================================================================================

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

                                   ----------

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 03/31/2004

Check here if Amendment             [_]     Amendment Number :

This Amendment                      [_]     is a restatement

Institutional Investment Manager Filing this Report :

Name :         M & T Bank Corporation
Address :      ONE M & T PLAZA
               BUFFALO, NY 14240

13F File Number :  28-267

The institutional investment Manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager :

Name :      MARK CZARNECKI
Title :     EXECUTIVE VICE PRESIDENT
Phone :     (716) 842-5291
Signature, Place, and Date of Signing : /s/ Mark Czarnecki M&T Bank, 05/17/04

1    M & T  BANK       05/17/04

Report Type (Check only one.):

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

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

[_] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
    reporting managers are reported in this report and a portion are reported by
    other reporting managers(s).)

================================================================================





                                                                                                     SEC USE _______________________
                 COLUMN 1                        COLUMN 2       COLUMN 3  COLUMN 4  COLUMN 5                         COLUMN 6
                                                                                    -------------------
              NAME OF ISSUER                 TITLE OF CLASS       CUSIP    VALUE    SHARES OR SHARES OR        INVESTMENT DISCRETION
----------------------------------------------------------------------------------- PRINCIAL  PRINCIPAL PUT OR ---------------------
                                                                          (X 1,000)  AMOUNT              CALL       SHARED- SHARED-
                                                                          ------------------------------------ SOLE DEFINED  OTHER
                                                                                                               ---------------------
                                                                                                 
A. COMMON STOCK

DOMESTIC COMMON STOCKS

1800FLOWERS.COM INC                          COMMON STOCK       68243Q106        21      2149   SHARES                         X
3 COM CORP COM                               COMMON STOCK       885535104         5       650   SHARES                 X
3 COM CORP COM                               COMMON STOCK       885535104        66      9400   SHARES                         X
3M CO                                        COMMON STOCK       88579Y101     10116    123567   SHARES                 X
3M CO                                        COMMON STOCK       88579Y101     16816    205394   SHARES                         X
3M Co.                                       COMMON STOCK       88579Y101      1449     17700   SHARES                 X
3M COMPANY                                   COMMON STOCK       88579Y101       211      6075   SHARES           X
7-Eleven, Inc.                               COMMON STOCK       817826209       798     52600   SHARES                 X
8X8 INC                                      COMMON STOCK       282914100         1       400   SHARES                         X
99 CENTS ONLY STORES COM                     COMMON STOCK       65440K106       105      4300   SHARES                         X
aaiPharma, Inc.                              COMMON STOCK       00252W104        26      3900   SHARES                 X
ABBOTT LABORATORIES                          COMMON STOCK       002824100     11850    288327   SHARES                 X
ABBOTT LABORATORIES                          COMMON STOCK       002824100      7186    174850   SHARES                         X
ABBOTT LABORATORIES                          COMMON STOCK       002824100      2155     52425   SHARES           X
ABERCROMBIE & FITCH CO CL A                  COMMON STOCK       002896207         7       200   SHARES                 X
ABERCROMBIE & FITCH CO CL A                  COMMON STOCK       002896207        92      2720   SHARES                         X
ABM INDUSTRIES INCORPORATED                  COMMON STOCK       000957100         7       400   SHARES                 X
ABM INDUSTRIES INCORPORATED                  COMMON STOCK       000957100        22      1200   SHARES                         X
ACADIA REALTY TRUST (REIT)                   COMMON STOCK       004239109        37      2650   SHARES                         X
Accenture Ltd.- Bermuda                      COMMON STOCK       G1150G111     11601    467775   SHARES                 X
ACCREDO HEALTH INC COM                       COMMON STOCK       00437V104       295      7730   SHARES                         X
ACE CASH EXPRESS INCORPORATED                COMMON STOCK       004403101       121      4000   SHARES                         X
ACTEL CORPORATION                            COMMON STOCK       004934105        37      1620   SHARES                 X
Action Performance Cos., Inc.                COMMON STOCK       004933107       208     13600   SHARES                 X
Active Power, Inc.                           COMMON STOCK       00504W100        88     27400   SHARES                 X
ACTIVISION INC COM NEW                       COMMON STOCK       004930202        56      3510   SHARES                 X
ACTUANT CORP CL A NEW                        COMMON STOCK       00508X203       263      6700   SHARES                         X
ACUITY BRANDS INC                            COMMON STOCK       00508Y102        21       900   SHARES                         X
ACXIOM CORP                                  COMMON STOCK       005125109       264     12000   SHARES                         X
ADAPTEC INC                                  COMMON STOCK       00651F108       187     21350   SHARES                         X
ADC TELECOMMUNICATIONS INC COM               COMMON STOCK       000886101        12      4150   SHARES                 X
ADC TELECOMMUNICATIONS INC COM               COMMON STOCK       000886101        38     13000   SHARES                         X
ADOBE SYS INC COM                            COMMON STOCK       00724F101        14       350   SHARES                 X
ADOBE SYS INC COM                            COMMON STOCK       00724F101       368      9365   SHARES                         X
ADOBE SYSTEMS INCORPORATED                   COMMON STOCK       00724F101       588     14950   SHARES           X
ADOLOR CORP COM                              COMMON STOCK       00724X102        12       775   SHARES                         X
ADVANCED DIGITAL INFORMATION CORP            COMMON STOCK       007525108       173     15200   SHARES                         X
ADVANCED FIBRE COMMUNICATION                 COMMON STOCK       00754A105       378     17100   SHARES                         X
ADVANCED MEDICAL OPTICS                      COMMON STOCK       00763M108       238      9740   SHARES                         X
ADVANCED MICRO DEVICES INC COM               COMMON STOCK       007903107       114      7050   SHARES                 X
ADVANCED MICRO DEVICES INC COM               COMMON STOCK       007903107         3       200   SHARES                         X
ADVANTA CORPORATION CLASS B                  COMMON STOCK       007942204       149      9015   SHARES                         X
ADVANTAGE MARKETING SYSTEMS INC              COMMON STOCK       00756G209        36      7000   SHARES                         X
ADVENT SOFTWARE INC                          COMMON STOCK       007974108        22      1200   SHARES                         X
Advent Software, Inc.                        COMMON STOCK       007974108       520     27800   SHARES                 X
ADVO INCORPORATED                            COMMON STOCK       007585102       213      6600   SHARES                         X
AEROPOSTALE INC                              COMMON STOCK       007865108        44      1225   SHARES                         X
AES CORP COM                                 COMMON STOCK       00130H105        43      5000   SHARES                 X
AES CORP COM                                 COMMON STOCK       00130H105        19      2280   SHARES                         X
AES CORPORATION                              COMMON STOCK       00130H105      3077    360675   SHARES           X
AETHER SYSTEMS INCORPORATED                  COMMON STOCK       00808V105         5      1100   SHARES                 X
AETNA INC NEW COM                            COMMON STOCK       00817Y108       564      6281   SHARES                 X
AETNA INC NEW COM                            COMMON STOCK       00817Y108       304      3390   SHARES                         X
Aetna, Inc.                                  COMMON STOCK       00817Y108      1193     13300   SHARES                 X
Affiliated Computer Services, Inc., Class A  COMMON STOCK       008190100      1059     20400   SHARES                 X


