SOLE      1        93,181
SEARS ROEBUCK + CO                   EQUITY     812387108       12         235   SH       DEFINED   2                     235





                                                                                           
SEATTLE GENETICS INC WA                EQUITY   812578102     120       18,318  SH       SOLE       1     18,318
SECURE COMPUTING CORP                  EQUITY   813705100     208       20,891  SH       SOLE       1     20,891
SECURITY BANK CORP                     EQUITY   814047106     110        2,744  SH       SOLE       1      2,744
SEEBEYOND TECHNOLOGY CORP.             EQUITY   815704101     104       29,120  SH       SOLE       1     29,120
SEI INVESTMENTS CO.                    EQUITY   784117103    7274      173,481  SH       SOLE       1    173,481
SELECT COMFORT CORP                    EQUITY   81616X103     383       21,368  SH       SOLE       1     21,368
SELECT MEDICAL CORP                    EQUITY   816196109     951       54,035  SH       SOLE       1     54,035
Select Sector Spdr Tr                  EQUITY   81369Y803    1056       50,000  SH       SOLE       4     50,000
SELECTIVE INSURANCE GROUP, INC         EQUITY   816300107     720       16,281  SH       SOLE       1     16,281
SEMITOOL, INC.                         EQUITY   816909105      89        9,553  SH       SOLE       1      9,553
SEMPRA ENERGY                          EQUITY   816851109    4292      117,023  SH       SOLE       1    117,023
SEMPRA ENERGY                          EQUITY   816851109      10          265  SH       DEFINED    2                  265
SEMTECH CORP.                          EQUITY   816850101    2748      125,820  SH       SOLE       1    125,820
SENIOR HOUSING PROP TRUST              EQUITY   81721M109     740       39,064  SH       SOLE       1     39,064
SENSIENT TECHNOLOGIES CORP.            EQUITY   81725T100    2547      106,170  SH       SOLE       1    106,170
SEPRACOR, INC.                         EQUITY   817315104   10609      178,698  SH       SOLE       1    178,698
SEQUA CORP CLASS A                     EQUITY   817320104    1300       21,257  SH       SOLE       1     21,257
SERENA SOFTWARE, INC.                  EQUITY   817492101     318       14,737  SH       SOLE       1     14,737
SEROLOGICALS CORP.                     EQUITY   817523103     384       17,375  SH       SOLE       1     17,375
SERVICE CORP INTERNATIONAL             EQUITY   817565104      62        8,339  SH       SOLE       1      8,339
SERVICEMASTER COMPAN                   EQUITY   81760N109      95        6,907  SH       SOLE       1      6,907
SFBC INTERNATIONAL INC                 EQUITY   784121105     289        7,329  SH       SOLE       1      7,329
SHARPER IMAGE CORP                     EQUITY   820013100     130        6,876  SH       SOLE       1      6,876
SHAW GROUP INC                         EQUITY   820280105     661       37,015  SH       SOLE       1     37,015
SHENANDOAH TELECOMMUNI                 EQUITY   82312B106     115        3,851  SH       SOLE       1      3,851
SHERWIN WILLIAMS CO                    EQUITY   824348106   15116      338,702  SH       DEFINED    2              338,702
SHERWIN-WILLIAMS CO.                   EQUITY   824348106    2801       62,767  SH       SOLE       1     62,767
SHIRE PHARMACEUTICALS GR ADR           EQUITY   82481R106    9426      295,037  SH       SOLE       1    295,037
SHOE CARNIVAL INC                      EQUITY   824889109      56        4,329  SH       SOLE       1      4,329
SHOPKO STORES, INC.                    EQUITY   824911101     322       17,233  SH       SOLE       1     17,233
SHUFFLE MASTER INC                     EQUITY   825549108       4        88550  SH       SOLE       3      86400             2150
SHUFFLE MASTER, INC.                   EQUITY   825549108     642       13,626  SH       SOLE       1     13,626
SHURGARD STORAGE CENTERS, INC. CLASS   EQUITY   82567D104     279        6,333  SH       SOLE       1      6,333
SHURGARD STORAGE CTRS COM              EQUITY   82567D104                 5200  SH       SOLE       3                        5200
SI INTERNATIONAL                       EQUITY   78427V102      13       407800  SH       SOLE       3     403200             4600
SI INTERNATIONAL INC                   EQUITY   78427V102     116        3,781  SH       SOLE       1      3,781
SIDER NACIONAL CIA SPONS AD            EQUITY   20440W105     527       33,200  SH       SOLE       1     33,200
SIEBEL SYS INC                         EQUITY   826170102    3785      360,478  SH       DEFINED    2              360,478
SIEBEL SYSTEMS, INC.                   EQUITY   826170102    3378      322,048  SH       SOLE       1    322,048
SIERRA HEALTH SERVICES, INC.           EQUITY   826322109     743       13,474  SH       SOLE       1     13,474
SIERRA PACIFIC RESOURCES               EQUITY   826428104    2791      265,850  SH       SOLE       1    265,850
SIGMA ALDRICH                          EQUITY   826552101       5           78  SH       DEFINED    2                   78
SIGMA ALDRICH CORP.                    EQUITY   826552101    2154       35,623  SH       SOLE       1     35,623
SIGMATEL INC                           EQUITY   82661W107     513       14,441  SH       SOLE       1     14,441
SIGMATEL INC COM                       EQUITY   82661W107       9       264094  SH       SOLE       3     258200             5894
SIGNATURE BANK                         EQUITY   82669G104     117        3,614  SH       SOLE       1      3,614
SIGNATURE BK NEW YORK NY               EQUITY   82669G104   16665      515,000  SH       DEFINED    2              515,000
SILGAN HOLDINGS, INC.                  EQUITY   827048109     392        6,432  SH       SOLE       1      6,432
SILICON GRAPHICS, INC.                 EQUITY   827056102     265      153,280  SH       SOLE       1    153,280
SILICON IMAGE  INC                     EQUITY   82705T102     715       43,465  SH       SOLE       1     43,465
SILICON LABORATORIES INC               EQUITY   826919102    3109       88,053  SH       SOLE       1     88,053
SILICON STORAGE TECHNOLOGY             EQUITY   827057100     284       47,666  SH       SOLE       1     47,666
SILICON VALLEY BANCSHARES              EQUITY   827064106    3635       81,095  SH       SOLE       1     81,095
SILICONIX, INC.                        EQUITY   827079203     125        3,437  SH       SOLE       1      3,437
SIMMONS FIRST NATIONAL CORP.           EQUITY   828730200     249        8,615  SH       SOLE       1      8,615
SIMON PPTY GROUP                       EQUITY   828806109       2        24735  SH       SOLE       3                       24735
SIMON PPTY GROUP INC NEW               EQUITY   828806109      16          251  SH       DEFINED    2                  251
SIMON PROPERTY GROUP INC               EQUITY   828806109    7925      122,543  SH       SOLE       1    122,543
SIMPLETECH INC                         EQUITY   828823104      54       11,834  SH       SOLE       1     11,834





                                                                                            
SIMPSON MANUFACTURING CO.              EQUITY   829073105     752       21,551  SH      SOLE       1       21,551
SINCLAIR BROADCAST GROUP, INC.         EQUITY   829226109     242       26,285  SH      SOLE       1       26,285
SIPEX CORP.                            EQUITY   829909100      54       11,613  SH      SOLE       1       11,613
SIRF TECHNOLOGY HOLDINGS INC           EQUITY   82967H101      86        6,749  SH      SOLE       1        6,749
SIRIUS SATELLITE RADIO INC.            EQUITY   82966U103    3951      518,457  SH      SOLE       1      518,457
SIRVA INC                              EQUITY   82967Y104       9          466  SH      SOLE       1          466
SITEL CORP.                            EQUITY   82980K107      84       34,213  SH      SOLE       1       34,213
SIX FLAGS, INC                         EQUITY   83001P109     293       54,628  SH      SOLE       1       54,628
SIZELER PPTY INVS INC                  EQUITY   830137105      17        1,480  SH      SOLE       1        1,480
SKECHERS USA INC. CL-A                 EQUITY   830566105     151       11,643  SH      SOLE       1       11,643
SKY FINANCIAL GROUP                    EQUITY   83080P103      73        2,557  SH      SOLE       1        2,557
SKYLINE CORP.                          EQUITY   830830105     163        4,002  SH      SOLE       1        4,002
SKYWEST INC                            EQUITY   830879102   50296    2,507,262  SH      SOLE       1    2,507,262
SKYWORKS SOLUTIONS INC                 EQUITY   83088M102     827       87,698  SH      SOLE       1       87,698
SL GREEN REALTY CORP.                  EQUITY   78440X101     328        5,423  SH      SOLE       1        5,423
SL GREEN RLTY CORP COM                 EQUITY   78440X101                 4470  SH      SOLE       3                         4470
SLM CORP                               EQUITY   78442P106   42655    1,400,235  SH      SOLE       1      269,767
SLM CORP                               EQUITY   78442P106      26          489  SH      DEFINED    2                    489
SMART & FINAL, INC.,                   EQUITY   831683107     106        7,336  SH      SOLE       1        7,336
SMITH INTERNATIONAL, INC.              EQUITY   832110100    9707      178,413  SH      SOLE       1      178,413
SMITH, A.O. CORP.                      EQUITY   831865209     299        9,991  SH      SOLE       1        9,991
SMITHFIELD FOODS INC                   EQUITY   832248108    5572      188,295  SH      SOLE       1      188,295
SMITHTOWN BANCORP INC                  EQUITY   832449102      97        3,059  SH      SOLE       1        3,059
SMURFIT STONE CONTAINER CO             EQUITY   832727101    1732       92,700  SH      DEFINED    2                 92,700
SMURFIT-STONE CONTAINER CORP.          EQUITY   832727101   47994    2,569,271  SH      SOLE       1    2,569,271
SNAP ON INC                            EQUITY   833034101       2           65  SH      DEFINED    2                     65
SNAP-ON, INC.                          EQUITY   833034101     889       25,874  SH      SOLE       1       25,874
SOHU.COM INC                           EQUITY   83408W103     229       12,956  SH      SOLE       1       12,956
SOLA INTERNATIONAL, INC.               EQUITY   834092108    2869      104,165  SH      SOLE       1      104,165
SOLECTRON CORP                         EQUITY   834182107       6        1,103  SH      DEFINED    2                  1,103
SOLECTRON CORP.                        EQUITY   834182107    2314      434,224  SH      SOLE       1      434,224
SONIC AUTOMOTIVE INC                   EQUITY   83545G102     403       16,258  SH      SOLE       1       16,258
SONIC CORP.                            EQUITY   835451105    1063       34,856  SH      SOLE       1       34,856
SONIC INNOVATIONS INC                  EQUITY   83545M109      45       10,818  SH      SOLE       1       10,818
SONIC SOLUTIONS                        EQUITY   835460106     246       10,966  SH      SOLE       1       10,966
SONICWALL INC                          EQUITY   835470105     221       34,910  SH      SOLE       1       34,910