                 COLUMN 1                    COLUMN 7        COLUMN 8

              NAME OF ISSUER                  OTHER       VOTING AUTHORITY
-------------------------------------------- MANAGERS ------------------------
                                                        SOLE   SHARED   OTHER
                                             ---------------------------------
A. COMMON STOCK

DOMESTIC COMMON STOCKS

1800FLOWERS.COM INC                             1            0      0     2149
3 COM CORP COM                                  1          650      0        0
3 COM CORP COM                                  1         1100      0     8300
3M CO                                           1       123167      0      400
3M CO                                           1       156369      0    49025
3M Co.                                          3        17700      0        0
3M COMPANY                                      2         6075      0        0
7-Eleven, Inc.                                  3        52600      0        0
8X8 INC                                         1          400      0        0
99 CENTS ONLY STORES COM                        1            0      0     4300
aaiPharma, Inc.                                 3         3900      0        0
ABBOTT LABORATORIES                             1       288212      0      115
ABBOTT LABORATORIES                             1       121833      0    53017
ABBOTT LABORATORIES                             2        52425      0        0
ABERCROMBIE & FITCH CO CL A                     1          200      0        0
ABERCROMBIE & FITCH CO CL A                     1          500      0     2220
ABM INDUSTRIES INCORPORATED                     1          400      0        0
ABM INDUSTRIES INCORPORATED                     1            0      0     1200
ACADIA REALTY TRUST (REIT)                      1            0      0     2650
Accenture Ltd.- Bermuda                         3       467775      0        0
ACCREDO HEALTH INC COM                          1            0      0     7730
ACE CASH EXPRESS INCORPORATED                   1         4000      0        0
ACTEL CORPORATION                               1            0      0     1620
Action Performance Cos., Inc.                   3        13600      0        0
Active Power, Inc.                              3        27400      0        0
ACTIVISION INC COM NEW                          1            0      0     3510
ACTUANT CORP CL A NEW                           1            0      0     6700
ACUITY BRANDS INC                               1            0      0      900
ACXIOM CORP                                     1            0      0    12000
ADAPTEC INC                                     1            0      0    21350
ADC TELECOMMUNICATIONS INC COM                  1         4150      0        0
ADC TELECOMMUNICATIONS INC COM                  1        12000      0     1000
ADOBE SYS INC COM                               1          350      0        0
ADOBE SYS INC COM                               1          640      0     8725
ADOBE SYSTEMS INCORPORATED                      2        14950      0        0
ADOLOR CORP COM                                 1            0      0      775
ADVANCED DIGITAL INFORMATION CORP               1            0      0    15200
ADVANCED FIBRE COMMUNICATION                    1            0      0    17100
ADVANCED MEDICAL OPTICS                         1          140      0     9600
ADVANCED MICRO DEVICES INC COM                  1         7050      0        0
ADVANCED MICRO DEVICES INC COM                  1          200      0        0
ADVANTA CORPORATION CLASS B                     1         2261      0     6754
ADVANTAGE MARKETING SYSTEMS INC                 1            0      0     7000
ADVENT SOFTWARE INC                             1            0      0     1200
Advent Software, Inc.                           3        27800      0        0
ADVO INCORPORATED                               1            0      0     6600
AEROPOSTALE INC                                 1            0      0     1225
AES CORP COM                                    1         5000      0        0
AES CORP COM                                    1         2280      0        0
AES CORPORATION                                 2       360675      0        0
AETHER SYSTEMS INCORPORATED                     1         1100      0        0
AETNA INC NEW COM                               1         6281      0        0
AETNA INC NEW COM                               1          300      0     3090
Aetna, Inc.                                     3        13300      0        0
Affiliated Computer Services, Inc., Class A     3        20400      0        0

                                     1 OF 64                           5/14/2004




                                                                                                 
AFFILIATED COMPUTER SVCS INC CL A            COMMON STOCK       008190100       208      4000   SHARES                 X
AFFILIATED COMPUTER SVCS INC CL A            COMMON STOCK       008190100       643     12395   SHARES                         X
AFFILIATED MANGERS GROUP                     COMMON STOCK       008252108       188      3450   SHARES                         X
AFFORDABLE RESIDENTIAL COMMUNITY             COMMON STOCK       008273104       429     23200   SHARES                         X
AFFYMETRIX INC                               COMMON STOCK       00826T108        14       400   SHARES                         X
AFLAC CORP                                   COMMON STOCK       001055102      2301     57330   SHARES                 X
AFLAC CORP                                   COMMON STOCK       001055102      1344     33484   SHARES                         X
AFTERMARKET TECHNOLOGY CORP                  COMMON STOCK       008318107       253     17238   SHARES                         X
AGCO CORP COM                                COMMON STOCK       001084102       312     15075   SHARES                         X
AGERE SYS INC CL A                           COMMON STOCK       00845V100         6      1919   SHARES                 X
AGERE SYS INC CL A                           COMMON STOCK       00845V100       836    260443   SHARES                         X
AGERE SYS INC CL B                           COMMON STOCK       00845V209        21      6648   SHARES                 X
AGERE SYS INC CL B                           COMMON STOCK       00845V209       314    100530   SHARES                         X
AGILE SOFTWARE CORP DEL                      COMMON STOCK       00846X105        21      2400   SHARES                         X
AGILENT TECHNOLOGIES INC COM                 COMMON STOCK       00846U101       689     21781   SHARES                 X
AGILENT TECHNOLOGIES INC COM                 COMMON STOCK       00846U101       814     25739   SHARES                         X
AGILENT TECHNOLOGIES INC COM                 COMMON STOCK       00846u101         7       210   SHARES                 X
AGL RESOURCES INC COM                        COMMON STOCK       001204106       139      4775   SHARES                 X
AGL RESOURCES INC COM                        COMMON STOCK       001204106       470     16205   SHARES                         X
AIR PRODUCTS & CHEMICALS INC                 COMMON STOCK       009158106      1248     24909   SHARES                 X
AIR PRODUCTS & CHEMICALS INC                 COMMON STOCK       009158106      1974     39380   SHARES                         X
AIRGAS, INC                                  COMMON STOCK       009363102        45      2125   SHARES                         X
AIRTRAN HLDGS INC                            COMMON STOCK       00949P108         2       200   SHARES                 X
AIRTRAN HLDGS INC                            COMMON STOCK       00949P108        49      4100   SHARES                         X
AK STEEL HOLDING CORP COM                    COMMON STOCK       001547108         0        66   SHARES                 X
ALAMOSA HLDGS INC                            COMMON STOCK       011589108        61     10380   SHARES                         X
ALARIS MEDICAL SYSTEMS                       COMMON STOCK       011637105        39      2070   SHARES                 X
Albany International Corp., Class A          COMMON STOCK       012348108       879     32700   SHARES                 X
ALBANY MOLECULAR RESH INC COM                COMMON STOCK       012423109       153     10300   SHARES                         X
ALBEMARLE CORP COM                           COMMON STOCK       012653101       116      4000   SHARES                 X
ALBEMARLE CORP COM                           COMMON STOCK       012653101       690     23800   SHARES                         X
Albemarle Corp.                              COMMON STOCK       012653101       696     24000   SHARES                 X
ALBERTO CULVER CO                            COMMON STOCK       013068101        39       900   SHARES                 X
ALBERTO CULVER CO                            COMMON STOCK       013068101       790     18000   SHARES                         X
ALBERTSONS INC                               COMMON STOCK       013104104        29      1307   SHARES                 X
ALBERTSONS INC                               COMMON STOCK       013104104       141      6367   SHARES                         X
ALCIDE CORP                                  COMMON STOCK       013742507       112      5453   SHARES                         X
ALCOA INC COM                                COMMON STOCK       013817101     13384    385807   SHARES                 X
ALCOA INC COM                                COMMON STOCK       013817101      3817    110026   SHARES                         X
ALCOA INC COM                                COMMON STOCK       013817101     10137    292190   SHARES                 X
ALDILA INCORPORATED NEW                      COMMON STOCK       014384200         0        66   SHARES                 X
ALEX & BALDWIN COM                           COMMON STOCK       014482103        65      1960   SHARES                         X
ALEXANDRIA REAL ESTATE EQUITIES INC          COMMON STOCK       015271109       112      1770   SHARES                         X
ALEXION PHARMACEUTICALS INC COM              COMMON STOCK       015351109         7       300   SHARES                         X
ALICO INC                                    COMMON STOCK       016230104        29       900   SHARES                         X
Align Technology, Inc.                       COMMON STOCK       016255101       135      7100   SHARES                 X
ALKERMES INC COM                             COMMON STOCK       01642T108        22      1361   SHARES                         X
Alkermes, Inc.                               COMMON STOCK       01642T108       550     34400   SHARES                 X
ALLEGHENY ENERGY INC                         COMMON STOCK       017361106        66      4793   SHARES                 X
ALLEGHENY ENERGY INC                         COMMON STOCK       017361106       491     35797   SHARES                         X
ALLEGHENY TECHNOLOGIES INC COM               COMMON STOCK       01741R102        13      1063   SHARES                 X
ALLERGAN INC                                 COMMON STOCK       018490102        14       170   SHARES                 X
ALLERGAN INC                                 COMMON STOCK       018490102       516      6132   SHARES                         X
ALLETE INC COM                               COMMON STOCK       018522102        35      1000   SHARES                 X
ALLETE INC COM                               COMMON STOCK       018522102       670     19100   SHARES                         X
ALLIANCE CAP MGMT HLDG L P                   COMMON STOCK       01855A101        58      1575   SHARES                 X
ALLIANCE CAP MGMT HLDG L P                   COMMON STOCK       01855A101        74      2000   SHARES                         X
ALLIANCE DATA SYS CORP                       COMMON STOCK       018581108       458     13640   SHARES                         X
ALLIANCE GAMING CORP                         COMMON STOCK       01859P609        74      2300   SHARES                 X
ALLIANCE GAMING CORP                         COMMON STOCK       01859P609       169      5250   SHARES                         X
Alliance Imaging, Inc.                       COMMON STOCK       018606202        85     21800   SHARES                 X
ALLIANT ENERGY CORP                          COMMON STOCK       018802108        18       685   SHARES                 X
ALLIANT ENERGY CORP                          COMMON STOCK       018802108        11       411   SHARES                         X
ALLIANT TECHSYSTEMS INC                      COMMON STOCK       018804104         7       127   SHARES                 X


AFFILIATED COMPUTER SVCS INC CL A               1         3500      0      500
AFFILIATED COMPUTER SVCS INC CL A               1         3450      0     8945
AFFILIATED MANGERS GROUP                        1            0      0     3450
AFFORDABLE RESIDENTIAL COMMUNITY                1            0      0    23200
AFFYMETRIX INC                                  1            0      0      400
AFLAC CORP                                      1        57330      0        0
AFLAC CORP                                      1         4104      0    29380
AFTERMARKET TECHNOLOGY CORP                     1            0      0    17238
AGCO CORP COM                                   1            0      0    15075
AGERE SYS INC CL A                              1         1919      0        0
AGERE SYS INC CL A                              1          354     54   260035
AGERE SYS INC CL B                              1         6648      0        0
AGERE SYS INC CL B                              1         9416   1368    89746
AGILE SOFTWARE CORP DEL                         1            0      0     2400
AGILENT TECHNOLOGIES INC COM                    1        21781      0        0
AGILENT TECHNOLOGIES INC COM                    1        12860      0    12879
AGILENT TECHNOLOGIES INC COM                    3          210      0        0
AGL RESOURCES INC COM                           1         4775      0        0
AGL RESOURCES INC COM                           1        11565      0     4640
AIR PRODUCTS & CHEMICALS INC                    1        24909      0        0
AIR PRODUCTS & CHEMICALS INC                    1        17500      0    21880
AIRGAS, INC                                     1            0      0     2125
AIRTRAN HLDGS INC                               1          200      0        0
AIRTRAN HLDGS INC                               1         4100      0        0
AK STEEL HOLDING CORP COM                       1           66      0        0
ALAMOSA HLDGS INC                               1            0      0    10380
ALARIS MEDICAL SYSTEMS                          1            0      0     2070
Albany International Corp., Class A             3        32700      0        0
ALBANY MOLECULAR RESH INC COM                   1            0      0    10300
ALBEMARLE CORP COM                              1         4000      0        0
ALBEMARLE CORP COM                              1        23800      0        0
Albemarle Corp.                                 3        24000      0        0
ALBERTO CULVER CO                               1            0      0      900
ALBERTO CULVER CO                               1            0      0    18000
ALBERTSONS INC                                  1         1307      0        0
ALBERTSONS INC                                  1         1567      0     4800
ALCIDE CORP                                     1            0      0     5453
ALCOA INC COM                                   1       383970      0     1837
ALCOA INC COM                                   1        63548      0    46478
ALCOA INC COM                                   3       292190      0        0
ALDILA INCORPORATED NEW                         1           66      0        0
ALEX & BALDWIN COM                              1            0      0     1960
ALEXANDRIA REAL ESTATE EQUITIES INC             1            0      0     1770
ALEXION PHARMACEUTICALS INC COM                 1            0      0      300
ALICO INC                                       1            0      0      900
Align Technology, Inc.                          3         7100      0        0
ALKERMES INC COM                                1            0      0     1361
Alkermes, Inc.                                  3        34400      0        0
ALLEGHENY ENERGY INC                            1         4793      0        0
ALLEGHENY ENERGY INC                            1         4997      0    30800
ALLEGHENY TECHNOLOGIES INC COM                  1         1063      0        0
ALLERGAN INC                                    1          170      0        0
ALLERGAN INC                                    1         1632      0     4500
ALLETE INC COM                                  1         1000      0        0
ALLETE INC COM                                  1         5900      0    13200
ALLIANCE CAP MGMT HLDG L P                      1         1575      0        0
ALLIANCE CAP MGMT HLDG L P                      1         2000      0        0
ALLIANCE DATA SYS CORP                          1            0      0    13640
ALLIANCE GAMING CORP                            1          750      0     1550
ALLIANCE GAMING CORP                            1            0      0     5250
Alliance Imaging, Inc.                          3        21800      0        0
ALLIANT ENERGY CORP                             1          685      0        0
ALLIANT ENERGY CORP                             1          411      0        0
ALLIANT TECHSYSTEMS INC                         1          127      0        0