SONOCO PRODUCTS CO.                    EQUITY   835495102    4961      167,319  SH      SOLE       1      167,319
SONOSIGHT, INC.                        EQUITY   83568G104     294        8,646  SH      SOLE       1        8,646
SOTHEBY'S HOLDINGS, INC. CLASS A       EQUITY   835898107    2421      133,311  SH      SOLE       1      133,311
SOURCE INTERLINK COS INC               EQUITY   836151209     153       11,542  SH      SOLE       1       11,542
SOURCECORP                             EQUITY   836167106     181        9,454  SH      SOLE       1        9,454
SOUTH FINANCIAL GROUP INC.             EQUITY   837841105      57        1,742  SH      SOLE       1        1,742
SOUTH JERSEY INDUSTRIES, INC.          EQUITY   838518108     424        8,066  SH      SOLE       1        8,066
SOUTHERN CO                            EQUITY   842587107   30513      910,301  SH      SOLE       1      910,301
SOUTHERN CO                            EQUITY   842587107      28          841  SH      DEFINED    2                    841
SOUTHERN COMMUNITY FINANCIAL           EQUITY   842632101      90        8,740  SH      SOLE       1        8,740
SOUTHERN PERU COPPER CORP.             EQUITY   843611104      16          339  SH      SOLE       1          339
SOUTHERN UNION CO.                     EQUITY   844030106     930       38,769  SH      SOLE       1       38,769
SOUTHSIDE BANCSHARES INC               EQUITY   84470P109     125        5,471  SH      SOLE       1        5,471
SOUTHWEST AIRLINES CO.                 EQUITY   844741108    5753      353,357  SH      SOLE       1      353,357
SOUTHWEST AIRLS CO                     EQUITY   844741108    2352      144,486  SH      DEFINED    2                144,486
SOUTHWEST BANCORP INC                  EQUITY   844767103     155        6,289  SH      SOLE       1        6,289
SOUTHWEST BANCORPORATION OF TX         EQUITY   84476R109     939       40,304  SH      SOLE       1       40,304
SOUTHWEST GAS CORP                     EQUITY   844895102     517       20,364  SH      SOLE       1       20,364
SOUTHWEST WTR CO                       EQUITY   845331107     152       11,292  SH      SOLE       1       11,292
SOUTHWESTERN ENERGY CO.                EQUITY   845467109    1074       21,183  SH      SOLE       1       21,183
SOVEREIGN BANCORP INC                  EQUITY   845905108       9          392  SH      DEFINED    2                    392
SOVEREIGN BANCORP, INC.                EQUITY   845905108    3502      155,293  SH      SOLE       1      155,293
SOVRAN SELF STORAGE, INC.              EQUITY   84610H108     463       10,977  SH      SOLE       1       10,977





                                                                                             
SPANISH BROADCASTING SYS, INC. CLASS   EQUITY   846425882     229       21,691  SH        SOLE       1       21,691
SPARTECH CORP.                         EQUITY   847220209     399       14,729  SH        SOLE       1       14,729
SPATIALIGHT INC                        EQUITY   847248101     123       13,787  SH        SOLE       1       13,787
SPECIALTY LABORATORIES INC             EQUITY   84749R100      52        4,690  SH        SOLE       1        4,690
SPECTRALINK CORP                       EQUITY   847580107     159       11,183  SH        SOLE       1       11,183
SPECTRASITE INC                        EQUITY   84761M104      52          903  SH        SOLE       1          903
SPEEDWAY MOTORSPORTS                   EQUITY   847788106     340        8,688  SH        SOLE       1        8,688
SPHERION CORPORATION                   EQUITY   848420105     298       35,446  SH        SOLE       1       35,446
SPINNAKER EXPLORATION CO               EQUITY   84855W109     517       14,728  SH        SOLE       1       14,728
SPORTS AUTHORITY INC                   EQUITY   84917U109     337       13,068  SH        SOLE       1       13,068
SPORTS RESORTS INTL INC                EQUITY   84918U108       2          821  SH        SOLE       1          821
SPRINT CORP                            EQUITY   852061100   59866    2,270,891  SH        SOLE       1    2,270,891
SPRINT CORP                            EQUITY   852061100      42        1,672  SH        DEFINED    2                 1,672
SPSS, INC.                             EQUITY   78462K102     130        8,313  SH        SOLE       1        8,313
SPX CORP.                              EQUITY   784635104    5126      127,970  SH        SOLE       1      127,970
SRA INTERNATIONAL CL A                 EQUITY   78464R105     489        7,618  SH        SOLE       1        7,618
SRA INTL INC CL A                      EQUITY   78464R105      10       152974  SH        SOLE       3       150400           2574
SS&C TECHNOLOGIES INC                  EQUITY   85227Q100     165        7,979  SH        SOLE       1        7,979
ST JUDE MED INC                        EQUITY   790849103   21238      506,506  SH        DEFINED    2               506,506
ST JUDE MEDICAL, INC.                  EQUITY   790849103    6348      151,396  SH        SOLE       1      151,396
ST. MARY LAND & EXPLORATION            EQUITY   792228108     698       16,715  SH        SOLE       1       16,715
ST. PAUL TRAVELERS COMPANIES, INC.     EQUITY   792860108   15076      406,694  SH        SOLE       1      406,694
STAGE STORES INC                       EQUITY   85254C305     455       10,959  SH        SOLE       1       10,959
STAKTEK HOLDINGS INC                   EQUITY   85256P106      28        6,002  SH        SOLE       1        6,002
STAMPS.COM INC                         EQUITY   852857200     156        9,853  SH        SOLE       1        9,853
STANCORP FINANCIAL GROUP, INC.         EQUITY   852891100    3994       48,415  SH        SOLE       1       48,415
STANDARD COML CORP. COM                EQUITY   853258101     115        5,927  SH        SOLE       1        5,927
STANDARD MICROSYSTEMS CORP.            EQUITY   853626109     193       10,806  SH        SOLE       1       10,806
STANDARD MOTOR PRODUCTS, INC.          EQUITY   853666105     117        7,384  SH        SOLE       1        7,384
STANDARD PACIFIC CORP.                 EQUITY   85375C101      54          835  SH        SOLE       1          835
STANDARD REGISTER CO.                  EQUITY   853887107      97        6,876  SH        SOLE       1        6,876
STANDEX INTERNATIONAL CORP.            EQUITY   854231107     204        7,157  SH        SOLE       1        7,157
STANLEY FURNITURE CO INC               EQUITY   854305208     148        3,282  SH        SOLE       1        3,282
STANLEY WORKS                          EQUITY   854616109    3031       61,872  SH        SOLE       1       61,872
STANLEY WORKS                          EQUITY   854616109       5           93  SH        DEFINED    2                    93
STAPLES INC                            EQUITY   855030102      19          566  SH        DEFINED    2                   566
STAPLES, INC.                          EQUITY   855030102   18471      562,809  SH        SOLE       1      562,809
STAR SCIENTIFIC INC                    EQUITY   85517P101      83       16,327  SH        SOLE       1       16,327
STARBUCKS CORP                         EQUITY   855244109      28          455  SH        DEFINED    2                   455
STARBUCKS CORP.                        EQUITY   855244109   12985      208,225  SH        SOLE       1      208,225
STARTEK INC                            EQUITY   85569C107     181        6,379  SH        SOLE       1        6,379
STARWOOD HOTELS & RESORTS  WW          EQUITY   85590A203    5438       93,118  SH        SOLE       1       93,118
STATE AUTO FINANCIAL CORP.             EQUITY   855707105     205        7,912  SH        SOLE       1        7,912
STATE BANCORP INC                      EQUITY   855716106     129        4,681  SH        SOLE       1        4,681
STATE FINL SERVICES CORP-A             EQUITY   856855101     102        3,377  SH        SOLE       1        3,377
STATE STREET CORP.                     EQUITY   857477103    6968      141,859  SH        SOLE       1      141,859
STATE STREET CORPORATION               EQUITY   857477103      19          379  SH        DEFINED    2                   379
STATION CASINOS, INC.                  EQUITY   857689103      53          975  SH        SOLE       1          975
Statoil ASA - ADR                      EQUITY   85771P102     454       31,430  SH        SOLE       1       31,430
STATS CHIPPAC LTD-ADR                  EQUITY   85771T104     268       43,742  SH        SOLE       1       43,742
STEEL DYNAMICS, INC.                   EQUITY   858119100    3700       97,669  SH        SOLE       1       97,669
STEEL TECHNOLOGIES INC                 EQUITY   858147101     162        5,890  SH        SOLE       1        5,890
STEELCASE INC-CL A                     EQUITY   858155203      17        1,225  SH        SOLE       1        1,225
STEIN MART, INC.                       EQUITY   858375108     248       14,532  SH        SOLE       1       14,532
STEINWAY MUSICAL INSTRUMENTS           EQUITY   858495104   14584      503,922  SH        SOLE       1      503,922
STELLENT INC                           EQUITY   85856W105     105       11,914  SH        SOLE       1       11,914
STELMAR SHIPPING LTD                   EQUITY   V8726M103    3400       71,270  SH        SOLE       1       71,270
STEPAN CO.                             EQUITY   858586100      75        3,099  SH        SOLE       1        3,099
STEREOTAXIS INC                        EQUITY   85916J102      32        3,236  SH        SOLE       1        3,236




                                                                                               
STERICYCLE INC                      EQUITY   858912108    4944      107,600   SH           DEFINED     2                107,600
STERICYCLE INC COM                  EQUITY   858912108       1        25700   SH           SOLE        3          25700
STERICYCLE, INC.                    EQUITY   858912108    3615       78,672   SH           SOLE        1         78,672
STERIS CORP COM                     EQUITY   859152100    3722      156,916   SH           SOLE        1        156,916
STERLING BANCORP                    EQUITY   859158107     266        9,412   SH           SOLE        1          9,412
STERLING BANCSHARES, INC.           EQUITY   858907108     375       26,282   SH           SOLE        1         26,282
STERLING FINANCIAL CORP             EQUITY   859317109     362       12,612   SH           SOLE        1         12,612
STERLING FINL CORP WAS              EQUITY   859319105     521       13,272   SH           SOLE        1         13,272
STEVEN MADDEN, LTD.                 EQUITY   556269108     128        6,809   SH           SOLE        1          6,809
STEWART & STEVENSON SERVICES        EQUITY   860342104     339       16,773   SH           SOLE        1         16,773
STEWART ENTERPRISES, INC.           EQUITY   860370105     441       63,045   SH           SOLE        1         63,045
STEWART INFORMATION SERVICES COM    EQUITY   860372101     416        9,987   SH           SOLE        1          9,987
STIFEL FINANCIAL CORP               EQUITY   860630102      89        4,233   SH           SOLE        1          4,233