                                     2 OF 64                           5/14/2004




                                                                                                 
ALLIANT TECHSYSTEMS INC                      COMMON STOCK       018804104       240      4405   SHARES                         X
ALLIED CAP CORP NEW COM                      COMMON STOCK       01903Q108        38      1250   SHARES                 X
ALLIED CAP CORP NEW COM                      COMMON STOCK       01903Q108       180      5945   SHARES                         X
ALLIED CAPITAL CORPORATION                   COMMON STOCK       01903Q108      1178     38897   SHARES           X
ALLIED HOLDINGS INC                          COMMON STOCK       019223106        33      5600   SHARES                         X
ALLIED WASTE INDUSTRIES INC                  COMMON STOCK       019589308        51      3800   SHARES                 X
ALLIED WASTE INDUSTRIES INC                  COMMON STOCK       019589308        35      2600   SHARES                         X
ALLMERICA FINANCIAL CORP                     COMMON STOCK       019754100       128      3700   SHARES                         X
Allscripts Healthcare Solutions, Inc.        COMMON STOCK       01988P108        67      6900   SHARES                 X
ALLSTATE CORP                                COMMON STOCK       020002101      6985    153644   SHARES                 X
ALLSTATE CORP                                COMMON STOCK       020002101      2811     61825   SHARES                         X
ALLSTATE CORP                                COMMON STOCK       020002101      6665    146620   SHARES                 X
ALLSTATE CORPORATION                         COMMON STOCK       020002101      1335     29373   SHARES           X
ALLTEL CORP                                  COMMON STOCK       020039103      1286     25776   SHARES                 X
ALLTEL CORP                                  COMMON STOCK       020039103      1912     38317   SHARES                         X
ALPHARMA INC COM                             COMMON STOCK       020813101        88      4500   SHARES                         X
Alpharma, Inc., Class A                      COMMON STOCK       020813101       792     40400   SHARES                 X
ALTERA CORP COM                              COMMON STOCK       021441100       530     25900   SHARES                 X
ALTERA CORP COM                              COMMON STOCK       021441100       602     29415   SHARES                         X
Altera Corp.                                 COMMON STOCK       021441100      1329     65000   SHARES                 X
ALTRIA GROUP INC                             COMMON STOCK       02209S103     11796    216636   SHARES                 X
ALTRIA GROUP INC                             COMMON STOCK       02209S103     11471    210662   SHARES                         X
ALTRIA GROUP INC                             COMMON STOCK       02209S103       683     12550   SHARES           X
Altria Group, Inc.                           COMMON STOCK       02209S103       774     14219   SHARES                 X
AMAZON.COM  INC COM                          COMMON STOCK       023135106        51      1171   SHARES                 X
AMAZON.COM  INC COM                          COMMON STOCK       023135106         9       200   SHARES                         X
AMB FINL CORP COM                            COMMON STOCK       001984103        32      1875   SHARES                         X
AMBAC FINL GROUP INC COM                     COMMON STOCK       023139108       177      2400   SHARES                 X
AMBAC FINL GROUP INC COM                     COMMON STOCK       023139108       733      9935   SHARES                         X
AMERADA HESS CORP COM                        COMMON STOCK       023551104       585      8965   SHARES                         X
AMEREN CORP                                  COMMON STOCK       023608102        56      1217   SHARES                 X
AMEREN CORP                                  COMMON STOCK       023608102        63      1365   SHARES                         X
AMERIANA BANCORP COM                         COMMON STOCK       023613102        92      5605   SHARES                         X
American Axle & Manufacturing Holdings, Inc. COMMON STOCK       024061103       895     24300   SHARES                 X
AMERICAN BILTRITE INCORPORATED               COMMON STOCK       024591109       464     42600   SHARES                         X
AMERICAN CAPITAL STRATEGIES LTD              COMMON STOCK       024937104        33      1000   SHARES                 X
AMERICAN CAPITAL STRATEGIES LTD              COMMON STOCK       024937104        47      1400   SHARES                         X
AMERICAN CAPITAL STRATEGIES LTD              COMMON STOCK       024937104      2068     62200   SHARES           X
AMERICAN EAGLE OUTFITTER INC NEW COM         COMMON STOCK       02553E106      1143     42395   SHARES                         X
AMERICAN ELECTRIC POWER CO INC               COMMON STOCK       025537101       353     10724   SHARES                 X
AMERICAN ELECTRIC POWER CO INC               COMMON STOCK       025537101       720     21871   SHARES                         X
AMERICAN ELECTRIC POWER INCORPORATED         COMMON STOCK       025537101       214      6500   SHARES           X
AMERICAN EXPRESS CO COM                      COMMON STOCK       025816109      3552     68498   SHARES                 X
AMERICAN EXPRESS CO COM                      COMMON STOCK       025816109      3022     58287   SHARES                         X
American Express Co.                         COMMON STOCK       025816109       176      3400   SHARES                 X
AMERICAN EXPRESS COMPANY                     COMMON STOCK       025816109       840     16200   SHARES           X
AMERICAN FINANCIAL REALTY                    COMMON STOCK       02607P305       676     39900   SHARES           X
AMERICAN FINANCIAL REALTY TRUST              COMMON STOCK       02607P305       108      6400   SHARES                         X
AMERICAN FINL GROUP INC COM                  COMMON STOCK       025932104       224      7500   SHARES                         X
AMERICAN GREETINGS CORP CL A                 COMMON STOCK       026375105        66      2900   SHARES                         X
American Greetings Corp., Class A            COMMON STOCK       026375105       503     22100   SHARES                 X
AMERICAN HOME MTG INVT CORP                  COMMON STOCK       02660R107        14       500   SHARES                         X
AMERICAN INTERNATIONAL GROUP I               COMMON STOCK       026874107     14506    203308   SHARES                 X
AMERICAN INTERNATIONAL GROUP INC             COMMON STOCK       026874107      4725     66223   SHARES           X
AMERICAN INTERNATIONAL GROUP INC COM         COMMON STOCK       026874107     26258    368014   SHARES                 X
AMERICAN INTERNATIONAL GROUP INC COM         COMMON STOCK       026874107     16630    233076   SHARES                         X
AMERICAN ITALIAN PASTA CO                    COMMON STOCK       027070101       192      4800   SHARES                         X
AMERICAN LOCKER GROUP INC COM                COMMON STOCK       027284108         9       800   SHARES                         X
American Management System, Inc              COMMON STOCK       027352103       593     30900   SHARES                 X
AMERICAN MANAGEMENT SYSTEMS INC              COMMON STOCK       027352103       194     10100   SHARES                         X
AMERICAN MANAGEMENT SYSTEMS INC              COMMON STOCK       027352103      6036    314703   SHARES           X
AMERICAN MEDICAL ALERT CORPORATION           COMMON STOCK       027904101         3       575   SHARES                 X
AMERICAN MEDICAL SECURITY GROUP INC          COMMON STOCK       02744P101        51      1900   SHARES                         X
AMERICAN NATL INS CO COM                     COMMON STOCK       028591105       179      2000   SHARES                 X