STILLWATER MINING CO.               EQUITY   86074Q102     266       23,596   SH           SOLE        1         23,596
STONE ENERGY CORP.                  EQUITY   861642106     610       13,535   SH           SOLE        1         13,535
STONERIDGE, INC.                    EQUITY   86183P102     138        9,127   SH           SOLE        1          9,127
STORAGE TECHNOLOGY CORP.            EQUITY   862111200    5731      181,311   SH           SOLE        1        181,311
STRATASYS INC                       EQUITY   862685104     181        5,390   SH           SOLE        1          5,390
STRATEGIC HOTEL CAPITAL INC         EQUITY   86272T106     196       11,876   SH           SOLE        1         11,876
STRATEX NETWORKS INC                EQUITY   86279T109     126       55,610   SH           SOLE        1         55,610
STRATTEC SEC CORP                   EQUITY   863111100     141        2,246   SH           SOLE        1          2,246
STRAYER EDUCATION, INC              EQUITY   863236105     954        8,688   SH           SOLE        1          8,688
STRIDE RITE CORP.                   EQUITY   863314100     240       21,491   SH           SOLE        1         21,491
STRYKER CORP                        EQUITY   863667101      22          457   SH           DEFINED     2                    457
Stryker Corp                        EQUITY   863667101     965       20,000   SH           SOLE        4         20,000
STRYKER CORP.                       EQUITY   863667101    8595      178,137   SH           SOLE        1        178,137
STUDENT LOAN CORP.                  EQUITY   863902102      19          104   SH           SOLE        1            104
STURM, RUGER & CO., INC.            EQUITY   864159108     112       12,434   SH           SOLE        1         12,434
SUFFOLK BANCORP                     EQUITY   864739107     223        6,391   SH           SOLE        1          6,391
SUMMIT PROPERTIES, INC.             EQUITY   866239106     652       20,032   SH           SOLE        1         20,032
SUN BANCORP INC                     EQUITY   86663B102     139        5,708   SH           SOLE        1          5,708
SUN COMMUNITIES, INC.               EQUITY   866674104     467       11,591   SH           SOLE        1         11,591
SUN HEALTHCARE GROUP INC - W/I      EQUITY   866933401      26        2,793   SH           SOLE        1          2,793
SUN MICROSYSTEMS INC                EQUITY   866810104      21        3,822   SH           DEFINED     2                  3,822
SUN MICROSYSTEMS, INC.              EQUITY   866810104    8371    1,553,013   SH           SOLE        1      1,553,013
SUNGARD DATA SYS INC                EQUITY   867363103       9          328   SH           DEFINED     2                    328
SUNGARD DATA SYSTEMS, INC.          EQUITY   867363103    4103      144,817   SH           SOLE        1        144,817
SUNOCO INC                          EQUITY   86764P109       7           83   SH           DEFINED     2                     83
SUNOCO, INC.                        EQUITY   86764P109    2695       32,980   SH           SOLE        1         32,980
SUNOPTA INC                         EQUITY   8676EP108    1527      212,700   SH           DEFINED     2                212,700
SUNRISE SENIOR LIVING INC           EQUITY   86768K106     442        9,531   SH           SOLE        1          9,531
SUNSTONE HOTEL INVESTORS INC        EQUITY   867892101     268       12,904   SH           SOLE        1         12,904
SUNTERRA CORP                       EQUITY   86787D208     153       10,893   SH           SOLE        1         10,893
SUNTRON CORP                        EQUITY   86789P100       5        1,437   SH           SOLE        1          1,437
SUNTRUST BANKS, INC.                EQUITY   867914103   13589      183,937   SH           SOLE        1        183,937
SUNTRUST BKS INC                    EQUITY   867914103      31          421   SH           DEFINED     2                    421
SUPERGEN, INC.                      EQUITY   868059106     208       29,473   SH           SOLE        1         29,473
SUPERIOR ENERGY SERVICES, INC.      EQUITY   868157108     491       31,846   SH           SOLE        1         31,846
SUPERIOR INDUSTRIES INTL, INC.      EQUITY   868168105     381       13,100   SH           SOLE        1         13,100
SUPERTEX INC                        EQUITY   868532102     114        5,242   SH           SOLE        1          5,242
SUPERVALU INC                       EQUITY   868536103       5          153   SH           DEFINED     2                    153
SUPERVALU, INC.                     EQUITY   868536103    2087       60,468   SH           SOLE        1         60,468
SUPPORTSOFT INC                     EQUITY   868587106     142       21,304   SH           SOLE        1         21,304
SUPPORTSOFT INC                     EQUITY   868587106    2320      348,400   SH           DEFINED     2                348,400
SUREWEST COMMUNICATION              EQUITY   868733106     243        8,559   SH           SOLE        1          8,559
SURMODICS INC                       EQUITY   868873100     271        8,330   SH           SOLE        1          8,330
SUSQUEHANNA BANCSHARES, INC.        EQUITY   869099101     675       27,044   SH           SOLE        1         27,044
SWIFT ENERGY CO.                    EQUITY   870738101     469       16,208   SH           SOLE        1         16,208
SWIFT TRANSPORTATION CO., INC.      EQUITY   870756103    3211      149,481   SH           SOLE        1        149,481





                                                                                               
SWS GROUP INC                        EQUITY   78503N107       194        8,863   SH        SOLE      1       8,863
SYBASE, INC.                         EQUITY   871130100      3232      161,996   SH        SOLE      1     161,996
SYBRON DENTAL SPECIALTIES INC.       EQUITY   871142105       799       22,580   SH        SOLE      1      22,580
SYCAMORE NETWORKS, INC               EQUITY   871206108       414      102,036   SH        SOLE      1     102,036
SYKES ENTERPRISES, INC.              EQUITY   871237103       102       14,689   SH        SOLE      1      14,689
SYMANTEC CORP                        EQUITY   871503108      4341      168,521   SH        DEFINED   2                168,521
SYMANTEC CORP.                       EQUITY   871503108     11960      206,690   SH        SOLE      1     206,690
SYMBION INC                          EQUITY   871507109       107        4,862   SH        SOLE      1       4,862
SYMBOL TECHNOLOGIES INC              EQUITY   871508107         5          273   SH        DEFINED   2                    273
SYMBOL TECHNOLOGIES, INC.            EQUITY   871508107      1857      107,327   SH        SOLE      1     107,327
SYMMETRICOM, INC.                    EQUITY   871543104       256       26,351   SH        SOLE      1      26,351
SYMMETRY MED INC COM                 EQUITY   871546206         6       268500   SH        SOLE      3      262600              5900
SYMX TECHNOLOGIES INC.               EQUITY   87155S108       497       16,526   SH        SOLE      1      16,526
SYNAPTICS INC                        EQUITY   87157D109       401       12,917   SH        SOLE      1      12,917
SYNNEX CORP                          EQUITY   87162W100        92        3,843   SH        SOLE      1       3,843
SYNOPSYS INC.                        EQUITY   871607107      5246      268,335   SH        SOLE      1     268,335
SYNOVUS FINANCIAL CORP.              EQUITY   87161C105     10954      383,259   SH        SOLE      1     383,259
SYNOVUS FINL CORP                    EQUITY   87161C105        10          352   SH        DEFINED   2                    352
SYNTEL, INC.                         EQUITY   87162H103        76        4,307   SH        SOLE      1       4,307
SYNTROLEUM CORPORATION               EQUITY   871630109       132       16,485   SH        SOLE      1      16,485
SYPRIS SOLUTIONS INC                 EQUITY   871655106        61        3,960   SH        SOLE      1       3,960
SYSCO CORP.                          EQUITY   871829107     11957      313,257   SH        SOLE      1     313,257
SYSTEMAX INC                         EQUITY   871851101        41        5,651   SH        SOLE      1       5,651
T ROWE PRICE GROUP INC.              EQUITY   74144T108      3529       56,737   SH        SOLE      1      56,737
TAKE-TWO INTERACTIVE SOFTWARE        EQUITY   874054109       911       26,191   SH        SOLE      1      26,191
TALBOTS INC                          EQUITY   874161102        12          449   SH        SOLE      1         449
TALISMAN ENERGY INC.                 EQUITY   87425E103      6948      258,500   SH        DEFINED   1           0    258,500
TALK AMERICA HOLDINGS INC            EQUITY   87426R202       104       15,666   SH        SOLE      1      15,666
TALX CORP                            EQUITY   874918105       207        8,012   SH        SOLE      1       8,012
TANGER FACTORY OUTLET CTRS           EQUITY   875465106       504       19,054   SH        SOLE      1      19,054
TANOX INC                            EQUITY   87588Q109       212       13,936   SH        SOLE      1      13,936
TARGET CORP                          EQUITY   87612E106     12204      235,018   SH        DEFINED   2                235,018
TARGET CORPORATION                   EQUITY   87612E106     57372    1,104,793   SH        SOLE      1   1,104,793
TARRAGON CORP                        EQUITY   876287103        70        3,921   SH        SOLE      1       3,921
TASER INTERNATIONAL INC              EQUITY   87651B104       895       28,283   SH        SOLE      1      28,283
TAUBMAN CENTERS, INC.                EQUITY   876664103      1035       34,558   SH        SOLE      1      34,558
TAYLOR CAPITAL GROUP INC             EQUITY   876851106        77        2,284   SH        SOLE      1       2,284
TBC CORP                             EQUITY   872183108       323       11,618   SH        SOLE      1      11,618
TCF FINANCIAL CORP.                  EQUITY   872275102      7588      236,083   SH        SOLE      1     236,083
TECH DATA CORP.                      EQUITY   878237106      4492       98,936   SH        SOLE      1      98,936
TECHE CORP.                          EQUITY   878377100      3634       93,431   SH        SOLE      1      93,431
TECHNICAL OLYMPIC USA INC            EQUITY   878483106       137        5,400   SH        SOLE      1       5,400
TECHNITROL, INC.                     EQUITY   878555101       431       23,688   SH        SOLE      1      23,688
TECO ENERGY, INC.                    EQUITY   872375100      2508      163,384   SH        SOLE      1     163,384
TECUMSEH PRODUCTS CO. CLASS A        EQUITY   878895200      1943       40,654   SH        SOLE      1      40,654
TEJON RANCH CO.                      EQUITY   879080109       182        4,451   SH        SOLE      1       4,451
TEKELEC                              EQUITY   879101103       595       29,132   SH        SOLE      1      29,132
TEKELEC COM                          EQUITY   879101103        11       524804   SH        SOLE      3      512100             12704
TEKELEC INC                          EQUITY   879101103      3430      167,800   SH        DEFINED   2                167,800
TEKTRONIX INC                        EQUITY   879131100         3          102   SH        DEFINED   2                    102
TEKTRONIX, INC.                      EQUITY   879131100      1221       40,405   SH        SOLE      1      40,405
TELE CENTRO OESTE CELULAR S.A. ADR   EQUITY   87923P105       105       10,687   SH        SOLE      1      10,687
Telebras - Spons ADR Pfd Block       EQUITY   879287308       349        5,500   SH        SOLE      1       5,500
TELECOM DE CHILE SPONS ADR           EQUITY   204449300       225       20,000   SH        SOLE      1      20,000
TELEDYNE TECHOLOGIES INC             EQUITY   879360105       561       19,057   SH        SOLE      1      19,057
TELEFLEX INC.                        EQUITY   879369106      3557       68,482   SH        SOLE      1      68,482
TELEFONOS DE MEXIC ADR-EACH          EQUITY   879403780      6205      149,100   SH        SOLE      1     149,100
TELEKOMUNIKASI INDONESIA - SP ADR    EQUITY   715684106      4429      210,700   SH        SOLE      1     210,700
TELEPHONE AND DATA SYSTEMS           EQUITY   879433100      7666      107,488   SH        SOLE      1     107,488





                                                                                             
TELETECH HOLDINGS                     EQUITY   879939106     214      22,088   SH        SOLE      1      22,088
TELEWEST GLOBAL INC                   EQUITY   87956T107   20175   1,147,597   SH        SOLE      1   1,147,597
TELEWEST GLOBAL INC                   EQUITY   87956T107    5202     295,912   SH        DEFINED   2                295,912
TELIK INC                             EQUITY   87959M109     489      25,553   SH        SOLE      1      25,553
TELIK INC COM                         EQUITY   87959M109       4      206502   SH        SOLE      3      200300              6202
TELLABS INC                           EQUITY   879664100       5         525   SH        DEFINED   2                    525
TELLABS, INC.                         EQUITY   879664100    2494     224,327   SH        SOLE      1     224,327
TELVENT GIT SA SHS (F)                EQUITY   E90215109       4      303000   SH        SOLE      3      303000
TEMPLE INLAND INC                     EQUITY   879868107       4          64   SH        DEFINED   2                     64
TEMPLE-INLAND INC.                    EQUITY   879868107   17254     252,258   SH        SOLE      1     252,258
TEMPUR-PEDIC INTERNATIONAL            EQUITY   88023U101     234      11,042   SH        SOLE      1      11,042
TENARIS SA-ADR                        EQUITY   88031M109    2505      52,479   SH        SOLE      1      52,479
TENET HEALTHCARE CORP.                EQUITY   88033G100    2770     252,284   SH        SOLE      1     252,284
TENNANT CO.                           EQUITY   880345103     177       4,463   SH        SOLE      1       4,463
TENNECO AUTOMOTIVE INC                EQUITY   880349105     424      24,595   SH        SOLE      1      24,595
TERADYNE, INC.                        EQUITY   880770102    1487      87,091   SH        SOLE      1      87,091
TERAYON COMMUNICATION                 EQUITY   880775101     110      40,458   SH        SOLE      1      40,458
TERCICA INC                           EQUITY   88078L105      33       3,341   SH        SOLE      1       3,341
TEREX CORP.                           EQUITY   880779103    1378      28,909   SH        SOLE      1      28,909
TERRA INDS INC COM                    EQUITY   880915103       5      544800   SH        SOLE      3      544800
TERRA INDUSTRIES, INC.                EQUITY   880915103     203      22,916   SH        SOLE      1      22,916
TERREMARK WORLDWIDE INC               EQUITY   881448104     113     176,257   SH        SOLE      1     176,257
TESORO CORP                           EQUITY   881609101    1224      38,408   SH        SOLE      1      38,408
TESSERA TECHNOLOGIES INC              EQUITY   88164L100     945      25,397   SH        SOLE      1      25,397
TETRA TECH, INC.                      EQUITY   88162G103     549      32,819   SH        SOLE      1      32,819
TETRA TECHNOLOGIES, INC.              EQUITY   88162F105     371      13,097   SH        SOLE      1      13,097
TEVA PHARMACEUTICAL ADR               EQUITY   881624209     966      32,350   SH        SOLE      1      32,350
TEVA PHARMACEUTICL                    EQUITY   881624209     190       6,500   SH        DEFINED   2                  6,500
TEXAS CAPITAL BANCSHARES INC          EQUITY   88224Q107     271      12,517   SH        SOLE      1      12,517
TEXAS GENCO HOLDINGS INC              EQUITY   882443104      18         375   SH        SOLE      1         375
TEXAS INDUSTRIES, INC.                EQUITY   882491103     775      12,429   SH        SOLE      1      12,429
TEXAS INSTRS INC                      EQUITY   882508104   15780     640,989   SH        DEFINED   2                640,989
TEXAS INSTRUMENTS, INC.               EQUITY   882508104   19165     778,436   SH        SOLE      1     778,436
TEXAS REGIONAL BANCSHARES, INC CLASS  EQUITY   882673106     788      24,105   SH        SOLE      1      24,105
TEXAS ROADHOUSE INC                   EQUITY   882681109     665      22,500   SH        DEFINED   2                 22,500
TEXAS ROADHOUSE INC-CLASS A           EQUITY   882681109     182       6,149   SH        SOLE      1       6,149
TEXTRON FINANCIAL CORP                EQUITY   883203101    4535      61,447   SH        SOLE      1      61,447
TEXTRON INC                           EQUITY   883203101      12         156   SH        DEFINED   2                    156
THE GENLYTE GROUP, INC.               EQUITY   372302109     611       7,129   SH        SOLE      1       7,129
THE ST JOE COMPANY                    EQUITY   790148100      82       1,280   SH        SOLE      1       1,280
THE ST PAUL TRAVELERS COS             EQUITY   792860108      28         761   SH        DEFINED   2                    761
THE STEAK N SHAKE COMPANY             EQUITY   857873103     287      14,270   SH        SOLE      1      14,270
THE TITAN CORPORATION                 EQUITY   888266103    3098     191,253   SH        SOLE      1     191,253
THE YANKEE CANDLE CO.                 EQUITY   984757104     968      29,189   SH        SOLE      1      29,189
THERMO ELECTRON CORP                  EQUITY   883556102       5         182   SH        DEFINED   2                    182
THERMO ELECTRON CORP.                 EQUITY   883556102    3072     101,763   SH        SOLE      1     101,763
THERMOGENESIS CORP                    EQUITY   883623209     166      26,194   SH        SOLE      1      26,194
THIRD WAVE TECHNOLOGIES               EQUITY   88428W108     142      16,488   SH        SOLE      1      16,488
THOMAS & BETTS CORP.                  EQUITY   884315102    4105     133,502   SH        SOLE      1     133,502
THOMAS INDUSTRIES, INC.               EQUITY   884425109     340       8,519   SH        SOLE      1       8,519
THOMAS NELSON                         EQUITY   640376109     133       5,892   SH        SOLE      1       5,892
THOR INDUSTRIES, INC.                 EQUITY   885160101    4310     116,319   SH        SOLE      1     116,319
THORATEC LABORATORIES CORP.           EQUITY   885175307     274      26,334   SH        SOLE      1      26,334
THORNBURG MORTGAGE INC.               EQUITY   885218107      63       2,187   SH        SOLE      1       2,187
THQ INC                               EQUITY   872443403     511      22,269   SH        SOLE      1      22,269
TIBCO SOFTWARE INC                    EQUITY   88632Q103      64       4,913   SH        SOLE      1       4,913
TIDEWATER INC                         EQUITY   886423102    2817      79,100   SH        DEFINED   2                 79,100
TIDEWATER, INC.                       EQUITY   886423102    5678     159,442   SH        SOLE      1     159,442
TIER TECHNOLOGIES INC                 EQUITY   88650Q100      90       9,736   SH        SOLE      1       9,736





                                                                                                
TIERONE CORP                             EQUITY  88650R108      265       10,666  SH        SOLE      1        10,666
TIFFANY & CO.                            EQUITY  886547108     2088       65,296  SH        SOLE      1        65,296
TIFFANY + CO                             EQUITY  886547108       19          590  SH        DEFINED   2                      590
TIMBERLAND COMPANY                       EQUITY  887100105     3645       58,163  SH        SOLE      1        58,163
TIME WARNER INC                          EQUITY  887317105    92998    4,781,404  SH        SOLE      1     4,781,404
TIME WARNER INC NEW                      EQUITY  887317105    27084    1,393,203  SH        DEFINED   2                1,393,203
TIME WARNER TELECOM                      EQUITY  887319101      127       29,139  SH        SOLE      1        29,139
TIMKEN CO.                               EQUITY  887389104       42        1,619  SH        SOLE      1         1,619
TIPPINGPOINT TECHNOLOGIES                EQUITY  888011103       90        1,925  SH        SOLE      1         1,925
TITANIUM METALS CORPORATION              EQUITY  888339207       93        3,843  SH        SOLE      1         3,843
TIVO INC                                 EQUITY  888706108      157       26,797  SH        SOLE      1        26,797
TJX COMPANIES, INC.                      EQUITY  872540109     5201      206,978  SH        SOLE      1       206,978
TJX COS INC NEW                          EQUITY  872540109       14          548  SH        DEFINED   2                      548
TNS INC                                  EQUITY  872960109       57        2,611  SH        SOLE      1         2,611
TODCO                                    EQUITY  88889T107     4255      231,000  SH        DEFINED   2                  231,000
TODCO-CL A                               EQUITY  88889T107      130        7,076  SH        SOLE      1         7,076
TOLL BROTHERS, INC.                      EQUITY  889478103     8685      126,578  SH        SOLE      1       126,578
TOMPKINS TRUSTCO INC                     EQUITY  890110109      227        4,244  SH        SOLE      1         4,244
TOO INC                                  EQUITY  890333107      494       20,212  SH        SOLE      1        20,212
TOOTSIE ROLL INDUSTRIES, INC.            EQUITY  890516107     3058       88,308  SH        SOLE      1        88,308
TOPPS CO. INC.                           EQUITY  890786106      203       20,815  SH        SOLE      1        20,815
TORCHMARK CORP.                          EQUITY  891027104     2784       48,726  SH        SOLE      1        48,726
TORCHMARK INC                            EQUITY  891027104        7          123  SH        DEFINED   2                      123
TORO CO.                                 EQUITY  891092108     1090       13,393  SH        SOLE      1        13,393
TORONTO DOMINION BK                      EQUITY  891160509     5172      124,700  SH        DEFINED   1             0    124,700