ALLIANT TECHSYSTEMS INC                         1          405      0     4000
ALLIED CAP CORP NEW COM                         1         1250      0        0
ALLIED CAP CORP NEW COM                         1         3845      0     2100
ALLIED CAPITAL CORPORATION                      2        38897      0        0
ALLIED HOLDINGS INC                             1            0      0     5600
ALLIED WASTE INDUSTRIES INC                     1         1500      0     2300
ALLIED WASTE INDUSTRIES INC                     1            0      0     2600
ALLMERICA FINANCIAL CORP                        1            0      0     3700
Allscripts Healthcare Solutions, Inc.           3         6900      0        0
ALLSTATE CORP                                   1       153149      0      495
ALLSTATE CORP                                   1        29835      0    31990
ALLSTATE CORP                                   3       146620      0        0
ALLSTATE CORPORATION                            2        29373      0        0
ALLTEL CORP                                     1        24276      0     1500
ALLTEL CORP                                     1        26667      0    11650
ALPHARMA INC COM                                1            0      0     4500
Alpharma, Inc., Class A                         3        40400      0        0
ALTERA CORP COM                                 1        19900      0     6000
ALTERA CORP COM                                 1         2600      0    26815
Altera Corp.                                    3        65000      0        0
ALTRIA GROUP INC                                1       214536      0     2100
ALTRIA GROUP INC                                1       178012      0    32650
ALTRIA GROUP INC                                2        12550      0        0
Altria Group, Inc.                              3        14219      0        0
AMAZON.COM INC COM                              1         1171      0        0
AMAZON.COM INC COM                              1          100      0      100
AMB FINL CORP COM                               1            0      0     1875
AMBAC FINL GROUP INC COM                        1         2400      0        0
AMBAC FINL GROUP INC COM                        1         4000      0     5935
AMERADA HESS CORP COM                           1            0      0     8965
AMEREN CORP                                     1         1217      0        0
AMEREN CORP                                     1         1365      0        0
AMERIANA BANCORP COM                            1         5605      0        0
American Axle & Manufacturing Holdings, Inc.    3        24300      0        0
AMERICAN BILTRITE INCORPORATED                  1        42600      0        0
AMERICAN CAPITAL STRATEGIES LTD                 1         1000      0        0
AMERICAN CAPITAL STRATEGIES LTD                 1         1400      0        0
AMERICAN CAPITAL STRATEGIES LTD                 2        62200      0        0
AMERICAN EAGLE OUTFITTER INC NEW COM            1            0      0    42395
AMERICAN ELECTRIC POWER CO INC                  1        10724      0        0
AMERICAN ELECTRIC POWER CO INC                  1        13241      0     8630
AMERICAN ELECTRIC POWER INCORPORATED            2         6500      0        0
AMERICAN EXPRESS CO COM                         1        60293      0     8205
AMERICAN EXPRESS CO COM                         1        21781      0    36506
American Express Co.                            3         3400      0        0
AMERICAN EXPRESS COMPANY                        2        16200      0        0
AMERICAN FINANCIAL REALTY                       2        39900      0        0
AMERICAN FINANCIAL REALTY TRUST                 1            0      0     6400
AMERICAN FINL GROUP INC COM                     1            0      0     7500
AMERICAN GREETINGS CORP CL A                    1            0      0     2900
American Greetings Corp., Class A               3        22100      0        0
AMERICAN HOME MTG INVT CORP                     1            0      0      500
AMERICAN INTERNATIONAL GROUP I                  3       203308      0        0
AMERICAN INTERNATIONAL GROUP INC                2        66223      0        0
AMERICAN INTERNATIONAL GROUP INC COM            1       361783      0     6231
AMERICAN INTERNATIONAL GROUP INC COM            1       138085      0    94991
AMERICAN ITALIAN PASTA CO                       1            0      0     4800
AMERICAN LOCKER GROUP INC COM                   1          800      0        0
American Management System, Inc                 3        30900      0        0
AMERICAN MANAGEMENT SYSTEMS INC                 1            0      0    10100
AMERICAN MANAGEMENT SYSTEMS INC                 2       314703      0        0
AMERICAN MEDICAL ALERT CORPORATION              1          575      0        0
AMERICAN MEDICAL SECURITY GROUP INC             1            0      0     1900
AMERICAN NATL INS CO COM                        1            0      0     2000