TOTAL SYSTEM SERVICE                     EQUITY  891906109       21          861  SH        SOLE      1           861
TOWER AUTOMOTIVE, INC.                   EQUITY  891707101       81       34,082  SH        SOLE      1        34,082
TOWER GROUP INC                          EQUITY  891777104      105        8,759  SH        SOLE      1         8,759
TOWN & COUNTRY TRUST                     EQUITY  892081100      336       12,173  SH        SOLE      1        12,173
TOYS R US INC                            EQUITY  892335100        5          244  SH        DEFINED   2                      244
TOYS R US INC.                           EQUITY  892335100     1980       96,705  SH        SOLE      1        96,705
TRACTOR SUPPLY CO                        EQUITY  892356106      679       18,261  SH        SOLE      1        18,261
TRADESTATION GROUP INC                   EQUITY  89267P105       77       11,024  SH        SOLE      1        11,024
TRAMMELL CROW CO.                        EQUITY  89288R106      348       19,214  SH        SOLE      1        19,214
TRANS WORLD ENTERTAINMENT CORP           EQUITY  89336Q100      161       12,942  SH        SOLE      1        12,942
TRANSACT TECHNOLOGIES INC                EQUITY  892918103      107        5,019  SH        SOLE      1         5,019
TRANSACTION SYSTEMS ARCHITECTS CLASSS    EQUITY  893416107     1682       84,732  SH        SOLE      1        84,732
TRANSATLANTIC HOLDINGS INC               EQUITY  893521104       40          648  SH        SOLE      1           648
TRANSATLANTIC HOLDINGS INC               EQUITY  893521104  2417099   39,092,662  SH        SOLE      1    39,112,562
TRANSKARYOTIC THERAPIES IN               EQUITY  893735100     2539      100,000  SH        DEFINED   2                  100,000
TRANSKARYOTIC THERAPIES, INC.            EQUITY  893735100      437       17,203  SH        SOLE      1        17,203
TRANSMETA CORP                           EQUITY  89376R109      154       94,256  SH        SOLE      1        94,256
TRANSMONTAIGNE, INC.                     EQUITY  893934109       78       12,741  SH        SOLE      1        12,741
TRANSOCEAN INC                           EQUITY  G90078109    27380      645,902  SH        SOLE      1       645,902
TRANSOCEAN INC                           EQUITY  G90078109    20544      484,654  SH        DEFINED   2                  484,654
TRANSOCEAN INC ORD                       EQUITY  G90078109        1        16800  SH        SOLE      3         16800
TRAVELZOO INC                            EQUITY  89421Q106       91          956  SH        SOLE      1           956
TRC COS INC                              EQUITY  872625108       91        5,338  SH        SOLE      1         5,338
TREDEGAR CORP.                           EQUITY  894650100      329       16,270  SH        SOLE      1        16,270
TREX COMPANY, INC.                       EQUITY  89531P105      316        6,033  SH        SOLE      1         6,033
TRIAD GUARANTY, INC.                     EQUITY  895925105      331        5,475  SH        SOLE      1         5,475
TRIAD HOSPITALS, INC.                    EQUITY  89579K109     4872      130,932  SH        SOLE      1       130,932
TRIARC COS-B                             EQUITY  895927309      257       20,959  SH        SOLE      1        20,959
TRIBUNE CO NEW                           EQUITY  896047107       15          361  SH        DEFINED   2                      361
TRIBUNE CO.                              EQUITY  896047107     5809      137,851  SH        SOLE      1       137,851
TRICO BANCSHARES                         EQUITY  896095106      154        6,573  SH        SOLE      1         6,573
TRIDENT MICROSYSTEMS INC                 EQUITY  895919108      184       11,004  SH        SOLE      1        11,004
TRIMBLE NAVIGATION LTD.                  EQUITY  896239100      981       29,685  SH        SOLE      1        29,685
TRIMERIS INC                             EQUITY  896263100      130        9,159  SH        SOLE      1         9,159





                                                                                             
Trinity Biotech PLC ADR           EQUITY   896438108       957      320,000   SH       SOLE      1       320,000
TRINITY INDUSTRIES, INC.          EQUITY   896522109      3453      101,329   SH       SOLE      1       101,329
TRIPATH IMAGIN INC                EQUITY   896942109       145       16,144   SH       SOLE      1        16,144
TRIPATH TECHNOLOGY                EQUITY   89672P104        25       20,084   SH       SOLE      1        20,084
TRIQUINT SEMICONDUCTOR, INC.      EQUITY   89674K103      1383      310,717   SH       SOLE      1       310,717
TRITON PCS HOLDINGS               EQUITY   89677M106        77       22,411   SH       SOLE      1        22,411
TRIUMPH GROUP, INC.               EQUITY   896818101       368        9,309   SH       SOLE      1         9,309
TRIZEC HAHN CORP SUB VTG          EQUITY   89687P107                  16980   SH       SOLE      3                            16980
TRIZEC PROPERTIES INC             EQUITY   89687P107       363       19,172   SH       SOLE      1        19,172
TRIZETTO GROUP INC                EQUITY   896882107       175       18,398   SH       SOLE      1        18,398
TRUSTCO BANK CORP. NY             EQUITY   898349105       602       43,690   SH       SOLE      1        43,690
TRUSTMARK CORP.                   EQUITY   898402102       858       27,618   SH       SOLE      1        27,618
TRW AUTOMOTIVE HOLDINGS CORP      EQUITY   87264S106        12          594   SH       SOLE      1           594
TTM TECHONOLOGIES                 EQUITY   87305R109       282       23,926   SH       SOLE      1        23,926
TUESDAY MORNING CORPORATION       EQUITY   899035505       463       15,110   SH       SOLE      1        15,110
TUMBLEWEED COMMUNICATIONS CP      EQUITY   899690101        93       27,991   SH       SOLE      1        27,991
TUPPERWARE CORP.                  EQUITY   899896104      6821      329,218   SH       SOLE      1       329,218
TXU CORP                          EQUITY   873168108      7039      109,024   SH       SOLE      1       109,024
TXU CORP                          EQUITY   873168108        18          273   SH       DEFINED   2                      273
TYCO INTERNATIONAL, LTD.          EQUITY   902124106     39532    1,106,095   SH       SOLE      1     1,106,095
TYCO INTL LTD                     EQUITY   902124106     26260      734,766   SH       DEFINED   2                  734,766
TYLER TECHNOLOGIES INC            EQUITY   902252105       180       21,552   SH       SOLE      1        21,552
TYSON FOODS, INC. CLASS A         EQUITY   902494103     10996      597,605   SH       SOLE      1       597,605
U S XPRESS ENTERPRISES            EQUITY   90338N103        99        3,376   SH       SOLE      1         3,376
U.S. BANCORP, INC.                EQUITY   902973304     50135    1,600,746   SH       SOLE      1     1,600,746
U.S. RESTAURANT PROPERTIES INC    EQUITY   902971100       283       15,672   SH       SOLE      1        15,672
U.S.B. HOLDING CO., INC.          EQUITY   902910108       168        6,756   SH       SOLE      1         6,756
UAP HOLDING CORP                  EQUITY   903441103       279       16,161   SH       SOLE      1        16,161
UBIQUITEL INC                     EQUITY   903474302       294       41,309   SH       SOLE      1        41,309
UCBH HOLDINGS INC                 EQUITY   90262T308        48        1,046   SH       SOLE      1         1,046
UGI CORP.                         EQUITY   902681105        51        1,257   SH       SOLE      1         1,257
UICI                              EQUITY   902737105       751       22,166   SH       SOLE      1        22,166
UIL HOLDINGS CORP.                EQUITY   902748102       376        7,329   SH       SOLE      1         7,329
ULTICOM INC                       EQUITY   903844108        97        6,074   SH       SOLE      1         6,074
ULTIMATE SOFTWARE GROUP INC       EQUITY   90385D107       122        9,625   SH       SOLE      1         9,625
ULTRALIFE BATTERIES INC           EQUITY   903899102       160        8,246   SH       SOLE      1         8,246
ULTRATECH , INC.                  EQUITY   904034105       235       12,442   SH       SOLE      1        12,442
UMB FINANCIAL CORP.               EQUITY   902788108       502        8,858   SH       SOLE      1         8,858
UMPQUA HOLDINGS CORP              EQUITY   904214103       647       25,684   SH       SOLE      1        25,684
UNIFIRST CORP.                    EQUITY   904708104       150        5,312   SH       SOLE      1         5,312
UNION BANKSHARES CORP             EQUITY   905399101       196        5,097   SH       SOLE      1         5,097
UNION PAC CORP                    EQUITY   907818108        20          295   SH       DEFINED   2                      295
UNION PACIFIC CORP.               EQUITY   907818108      7426      110,425   SH       SOLE      1       110,425
UNIONBANCAL CORP                  EQUITY   908906100        89        1,378   SH       SOLE      1         1,378
UNISOURCE ENERGY CORP.            EQUITY   909205106       483       20,051   SH       SOLE      1        20,051
UNISYS CORP                       EQUITY   909214108         4          382   SH       DEFINED   2                      382
UNISYS CORP.                      EQUITY   909214108      1618      158,923   SH       SOLE      1       158,923
UNIT CORP.                        EQUITY   909218109       846       22,152   SH       SOLE      1        22,152
UNITED AUTO GROUP, INC.           EQUITY   909440109       333       11,247   SH       SOLE      1        11,247
UNITED BANKSHARES INC. WV         EQUITY   909907107       839       21,983   SH       SOLE      1        21,983
UNITED CMNTY BKS BLAIR            EQUITY   90984P105       450       16,704   SH       SOLE      1        16,704
UNITED COMMUNITY FINANCIAL CO     EQUITY   909839102       178       15,852   SH       SOLE      1        15,852
UNITED DEFENSE INDS COM           EQUITY   91018B104         7       158124   SH       SOLE      3        154500               3624
UNITED DEFENSE INDS IN            EQUITY   91018B104        52        1,092   SH       SOLE      1         1,092
UNITED DOMINION REALTY TRUST      EQUITY   910197102      5949      239,870   SH       SOLE      1       239,870
UNITED DOMINION RLTYTR COM        EQUITY   910197102                  14310   SH       SOLE      3                            14310
UNITED FIRE & CASUALTY CO.        EQUITY   910331107       285        8,446   SH       SOLE      1         8,446
UNITED INDL CORP COM              EQUITY   910671106         4        97200   SH       SOLE      3         97200
UNITED INDUSTRIAL CORP            EQUITY   910671106       227        5,854   SH       SOLE      1         5,854





                                                                              
UNITED MOBILE HOMES INC         EQUITY  911024107     15      980  SH         SOLE      1       980
UNITED NATURAL FOODS, INC.      EQUITY  911163103    723   23,254  SH         SOLE      1    23,254
UNITED ONLINE INC               EQUITY  911268100    360   31,265  SH         SOLE      1    31,265
UNITED PANAM FINANCIAL CORP     EQUITY  911301109     52    2,712  SH         SOLE      1     2,712
UNITED PARCEL SERVICE CLASS -B  EQUITY  911312106  48057  562,333  SH         SOLE      1   562,333
UNITED PARCEL SVC INC           EQUITY  911312106  24255  283,830  SH         DEFINED   2            283,830
UNITED RENTALS, INC.            EQUITY  911363109   2947  155,925  SH         SOLE      1   155,925
UNITED STATES STEEL CORP        EQUITY  912909108   2619   51,108  SH         SOLE      1    51,108
UNITED STATIONERS, INC.         EQUITY  913004107    919   19,882  SH         SOLE      1    19,882
UNITED STS STL CORP NEW         EQUITY  912909108      7      129  SH         DEFINED   2                129
UNITED SURGICAL PARTNE          EQUITY  913016309    689   16,512  SH         SOLE      1    16,512
UNITED SURGICAL PARTNERS        EQUITY  913016309   1126   27,000  SH         DEFINED   2             27,000
UNITED TECHNOLOGIES CORP        EQUITY  913017109  28244  273,281  SH         DEFINED   2            273,281
UNITED TECHNOLOGIES CORP.       EQUITY  913017109  24542  237,461  SH         SOLE      1   237,461
UNITED THERAPEUTICS CORP.       EQUITY  91307C102    501   11,098  SH         SOLE      1    11,098
UNITEDGLOBALCOM INC. CLASS A    EQUITY  913247508     79    8,144  SH         SOLE      1     8,144
UNITEDHEALTH GROUP INC          EQUITY  91324P102  27823  316,067  SH         SOLE      1   316,067
UNITEDHEALTH GROUP INC          EQUITY  91324P102    402    4,628  SH         DEFINED   2              4,628
UNITRIN, INC.                   EQUITY  913275103   5278  116,123  SH         SOLE      1   116,123
UNIVERSAL AMER FINANCIAL CORP   EQUITY  913377107    240   15,519  SH         SOLE      1    15,519
UNIVERSAL COMPRESSION HLDGS     EQUITY  913431102    352   10,097  SH         SOLE      1    10,097
UNIVERSAL CORP.                 EQUITY  913456109   2754   57,563  SH         SOLE      1    57,563
UNIVERSAL DISPLAY CORP.         EQUITY  91347P105    110   12,214  SH         SOLE      1    12,214
UNIVERSAL ELECTRONICS INC.      EQUITY  913483103    139    7,923  SH         SOLE      1     7,923
UNIVERSAL FOREST PRODUCTS, INC  EQUITY  913543104    402    9,254  SH         SOLE      1     9,254
UNIVERSAL HEALTH REALTY INCOME  EQUITY  91359E105    264    8,211  SH         SOLE      1     8,211
UNIVERSAL HEALTH SERVICES - B   EQUITY  913903100   4408   99,059  SH         SOLE      1    99,059
UNIVERSAL TECHNICAL INSTITUT    EQUITY  913915104    316    8,301  SH         SOLE      1     8,301
UNIVEST CORP OF PENNSYLVANIA    EQUITY  915271100    203    4,420  SH         SOLE      1     4,420
UNIVISION COMMUNICATIONS I      EQUITY  914906102     11      367  SH         DEFINED   2                367
UNIVISION COMMUNICATIONS, INC.  EQUITY  914906102   4185  142,981  SH         SOLE      1   142,981
UNIZAN FINANCIAL CORP           EQUITY  91528W101    337   12,773  SH         SOLE      1    12,773
UNOCAL CORP                     EQUITY  915289102     13      299  SH         DEFINED   2                299
UNOCAL CORP.                    EQUITY  915289102   5789  133,882  SH         SOLE      1   133,882
UNOVA, INC.                     EQUITY  91529B106    710   28,079  SH         SOLE      1    28,079
UNUMPROVIDENT CORP              EQUITY  91529Y106      6      337  SH         DEFINED   2                337
UNUMPROVIDENT CORP.             EQUITY  91529Y106   3627  202,165  SH         SOLE      1   202,165
URBAN OUTFITTERS, INC.          EQUITY  917047102   6076  136,857  SH         SOLE      1   136,857
UROLOGIX INC                    EQUITY  917273104     53    8,257  SH         SOLE      1     8,257
URS CORP.                       EQUITY  903236107    591   18,412  SH         SOLE      1    18,412
URSTADT BIDDLE [A]              EQUITY  917286205    246   14,439  SH         SOLE      1    14,439
US AIRWAYS GROUP INC-CL A       EQUITY  911905503      9    7,955  SH         SOLE      1     7,955
US BANCORP DEL                  EQUITY  902973304  14145  451,622  SH         DEFINED   2            451,622
US CELLULAR                     EQUITY  911684108   6704  239,471  SH         SOLE      1       610
US CONCRETE INC                 EQUITY  90333L102     95   12,410  SH         SOLE      1    12,410
USA MOBILITY INC                EQUITY  90341G103    519   14,697  SH         SOLE      1    14,697
USANA HEALTH SCIENCES INC       EQUITY  90328M107    211    6,169  SH         SOLE      1     6,169
USEC, INC                       EQUITY  90333E108    475   49,036  SH         SOLE      1    49,036
USF CORP                        EQUITY  91729Q101    616   16,229  SH         SOLE      1    16,229
USG CORP.                       EQUITY  903293405    762   18,915  SH         SOLE      1    18,915
USI HOLDINGS CORP               EQUITY  90333H101    239   20,698  SH         SOLE      1    20,698
UST INC                         EQUITY  902911106      9      188  SH         DEFINED   2                188
UST INC.                        EQUITY  902911106  24615  511,648  SH         SOLE      1   511,648
U-STORE-IT TRUST                EQUITY  91274F104    262   15,128  SH         SOLE      1    15,128
UTSTARCOM INC                   EQUITY  918076100   4293  193,793  SH         SOLE      1   193,793
V F CORP                        EQUITY  918204108      7      126  SH         DEFINED   2                126
V. F. CORP.                     EQUITY  918204108   2733   49,344  SH         SOLE      1    49,344
VAIL RESORTS, INC.              EQUITY  91879Q109   2144   95,622  SH         SOLE      1    95,622
VALANCE TECHNOLOGY, INC         EQUITY  918914102    106   33,930  SH         SOLE      1    33,930





                                                                                    
VALASSIS COMMUNICATIONS IN      EQUITY  918866104   2741     78,300  SH          DEFINED   2                78,300
VALASSIS COMMUNICATIONS, INC.   EQUITY  918866104   4082    116,590  SH          SOLE      1      116,590
VALEANT PHARMACEUTICALS INTE    EQUITY  91911X104   5012    190,225  SH          SOLE      1      190,225
VALERO ENERGY CORP              EQUITY  91913Y100     13        292  SH          DEFINED   2                   292
VALERO ENERGY CORP.             EQUITY  91913Y100   5244    115,512  SH          SOLE      1      115,512
VALHI INC                       EQUITY  918905100     96      5,962  SH          SOLE      1        5,962
VALLEY NATIONAL BANC            EQUITY  919794107     67      2,430  SH          SOLE      1        2,430
VALMONT INDUSTRIES, INC.        EQUITY  920253101    212      8,447  SH          SOLE      1        8,447
VALSPAR CORP.                   EQUITY  920355104   4374     87,468  SH          SOLE      1       87,468
VALUE LINE, INC.                EQUITY  920437100     32        801  SH          SOLE      1          801
VALUECLICK INC.                 EQUITY  92046N102    619     46,428  SH          SOLE      1       46,428
VALUEVISION MEDIA INC           EQUITY  92047K107    147     10,555  SH          SOLE      1       10,555
VARCO INTERNATIONAL             EQUITY  922122106   5016    172,070  SH          SOLE      1      172,070
VARIAN MEDICAL SYSTEMS INC      EQUITY  92220P105   9991    231,058  SH          SOLE      1      231,058
VARIAN SEMICONDUCTOR EQUIPMENT  EQUITY  922207105    785     21,313  SH          SOLE      1       21,313
VARIAN, INC.                    EQUITY  922206107   3222     78,560  SH          SOLE      1       78,560
VCA ANTECH INC                  EQUITY  918194101   2719    139,154  SH          SOLE      1      139,154
VECTOR GROUP LTD.               EQUITY  92240M108   1045     62,822  SH          SOLE      1       62,822
VECTREN CORP                    EQUITY  92240G101   3467    129,374  SH          SOLE      1      129,374
VEECO INSTRUMENTS, INC.         EQUITY  922417100    320     15,170  SH          SOLE      1       15,170
VENTANA MEDICAL SYSTEMS, INC.   EQUITY  92276H106   1758     27,478  SH          SOLE      1       27,478
VENTAS INC COM                  EQUITY  92276F100              9410  SH          SOLE      3                        9410
VENTAS, INC.                    EQUITY  92276F100    313     11,411  SH          SOLE      1       11,411
VENTIV HEALTH                   EQUITY  922793104    220     10,845  SH          SOLE      1       10,845
VERINT SYSTEMS                  EQUITY  92343X100    249      6,859  SH          SOLE      1        6,859
VERISIGN INC                    EQUITY  92343E102  10532    314,200  SH          DEFINED   2               314,200
VERISIGN INC COM                EQUITY  92343E102      5     138500  SH          SOLE      3       135500           3000
VERISIGN, INC.                  EQUITY  92343E102    764     22,741  SH          SOLE      1       22,741
VERITAS DGC, INC.               EQUITY  92343P107    448     19,973  SH          SOLE      1       19,973
VERITAS SOFTWARE CORP           EQUITY  923436109     14        480  SH          DEFINED   2                   480
VERITAS SOFTWARE CORP.          EQUITY  923436109  10130    354,833  SH          SOLE      1      354,833
VERITY INC COM                  EQUITY  92343C106    229     17,479  SH          SOLE      1       17,479
VERIZON COMMUNICATIONS          EQUITY  92343V104  76775  1,897,664  SH          SOLE      1    1,897,664
VERIZON COMMUNICATIONS          EQUITY  92343V104  15311    377,947  SH          DEFINED   2               377,947
Verizon Communications          EQUITY  92343V104   1620     40,000  SH          SOLE      4       40,000
VERSO TECHNOLOGIES INC          EQUITY  925317109     56     78,039  SH          SOLE      1       78,039
VERTEX PHARMACEUTICALS, INC.    EQUITY  92532F100   1911    180,789  SH          SOLE      1      180,789
VERTRUE INC                     EQUITY  92534N101    124      3,292  SH          SOLE      1        3,292
VESTA INSURANCE GROUP, INC.     EQUITY  925391104     78     21,177  SH          SOLE      1       21,177
VIACOM INC                      EQUITY  925524308  13719    376,989  SH          DEFINED   2               376,989
Viacom Inc                      EQUITY  925524308    728     20,000  SH          SOLE      4       20,000
VIACOM INC CLASS A              EQUITY  925524100     33        890  SH          DEFINED   2                   890
VIACOM, INC. CLASS B            EQUITY  925524308  31766    872,933  SH          SOLE      1      872,933
VIAD CORP                       EQUITY  92552R406     15        534  SH          SOLE      1          534
VIASAT, INC.                    EQUITY  92552V100    297     12,226  SH          SOLE      1       12,226
VIASYS HEALTHCARE INC           EQUITY  92553Q209    343     18,073  SH          SOLE      1       18,073
VICOR CORP.                     EQUITY  925815102    147     11,228  SH          SOLE      1       11,228
VICURON PHARMACEUTICALS         EQUITY  926471103    525     30,130  SH          SOLE      1       30,130
VIGNETTE CORPORATION            EQUITY  926734104    236    169,528  SH          SOLE      1      169,528
VIISAGE TECHNOLOGY INC          EQUITY  92675K106    159     17,682  SH          SOLE      1       17,682
VIMPEL-COMMUNICATIONS-SP ADR    EQUITY  68370R109   2826     78,200  SH          SOLE      1       78,200