                                     3 OF 64                           5/14/2004




                                                                                                 
AMERICAN PWR CONVERSION                      COMMON STOCK       029066107       452     19675   SHARES                         X
AMERICAN SELECT PORTFOLIO                    COMMON STOCK       029570108        56      4000   SHARES                 X
AMERICAN STANDARD COS INC DEL COM            COMMON STOCK       029712106       239      2104   SHARES                 X
AMERICAN STANDARD COS INC DEL COM            COMMON STOCK       029712106       114      1000   SHARES                         X
American Standard Cos.                       COMMON STOCK       029712106       569      5000   SHARES                 X
AMERICAN TECHNOLOGY CORP                     COMMON STOCK       030145205        24      4000   SHARES                         X
AMERICAN TOWER CORP CL A                     COMMON STOCK       029912201        29      2540   SHARES                 X
AMERICAN VANGUARD CORP                       COMMON STOCK       030371108        12       245   SHARES                         X
AMERICAN WOODMARK CORP                       COMMON STOCK       030506109        27       400   SHARES                 X
AMERICAN WOODMARK CORP                       COMMON STOCK       030506109        80      1200   SHARES                         X
AMERIGAS PARTNERS LP                         COMMON STOCK       030975106         9       300   SHARES                 X
AMERIGAS PARTNERS LP                         COMMON STOCK       030975106       178      5955   SHARES                         X
AMERISOURCE BERGEN CORP COM                  COMMON STOCK       03073E105        93      1700   SHARES                 X
AMERISOURCE BERGEN CORP COM                  COMMON STOCK       03073E105        11       200   SHARES                         X
AMERISTAR CASINOS INCORPORATED               COMMON STOCK       03070Q101       164      4900   SHARES                         X
AMERITRADE HOLDING CORP                      COMMON STOCK       03074K100         8       515   SHARES                 X
Ameron, Inc.                                 COMMON STOCK       030710107       519     15400   SHARES                 X
AMERUS GROUP CO COM                          COMMON STOCK       03072M108       144      3564   SHARES                         X
AmerUs Group Co.                             COMMON STOCK       03072M108      1166     28900   SHARES                 X
AMETEK AEROSPACE PRODS INC COM               COMMON STOCK       031100100       513     20004   SHARES                         X
AMGEN INC COM                                COMMON STOCK       031162100     16799    288884   SHARES                 X
AMGEN INC COM                                COMMON STOCK       031162100      6708    115364   SHARES                         X
AMGEN INC COM                                COMMON STOCK       031162100      8108    139376   SHARES                 X
AMIS HOLDINGS INC                            COMMON STOCK       031538101        23      1425   SHARES                         X
AMKOR TECHNOLOGY INC                         COMMON STOCK       031652100        42      2875   SHARES                         X
AMLI RESIDENTIAL PROPERTIES TRUST            COMMON STOCK       001735109      1410     49900   SHARES           X
AMPHENOL CORP NEW CL A                       COMMON STOCK       032095101        41      1380   SHARES                         X
AMR CORP DEL COM                             COMMON STOCK       001765106        50      3931   SHARES                         X
AMSOUTH BANCORPORATION                       COMMON STOCK       032165102        24      1000   SHARES                 X
AMSOUTH BANCORPORATION                       COMMON STOCK       032165102       226      9600   SHARES                         X
ANADARKO PETROLEUM CORP                      COMMON STOCK       032511107      1101     21230   SHARES                 X
ANADARKO PETROLEUM CORP                      COMMON STOCK       032511107       673     12981   SHARES                         X
ANADARKO PETROLEUM CORPORATION               COMMON STOCK       032511107       280      5400   SHARES           X
ANALOG DEVICES INC                           COMMON STOCK       032654105       521     10859   SHARES                 X
ANALOG DEVICES INC                           COMMON STOCK       032654105       132      2750   SHARES                         X
Analog Devices, Inc.                         COMMON STOCK       032654105      2324     48400   SHARES                 X
Analogic Corp.                               COMMON STOCK       032657207       405      8900   SHARES                 X
ANALOGIC CORPORATION                         COMMON STOCK       032657207        88      1930   SHARES                         X
ANCHOR GLASS CONTAINER CORPORATION           COMMON STOCK       03304B300        42      2700   SHARES                         X
ANDERSONS INCORPORATED                       COMMON STOCK       034164103        19      1000   SHARES                         X
ANDREW CORP COM                              COMMON STOCK       034425108       158      9000   SHARES                         X
ANDRX GROUP COM                              COMMON STOCK       034553107       544     20000   SHARES                         X
ANHEUSER BUSCH COMPANIES INC                 COMMON STOCK       035229103       644     12635   SHARES           X
ANHEUSER BUSCH COS INC COM                   COMMON STOCK       035229103      2150     42156   SHARES                 X
ANHEUSER BUSCH COS INC COM                   COMMON STOCK       035229103      3464     67918   SHARES                         X
ANIKA THERAPEUTICS INC COM                   COMMON STOCK       035255108         1       100   SHARES                         X
ANIXTER INTERNATIONAL INC COM                COMMON STOCK       035290105       237      8400   SHARES                         X
ANNALY MTGE MANAGEMENT INC (REIT)            COMMON STOCK       035710409        47      2425   SHARES                         X
ANNTAYLOR STORES CORP                        COMMON STOCK       036115103        48      1130   SHARES                         X
Anthem, Inc.                                 COMMON STOCK       03674B104      1949     21500   SHARES                 X
ANTHEM,INC                                   COMMON STOCK       03674B104       326      3600   SHARES                 X
ANTHEM,INC                                   COMMON STOCK       03674B104       508      5600   SHARES                         X
ANWORTH MORTGAGE ASSET CORP (REIT)           COMMON STOCK       037347101        61      4400   SHARES                         X
AON CORP COM                                 COMMON STOCK       037389103       294     10537   SHARES                 X
AON CORP COM                                 COMMON STOCK       037389103        70      2500   SHARES                         X
APACHE CORP COM                              COMMON STOCK       037411105      1931     44736   SHARES                 X
APACHE CORP COM                              COMMON STOCK       037411105      1569     36346   SHARES                         X
APEX SILVER MINES LIMITED ORD                COMMON STOCK       G04074103       120      5310   SHARES                         X
APHTON CORP COM                              COMMON STOCK       03759P101         5       990   SHARES                         X
APOGEE ENTERPRISES INC                       COMMON STOCK       037598109        96      7800   SHARES                         X
APOLLO GROUP INC CL A                        COMMON STOCK       037604105       209      2426   SHARES                 X
APOLLO GROUP INC CL A                        COMMON STOCK       037604105      1058     12275   SHARES                         X
APOLLO GROUP INC COM                         COMMON STOCK       037604204       357      4100   SHARES                         X
APPLE COMPUTER INC COM                       COMMON STOCK       037833100        14       500   SHARES                 X


AMERICAN PWR CONVERSION                         1            0      0    19675
AMERICAN SELECT PORTFOLIO                       1         4000      0        0
AMERICAN STANDARD COS INC DEL COM               1         1204      0      900
AMERICAN STANDARD COS INC DEL COM               1            0      0     1000
American Standard Cos.                          3         5000      0        0
AMERICAN TECHNOLOGY CORP                        1         4000      0        0
AMERICAN TOWER CORP CL A                        1         2540      0        0
AMERICAN VANGUARD CORP                          1          245      0        0
AMERICAN WOODMARK CORP                          1          400      0        0
AMERICAN WOODMARK CORP                          1            0      0     1200
AMERIGAS PARTNERS LP                            1          300      0        0
AMERIGAS PARTNERS LP                            1         5155      0      800
AMERISOURCE BERGEN CORP COM                     1         1700      0        0
AMERISOURCE BERGEN CORP COM                     1          200      0        0
AMERISTAR CASINOS INCORPORATED                  1            0      0     4900
AMERITRADE HOLDING CORP                         1          515      0        0
Ameron, Inc.                                    3        15400      0        0
AMERUS GROUP CO COM                             1          364      0     3200
AmerUs Group Co.                                3        28900      0        0
AMETEK AEROSPACE PRODS INC COM                  1         1884      0    18120
AMGEN INC COM                                   1       285177      0     3707
AMGEN INC COM                                   1        53534      0    61830
AMGEN INC COM                                   3       139376      0        0
AMIS HOLDINGS INC                               1            0      0     1425
AMKOR TECHNOLOGY INC                            1            0      0     2875
AMLI RESIDENTIAL PROPERTIES TRUST               2        49900      0        0
AMPHENOL CORP NEW CL A                          1            0      0     1380
AMR CORP DEL COM                                1            0      0     3931
AMSOUTH BANCORPORATION                          1            0      0     1000
AMSOUTH BANCORPORATION                          1         2500      0     7100
ANADARKO PETROLEUM CORP                         1        21230      0        0
ANADARKO PETROLEUM CORP                         1         4206      0     8775
ANADARKO PETROLEUM CORPORATION                  2         5400      0        0
ANALOG DEVICES INC                              1        10859      0        0
ANALOG DEVICES INC                              1          250      0     2500
Analog Devices, Inc.                            3        48400      0        0
Analogic Corp.                                  3         8900      0        0
ANALOGIC CORPORATION                            1            0      0     1930
ANCHOR GLASS CONTAINER CORPORATION              1            0      0     2700
ANDERSONS INCORPORATED                          1         1000      0        0
ANDREW CORP COM                                 1            0      0     9000
ANDRX GROUP COM                                 1            0      0    20000
ANHEUSER BUSCH COMPANIES INC                    2        12635      0        0
ANHEUSER BUSCH COS INC COM                      1        42096      0       60
ANHEUSER BUSCH COS INC COM                      1        39058      0    28860
ANIKA THERAPEUTICS INC COM                      1          100      0        0
ANIXTER INTERNATIONAL INC COM                   1            0      0     8400
ANNALY MTGE MANAGEMENT INC (REIT)               1         2425      0        0
ANNTAYLOR STORES CORP                           1          150      0      980
Anthem, Inc.                                    3        21500      0        0
ANTHEM,INC                                      1         3000      0      600
ANTHEM,INC                                      1           50      0     5550
ANWORTH MORTGAGE ASSET CORP (REIT)              1         4400      0        0
AON CORP COM                                    1        10537      0        0
AON CORP COM                                    1         2500      0        0
APACHE CORP COM                                 1        35496      0     9240
APACHE CORP COM                                 1        10296      0    26050
APEX SILVER MINES LIMITED ORD                   1            0      0     5310
APHTON CORP COM                                 1            0      0      990
APOGEE ENTERPRISES INC                          1            0      0     7800
APOLLO GROUP INC CL A                           1         2426      0        0
APOLLO GROUP INC CL A                           1          250      0    12025
APOLLO GROUP INC COM                            1            0      0     4100
APPLE COMPUTER INC COM                          1          500      0        0