VINTAGE PETROLEUM, INC.         EQUITY  927460105    675     29,764  SH          SOLE      1       29,764
VION PHARMACEUTICALS INC        EQUITY  927624106    152     32,502  SH          SOLE      1       32,502
VIRGINIA COMMERCE BANCORP       EQUITY  92778Q109    113      3,999  SH          SOLE      1        3,999
VIRGINIA FINL CORP              EQUITY  927810101    154      4,200  SH          SOLE      1        4,200
VISHAY INTERTECHNOLOGY, INC.    EQUITY  928298108   4239    282,248  SH          SOLE      1      282,248
VISTACARE INC-CL A              EQUITY  92839Y109     88      5,285  SH          SOLE      1        5,285
VISTEON CORP                    EQUITY  92839U107      1        147  SH          DEFINED   2                   147
VISTEON CORP.                   EQUITY  92839U107   1279    130,915  SH          SOLE      1      130,915





                                                                                              
VISX, INC.                            EQUITY  92844S105    4686    181,133    SH           SOLE      1      181,133
VITAL SIGNS, INC.                     EQUITY  928469105     128      3,294    SH           SOLE      1        3,294
VITESSE SEMICONDUCTOR CORP            EQUITY  928497106     826    234,000    SH           DEFINED   2                234,000
VITESSE SEMICONDUCTOR CORP.           EQUITY  928497106     450    127,447    SH           SOLE      1      127,447
VNUS MED TECHNOLOGIES INC             EQUITY  928566108     557     41,200    SH           DEFINED   2                 41,200
VNUS MEDICAL TECHNOLOGIES             EQUITY  928566108      42      3,139    SH           SOLE      1        3,139
VOLT INFORMATION SCIENCES INC.        EQUITY  928703107     137      4,652    SH           SOLE      1        4,652
VOLTERRA SEMICONDUCTOR CORP           EQUITY  928708106      59      2,655    SH           SOLE      1        2,655
Volvo AB-Sponsored ADR USD            EQUITY  928856400     401     11,370    SH           SOLE      1       11,370
VON PHARMACEUTICLS INC                EQUITY  927624106     469    100,000    SH           DEFINED   2                100,000
VORNADO                               EQUITY  929042109    1253     16,463    SH           SOLE      1       16,463
VORNADO RLTY TR SH BEN INT            EQUITY  929042109       1      14090    SH           SOLE      3                         14090
VOTORANTIM CELULOSE - SPON ADR        EQUITY  92906P106    2698    166,523    SH           SOLE      1      166,523
VULCAN MATERIALS CO.                  EQUITY  929160109    2515     46,054    SH           SOLE      1       46,054
VULCAN MATLS CO                       EQUITY  929160109       6        116    SH           DEFINED   2                    116
W HOLDING COMPANY INC.                EQUITY  929251106      40      1,735    SH           SOLE      1        1,735
W. R. BERKLEY CORP.                   EQUITY  084423102    6743    142,960    SH           SOLE      1      142,960
W. W. GRAINGER, INC.                  EQUITY  384802104    2679     40,220    SH           SOLE      1       40,220
Wabash National Corp                  EQUITY  929566107     269     10,000    SH           SOLE      4       10,000
WABASH NATIONAL CORP.                 EQUITY  929566107     480     17,816    SH           SOLE      1       17,816
WABTEC                                EQUITY  929740108     497     23,322    SH           SOLE      1       23,322
WACHOVIA CORP                         EQUITY  929903102  116452  2,222,296    SH           SOLE      1    2,222,296
Wachovia Corp                         EQUITY  929903102    2104     40,000    SH           SOLE      4       40,000
WACHOVIA CORP 2ND NEW                 EQUITY  929903102      96      1,823    SH           DEFINED   2                  1,823
WADDELL & REED FINANCIAL, INC.        EQUITY  930059100    3359    140,610    SH           SOLE      1      140,610
WAL MART STORES INC                   EQUITY  931142103   31704    600,223    SH           DEFINED   2                600,223
WALGREEN CO                           EQUITY  931422109      45      1,162    SH           DEFINED   2                  1,162
WALGREEN CO.                          EQUITY  931422109   16607    432,802    SH           SOLE      1      432,802
WAL-MART STORES, INC.                 EQUITY  931142103  135375  2,562,957    SH           SOLE      1    2,562,957
WALT DISNEY                           EQUITY  254687106   43011  1,547,142    SH           SOLE      1    1,547,142
WALTER INDUSTRIES, INC.               EQUITY  93317Q105     505     14,970    SH           SOLE      1       14,970
WARNACO GROUP INC                     EQUITY  934390402     582     26,953    SH           SOLE      1       26,953
WASHINGTON FEDERAL I                  EQUITY  938824109    3557    134,035    SH           SOLE      1      134,035
WASHINGTON GROUP INTL INC             EQUITY  938862208     611     14,806    SH           SOLE      1       14,806
WASHINGTON MUT INC                    EQUITY  939322103      42        992    SH           DEFINED   2                    992
WASHINGTON MUTUAL INC                 EQUITY  939322103   55659  1,316,442    SH           SOLE      1    1,316,442
WASHINGTON POST CO. CLASS B           EQUITY  939640108   15952     16,228    SH           SOLE      1       16,228
WASHINGTON REAL ESTATE INV.           EQUITY  939653101     989     29,201    SH           SOLE      1       29,201
WASHINGTON TRUST BANCORP, INC.        EQUITY  940610108     228      7,771    SH           SOLE      1        7,771
WASTE CONNECTIONS                     EQUITY  941053100      70      2,070    SH           DEFINED   2                  2,070
WASTE CONNECTIONS, INC.               EQUITY  941053100     965     28,186    SH           SOLE      1       28,186
WASTE MANAGEMENT, INC.                EQUITY  94106L109    7743    258,631    SH           SOLE      1      258,631
WASTE MGMT INC DEL                    EQUITY  94106L109      19        650    SH           DEFINED   2                    650
WATCHGUARD TECH. INC.                 EQUITY  941105108      87     19,652    SH           SOLE      1       19,652
WATER PIK TECHNOLOGIES INC            EQUITY  94113U100     103      5,829    SH           SOLE      1        5,829
WATERS CORP                           EQUITY  941848103       6        137    SH           DEFINED   2                    137
WATERS CORP.                          EQUITY  941848103    3133     66,964    SH           SOLE      1       66,964
WATSCO, INC.                          EQUITY  942622200     460     13,067    SH           SOLE      1       13,067
WATSON PHARMACEUTICALS, INC           EQUITY  942683103    1616     49,250    SH           SOLE      1       49,250
WATSON WYATT & CO HOLDINGS            EQUITY  942712100     509     18,904    SH           SOLE      1       18,904
WATTS WATER TECHNOLOGIES INC., CLASS  EQUITY  942749102     452     14,016    SH           SOLE      1       14,016
WAUSAU-MOSINEE PAPER CORP.            EQUITY  943315101     479     26,811    SH           SOLE      1       26,811
WAYPOINT FINANCIAL CORP.              EQUITY  946756103     498     17,571    SH           SOLE      1       17,571
WCI COMMUNITIES INC                   EQUITY  92923C104     582     19,807    SH           SOLE      1       19,807
WD-40 CO.                             EQUITY  929236107     285     10,017    SH           SOLE      1       10,017
WEATHERFORDNINTL LTD                  EQUITY  G95089101   11691    227,900    SH           SOLE      1      227,900
WEBEX COMMUNICATIONS INC (USD)        EQUITY  94767L109     421     17,688    SH           SOLE      1       17,688
WEBEX COMMUNICATNS INC COM            EQUITY  94767L109       5     198582    SH           SOLE      3       195300            3282
WEBMD CORPORATION                     EQUITY  94769M105      60      7,399    SH           SOLE      1        7,399





                                                                                       
WEBMETHODS INC                  EQUITY  94768C108    196     27,160    SH         SOLE      1     27,160
WEBSENSE INC                    EQUITY  947684106    681     13,435    SH         SOLE      1     13,435
WEBSENSE INC                    EQUITY  947684106     10     205049    SH         SOLE      3     201619                3430
WEBSIDESTORY                    EQUITY  947685103     42      3,346    SH         SOLE      1      3,346
WEBSTER FINANCIAL CORP.         EQUITY  947890109   4572     90,289    SH         SOLE      1     90,289
WEIGHT WATCHERS INTL INC        EQUITY  948626106     39        939    SH         SOLE      1        939
WEINGARTEN REALTY INVESTORS     EQUITY  948741103   6452    160,893    SH         SOLE      1    160,893
WEINGARTEN RLTY INVS SH BEN IN  EQUITY  948741103              9930    SH         SOLE      3                           9930
WEIS MARKETS INC                EQUITY  948849104    254      6,592    SH         SOLE      1      6,592
WELLCARE HEALTH PLANS INC       EQUITY  94946T106    173      5,314    SH         SOLE      1      5,314
WELLCHOICE INC                  EQUITY  949475107     29        548    SH         SOLE      1        548
WELLMAN, INC.                   EQUITY  949702104    200     18,721    SH         SOLE      1     18,721
WELLPOINT INC                   EQUITY  94973V107  20036    174,229    SH         SOLE      1    174,229
WELLPOINT INC                   EQUITY  94973V107  23533    204,635    SH         DEFINED   2                  204,635
WELLS FARGO + CO NEW            EQUITY  949746101  13239    213,023    SH         DEFINED   2                  213,023
WELLS FARGO CO.                 EQUITY  949746101  54298    873,666    SH         SOLE      1    873,666
WENDY'S INTERNATIONAL, INC.     EQUITY  950590109   2015     51,319    SH         SOLE      1     51,319
WENDYS INTL INC                 EQUITY  950590109   7743    197,230    SH         DEFINED   2                  197,230
WERNER ENTERPRISES, INC.        EQUITY  950755108   3631    160,373    SH         SOLE      1    160,373
WESBANCO, INC.                  EQUITY  950810101    349     10,925    SH         SOLE      1     10,925
WESCO FINANCIAL CORP            EQUITY  950817106     12         31    SH         SOLE      1         31
WESCO INTERNATIONAL, INC.       EQUITY  95082P105    312     10,532    SH         SOLE      1     10,532
WEST BANCORPORATION             EQUITY  95123P106    174      9,898    SH         SOLE      1      9,898
WEST COAST BANCORP              EQUITY  952145100    224      8,830    SH         SOLE      1      8,830
WEST CORPORATION                EQUITY  952355105     16        472    SH         SOLE      1        472
WEST MARINE INC                 EQUITY  954235107    195      7,881    SH         SOLE      1      7,881
WEST PHARMACEUTICAL SERVICES    EQUITY  955306105    436     17,410    SH         SOLE      1     17,410
WESTAMERICA BANKCORPORATION     EQUITY  957090103   4201     72,038    SH         SOLE      1     72,038
WESTAR ENERGY                   EQUITY  95709T100   3344    146,210    SH         SOLE      1    146,210
WESTCORP                        EQUITY  957907108     25        552    SH         SOLE      1        552
WESTELL TECHNOLOGIES INC-A      EQUITY  957541105    197     28,900    SH         SOLE      1     28,900