                                     4 OF 64                           5/14/2004




                                                                                                 
APPLE COMPUTER INC COM                       COMMON STOCK       037833100      1145     42327   SHARES                         X
APPLEBEE INTERNATIONAL INC COM               COMMON STOCK       037899101       151      3650   SHARES                         X
APPLED MICRO CIRCUITS CORP COM               COMMON STOCK       03822W109         3       500   SHARES                 X
APPLED MICRO CIRCUITS CORP COM               COMMON STOCK       03822W109       104     18275   SHARES                         X
APPLERA CORPAPPLIED BIOSYSTEMS GRP           COMMON STOCK       038020103        79      3987   SHARES                 X
APPLERA CORPAPPLIED BIOSYSTEMS GRP           COMMON STOCK       038020103       435     22000   SHARES                         X
APPLERA CORPCELERA GENOMICS GR               COMMON STOCK       038020202         9       600   SHARES                 X
APPLICA INC                                  COMMON STOCK       03815A106        50      4450   SHARES                         X
APPLIED FILMS CORP                           COMMON STOCK       038197109       116      4144   SHARES                         X
APPLIED MATERIALS INC COM                    COMMON STOCK       038222105      2104     98630   SHARES                 X
APPLIED MATERIALS INC COM                    COMMON STOCK       038222105      1551     72724   SHARES                         X
Applied Materials, Inc.                      COMMON STOCK       038222105       911     42600   SHARES                 X
APRIA HEALTHCARE GROUP INC                   COMMON STOCK       037933108      1228     41000   SHARES                         X
Apria Healthcare Group, Inc.                 COMMON STOCK       037933108        96      3200   SHARES                 X
APTARGROUP INC WITH RIGHTS 04/07/13          COMMON STOCK       038336103        27       700   SHARES                 X
APTARGROUP INC WITH RIGHTS 04/07/13          COMMON STOCK       038336103       841     21900   SHARES                         X
AQUA AMERICA INC                             COMMON STOCK       03836W103        86      3946   SHARES                 X
AQUANTIVE INC                                COMMON STOCK       03839G105        28      2875   SHARES                         X
aQuantive, Inc.                              COMMON STOCK       03839G105       257     26800   SHARES                 X
ARAMARK CORP                                 COMMON STOCK       038521100         1        50   SHARES                 X
ARBITRON INC WITH ATTACHED RIGHTS            COMMON STOCK       03875Q108        52      1300   SHARES                         X
ARCH CAPITAL GROUP LTD                       COMMON STOCK       G0450A105        42      1000   SHARES                 X
ARCH CAPITAL GROUP LTD                       COMMON STOCK       G0450A105       450     10700   SHARES                         X
ARCH COAL INC                                COMMON STOCK       039380100       237      7545   SHARES                         X
ARCHER DANIELS MIDLAND CO COM                COMMON STOCK       039483102       405     24024   SHARES                 X
ARCHER DANIELS MIDLAND CO COM                COMMON STOCK       039483102       341     20207   SHARES                         X
Archer-Daniels-Midland Co.                   COMMON STOCK       039483102       761     45100   SHARES                 X
Archstone-Smith Trust                        COMMON STOCK       039583109       738     25015   SHARES                 X
ARCHSTONE-SMITH TRUST                        COMMON STOCK       039583109      1835     62167   SHARES           X
ARCHSTONESMITH TRUST (REIT)                  COMMON STOCK       039583109      1519     51485   SHARES                 X
ARCHSTONESMITH TRUST (REIT)                  COMMON STOCK       039583109       589     19970   SHARES                         X
ARDEN REALTY INC (REITS)                     COMMON STOCK       039793104        39      1200   SHARES                         X
ARGONAUT GROUP                               COMMON STOCK       040157109        14       732   SHARES                         X
ARIAD PHARMACEUTICALS INC                    COMMON STOCK       04033A100        22      2285   SHARES                         X
ARIBA INC                                    COMMON STOCK       04033V104         0        34   SHARES                 X
ARMOR HLDGS INC                              COMMON STOCK       042260109        76      2300   SHARES                         X
ARROW ELECTRONICS INC                        COMMON STOCK       042735100       112      4400   SHARES                         X
ARROW FINL CORP                              COMMON STOCK       042744102        10       343   SHARES                         X
ARROW INTERNATIONAL INC                      COMMON STOCK       042764100        60      2000   SHARES                 X
ARROW INTERNATIONAL INC                      COMMON STOCK       042764100        36      1200   SHARES                         X
ARTESIAN RESOURCES CORPORATION CL A          COMMON STOCK       043113208        21       750   SHARES                 X
ARTHROCARE CORP                              COMMON STOCK       043136100         5       200   SHARES                         X
ARVINMERITOR INC COM                         COMMON STOCK       043353101         4       202   SHARES                 X
ARVINMERITOR INC COM                         COMMON STOCK       043353101        25      1248   SHARES                         X
ArvinMeritor, Inc.                           COMMON STOCK       043353101       575     29000   SHARES                 X
ASHFORD HOSPITALITY TRUST                    COMMON STOCK       044103109        31      3000   SHARES                         X
ASHLAND INC COM                              COMMON STOCK       044204105        57      1224   SHARES                 X
ASHWORTH INC COM                             COMMON STOCK       04516H101        44      5065   SHARES                         X
ASK JEEVES INC                               COMMON STOCK       045174109        84      2360   SHARES                         X
Ask Jeeves, Inc.                             COMMON STOCK       045174109       986     27600   SHARES                 X
ASML HOLDING NV COM                          COMMON STOCK       N07059111         6       350   SHARES                 X
ASSOCIATED BANC CORP COM                     COMMON STOCK       045487105        71      1580   SHARES                         X
ASTORIA FINANCIAL CORP COM                   COMMON STOCK       046265104        17       450   SHARES                 X
ASTORIA FINANCIAL CORP COM                   COMMON STOCK       046265104       639     16815   SHARES                         X
ASTROMED INC                                 COMMON STOCK       04638F108        34      2950   SHARES                         X
ASYST TECHNOLOGIES, INC.                     COMMON STOCK       04648X107        56      6765   SHARES                         X
AT ROAD INC                                  COMMON STOCK       04648K105        37      3050   SHARES                         X
AT&T CORP                                    COMMON STOCK       001957505       549     28040   SHARES                 X
AT&T CORP                                    COMMON STOCK       001957505      1366     69812   SHARES                         X
AT&T WIRELESS SERVICES                       COMMON STOCK       00209A106       660     48482   SHARES                 X
AT&T WIRELESS SERVICES                       COMMON STOCK       00209A106      1457    107033   SHARES                         X
ATC HEALTHCARE INC COM                       COMMON STOCK       00209C102         2      3000   SHARES                         X
AtheroGenics, Inc.                           COMMON STOCK       047439104        66      2900   SHARES                 X
ATLANTIC COAST AIRLINES HLDGS INC            COMMON STOCK       048396105         1       100   SHARES                         X