WESTERN DIGITIAL CORP.          EQUITY  958102105     55      5,059    SH         SOLE      1      5,059
WESTERN GAS RESOURCES, INC.     EQUITY  958259103   3668    125,412    SH         SOLE      1    125,412
WESTERN SIERRA BANCORP          EQUITY  959522103    144      3,756    SH         SOLE      1      3,756
WESTERN WIRELESS CORP. CLASS A  EQUITY  95988E204     56      1,909    SH         SOLE      1      1,909
WESTFIELD FINANCIAL IN          EQUITY  96008D101     74      2,863    SH         SOLE      1      2,863
WESTLAKE CHEM CORP COM          EQUITY  960413102     13     390100    SH         SOLE      3     380800                9300
WESTLAKE CHEMICAL CORP          EQUITY  960413102    231      6,907    SH         SOLE      1      6,907
WESTWOOD ONE, INC.              EQUITY  961815107   4385    162,848    SH         SOLE      1    162,848
WEYCO GROUP INC                 EQUITY  962149100     69      1,599    SH         SOLE      1      1,599
WEYERHAEUSER CO                 EQUITY  962166104     18        273    SH         DEFINED   2                      273
WEYERHAEUSER CO.                EQUITY  962166104   6859    102,034    SH         SOLE      1    102,034
WFS FINANCIAL, INC.             EQUITY  92923B106      8        159    SH         SOLE      1        159
WGL HOLDINGS INC.               EQUITY  92924F106   5277    171,097    SH         SOLE      1    171,097
W-H ENERGY SERVICES INC         EQUITY  92925E108    321     14,364    SH         SOLE      1     14,364
WHEATON RIVER MINERALS LTD      EQUITY  962902102   5553  1,713,800    SH         DEFINED   1          0     1,713,800
WHEELING-PITTSBURG CORP         EQUITY  963142302    184      4,762    SH         SOLE      1      4,762
WHIRLPOOL CORP                  EQUITY  963320106      5         75    SH         DEFINED   2                       75
WHIRLPOOL CORP.                 EQUITY  963320106   2073     29,948    SH         SOLE      1     29,948
WHITING PETROLEUM CORP          EQUITY  966387102    479     15,835    SH         SOLE      1     15,835
WHITNEY HOLDING CORP.           EQUITY  966612103     45      1,000    SH         SOLE      1      1,000
WHOLE FOODS MARKET I            EQUITY  966837106  10511    110,234    SH         SOLE      1    110,234
WILD OATS MARKETS, INC.         EQUITY  96808B107    147     16,705    SH         SOLE      1     16,705
WILLIAMS COMPANIES, INC.        EQUITY  969457100   4135    253,817    SH         SOLE      1    253,817
WILLIAMS COS INC                EQUITY  969457100     10        632    SH         DEFINED   2                      632
WILLIAMS SONOMA INC             EQUITY  969904101   5766    164,500    SH         DEFINED   2                  164,500
WILLIAMS-SONOMA, INC.           EQUITY  969904101   6929    197,759    SH         SOLE      1    197,759
WILLIS GROUP HOLDINGS LTD       EQUITY  G96655108  20392    495,300    SH         SOLE      1    495,300
WILMINGTON TRUST CORP           EQUITY  971807102   4144    114,643    SH         SOLE      1    114,643






                                                                                            
WILSHIRE BANCORP INC              EQUITY  97186T108    137      8,266    SH           SOLE      1          8,266
WILSON GREATBATCH TECHNOLOGIES    EQUITY  972232102    281     12,544    SH           SOLE      1         12,544
WIMM-BILL-DANN FOODS ADR          EQUITY  97263M109   1563    109,200    SH           SOLE      1        109,200
WIND RIVER SYSTEMS INC.           EQUITY  973149107   2435    179,686    SH           SOLE      1        179,686
WINDROSE MEDICAL PROPERTIES       EQUITY  973491103     19      1,290    SH           SOLE      1          1,290
WINN-DIXIE STORES, INC.           EQUITY  974280109    222     48,684    SH           SOLE      1         48,684
WINNEBAGO INDUSTRIES, INC.        EQUITY  974637100    595     15,240    SH           SOLE      1         15,240
WINSTON HOTELS INC                EQUITY  97563A102    196     16,565    SH           SOLE      1         16,565
WINTRUST FINANCIAL CORP           EQUITY  97650W108    720     12,649    SH           SOLE      1         12,649
WIRELESS FACILITIES INC.          EQUITY  97653A103    263     27,811    SH           SOLE      1         27,811
WISCONSIN ENERGY CORP.            EQUITY  976657106   6711    199,082    SH           SOLE      1        199,082
WITNESS SYSTEMS INC               EQUITY  977424100    222     12,741    SH           SOLE      1         12,741
WJ COMMUNICATIONS INC             EQUITY  929284107     64     18,585    SH           SOLE      1         18,585
WM. WRIGLEY JR. CO.               EQUITY  982526105   6575     95,035    SH           SOLE      1         95,035
WMS INDUSTRIES INC.               EQUITY  929297109    382     11,404    SH           SOLE      1         11,404
WOLVERINE WORLD WIDE, INC.        EQUITY  978097103    734     23,347    SH           SOLE      1         23,347
WOODHEAD INDS INC COM             EQUITY  979438108    114      7,105    SH           SOLE      1          7,105
WOODWARD GOVERNOR CO.             EQUITY  980745103    408      5,700    SH           SOLE      1          5,700
WORLD ACCEPTANCE CORP.            EQUITY  981419104    260      9,456    SH           SOLE      1          9,456
WORLD FUEL SVCS CORP              EQUITY  981475106    328      6,581    SH           SOLE      1          6,581
WORLD WRESTLING ENTMNT            EQUITY  98156Q108     95      7,840    SH           SOLE      1          7,840
WORTHINGTON INDS IN               EQUITY  981811102   3315    169,300    SH           DEFINED   2                 169,300
WORTHINGTON INDUSTRIES, INC.      EQUITY  981811102   2640    134,825    SH           SOLE      1        134,825
WPS RESOURCES CORP.               EQUITY  92931B106   3178     63,618    SH           SOLE      1         63,618
WRIGHT MED GROUP INC              EQUITY  98235T107    878     30,803    SH           SOLE      1         30,803
WRIGLEY WM JR CO                  EQUITY  982526105     18        255    SH           DEFINED   2                     255
WSFS FINANCIAL CORP               EQUITY  929328102    211      3,523    SH           SOLE      1          3,523
WYETH                             EQUITY  983024100  43199  1,014,301    SH           SOLE      1      1,014,301
WYETH                             EQUITY  983024100     65      1,516    SH           DEFINED   2                   1,516
WYNDHAM INTERNATIONAL, INC.       EQUITY  983101106    238    200,000    SH           SOLE      1        200,000
WYNN RESORTS LTD                  EQUITY  983134107    554      8,280    SH           SOLE      1          8,280
XCEL STATES POWER-MINES           EQUITY  98389B100  35217  1,935,022    SH           SOLE      1      1,935,022
XEROX CORP                        EQUITY  984121103   2808    165,084    SH           DEFINED   2                 165,084
XEROX CORP.                       EQUITY  984121103  22096  1,298,976    SH           SOLE      1      1,298,976
XILINX INC                        EQUITY  983919101     12        396    SH           DEFINED   2                     396
XILINX INC COM                    EQUITY  983919101      1      33000    SH           SOLE      3          33000
XILINX, INC.                      EQUITY  983919101  31381  1,060,495    SH           SOLE      1     10,604,945
XL CAPITAL LTD                    EQUITY  G98255105   6420    113,868    SH           SOLE      1         65,816
XL CAPITAL LTD                    EQUITY  G98255105     12        158    SH           DEFINED   2                     158
XM SATTELLITE RADIO HOLDINGS      EQUITY  983759101    698     18,556    SH           SOLE      1         18,556
X-RITE, INC.                      EQUITY  983857103    195     12,180    SH           SOLE      1         12,180
XTO ENERGY INC                    EQUITY  98385X106   4110    116,157    SH           SOLE      1        116,157
XYBERNAUT CORP.                   EQUITY  984149104    128    103,849    SH           SOLE      1        103,849
YAHOO INC                         EQUITY  984332106  10382    275,473    SH           DEFINED   2                 275,473
YAHOO!, INC.                      EQUITY  984332106  24297    644,833    SH           SOLE      1        644,833
YAMANA GOLD INC.                  EQUITY  98462Y100    598    200,000    SH           DEFINED   1              0  200,000
YANKEE CANDLE INC                 EQUITY  984757104   7910    176,500    SH           DEFINED   2                 176,500
YARDVILLE NATL BANCORP            EQUITY  985021104    169      4,935    SH           SOLE      1          4,935
YELLOW ROADWAY CORP               EQUITY  985577105     66      1,183    SH           SOLE      1          1,183
YORK INTERNATIONAL CORP.          EQUITY  986670107   3246     93,967    SH           SOLE      1         93,967
YOUNG BROADCASTING, INC. CLASS A  EQUITY  987434107    100      9,493    SH           SOLE      1          9,493
YOUNG INNOVATIONS INC             EQUITY  987520103     93      2,760    SH           SOLE      1          2,760
YPF S.A.-Sponsored ADR            EQUITY  984245100    265      9,000    SH           SOLE      1          9,000
YUM BRANDS INC                    EQUITY  988498101     16        333    SH           DEFINED   2                     333
Yum Brands Inc                    EQUITY  988498101   2713     57,500    SH           SOLE      4         57,500
YUM! BRANDS INC                   EQUITY  988498101   6163    130,618    SH           SOLE      1        130,618
ZALE CORP.                        EQUITY  988858106    930     31,150    SH           SOLE      1         31,150
ZEBRA TECHNOLOGIES CORP. CLASS A  EQUITY  989207105   6851    121,727    SH           SOLE      1        121,727
ZENITH NATIONAL INSURANCE CORP    EQUITY  989390109    311      6,249    SH           SOLE      1          6,249





                                                                          
ZHONE TECHNOLOGIES INC NEW  EQUITY  98950P108    82   31,840    SH         SOLE       1     31,840
ZILA INC                    EQUITY  989513205   114   26,623    SH         SOLE       1     26,623
ZIMMER HLDGS INC COM        EQUITY  98956P102           3600    SH         SOLE       3       3600
ZIMMER HOLDINGS INC         EQUITY  98956P102  8551  106,729    SH         SOLE       1    106,729
ZIMMER HOLDINGS INC         EQUITY  98956P102    22      279    SH         DEFINED    2             279
ZIONS BANCORP               EQUITY  989701107     7      102    SH         DEFINED    2             102
ZIONS BANCORPORATION        EQUITY  989701107  2744   40,336    SH         SOLE       1     40,336
ZIPREALTY INC               EQUITY  98974V107    48    2,677    SH         SOLE       1      2,677
ZIXIT CORP.                 EQUITY  98974P100    63   12,239    SH         SOLE       1     12,239
ZOLL MEDICAL CORP.          EQUITY  989922109   186    5,402    SH         SOLE       1      5,402
ZORAN CORP.                 EQUITY  98975F101   291   25,093    SH         SOLE       1     25,093
ZYGO CORP.                  EQUITY  989855101   124   10,495    SH         SOLE       1     10,495
ZYMOGENETICS INC            EQUITY  98985T109   262   11,396    SH         SOLE       1     11,396