APPLE COMPUTER INC COM                          1          900      0    41427
APPLEBEE INTERNATIONAL INC COM                  1         1450      0     2200
APPLED MICRO CIRCUITS CORP COM                  1          500      0        0
APPLED MICRO CIRCUITS CORP COM                  1            0      0    18275
APPLERA CORPAPPLIED BIOSYSTEMS GRP              1         3887      0      100
APPLERA CORPAPPLIED BIOSYSTEMS GRP              1            0      0    22000
APPLERA CORPCELERA GENOMICS GR                  1          600      0        0
APPLICA INC                                     1            0      0     4450
APPLIED FILMS CORP                              1            0      0     4144
APPLIED MATERIALS INC COM                       1        96880      0     1750
APPLIED MATERIALS INC COM                       1         9104      0    63620
Applied Materials, Inc.                         3        42600      0        0
APRIA HEALTHCARE GROUP INC                      1            0      0    41000
Apria Healthcare Group, Inc.                    3         3200      0        0
APTARGROUP INC WITH RIGHTS 04/07/13             1            0      0      700
APTARGROUP INC WITH RIGHTS 04/07/13             1            0      0    21900
AQUA AMERICA INC                                1         3946      0        0
AQUANTIVE INC                                   1            0      0     2875
aQuantive, Inc.                                 3        26800      0        0
ARAMARK CORP                                    1           50      0        0
ARBITRON INC WITH ATTACHED RIGHTS               1            0      0     1300
ARCH CAPITAL GROUP LTD                          1         1000      0        0
ARCH CAPITAL GROUP LTD                          1            0      0    10700
ARCH COAL INC                                   1            0      0     7545
ARCHER DANIELS MIDLAND CO COM                   1        24024      0        0
ARCHER DANIELS MIDLAND CO COM                   1         3314      0    16893
Archer-Daniels-Midland Co.                      3        45100      0        0
Archstone-Smith Trust                           3        25015      0        0
ARCHSTONE-SMITH TRUST                           2        62167      0        0
ARCHSTONESMITH TRUST (REIT)                     1        51485      0        0
ARCHSTONESMITH TRUST (REIT)                     1         8080      0    11890
ARDEN REALTY INC (REITS)                        1            0      0     1200
ARGONAUT GROUP                                  1          732      0        0
ARIAD PHARMACEUTICALS INC                       1            0      0     2285
ARIBA INC                                       1           34      0        0
ARMOR HLDGS INC                                 1            0      0     2300
ARROW ELECTRONICS INC                           1            0      0     4400
ARROW FINL CORP                                 1            0      0      343
ARROW INTERNATIONAL INC                         1         2000      0        0
ARROW INTERNATIONAL INC                         1            0      0     1200
ARTESIAN RESOURCES CORPORATION CL A             1            0      0      750
ARTHROCARE CORP                                 1            0      0      200
ARVINMERITOR INC COM                            1          202      0        0
ARVINMERITOR INC COM                            1          348      0      900
ArvinMeritor, Inc.                              3        29000      0        0
ASHFORD HOSPITALITY TRUST                       1            0      0     3000
ASHLAND INC COM                                 1         1224      0        0
ASHWORTH INC COM                                1            0      0     5065
ASK JEEVES INC                                  1            0      0     2360
Ask Jeeves, Inc.                                3        27600      0        0
ASML HOLDING NV COM                             1          350      0        0
ASSOCIATED BANC CORP COM                        1            0      0     1580
ASTORIA FINANCIAL CORP COM                      1          450      0        0
ASTORIA FINANCIAL CORP COM                      1            0      0    16815
ASTROMED INC                                    1            0      0     2950
ASYST TECHNOLOGIES, INC.                        1            0      0     6765
AT ROAD INC                                     1            0      0     3050
AT&T CORP                                       1        28000      0       40
AT&T CORP                                       1        19069      0    50743
AT&T WIRELESS SERVICES                          1        48295      0      187
AT&T WIRELESS SERVICES                          1        20462      0    86571
ATC HEALTHCARE INC COM                          1         3000      0        0
AtheroGenics, Inc.                              3         2900      0        0
ATLANTIC COAST AIRLINES HLDGS INC               1            0      0      100

                                     5 OF 64                           5/14/2004




                                                                                                 
ATLANTIS PLASTICS INC CL A                   COMMON STOCK       049156102       124      8000   SHARES                         X
ATLAS PIPELINE PARTNERS LP                   COMMON STOCK       049392103         8       200   SHARES                 X
ATMEL CORP                                   COMMON STOCK       049513104        25      3910   SHARES                 X
ATMEL CORP                                   COMMON STOCK       049513104        16      2500   SHARES                         X
ATMI INC                                     COMMON STOCK       00207R101       279     10600   SHARES                         X
ATMOS ENERGY CORP                            COMMON STOCK       049560105         4       150   SHARES                         X
AUGUST TECHNOLOGY CORP                       COMMON STOCK       05106U105        22      1450   SHARES                         X
August Technology Corp.                      COMMON STOCK       05106U105       327     21800   SHARES                 X
AUTODESK COM                                 COMMON STOCK       052769106       240      7600   SHARES                         X
AUTOLIV INC                                  COMMON STOCK       052800109       242      5900   SHARES                         X
AUTOMATIC DATA PROCESSING INC                COMMON STOCK       053015103      3678     87574   SHARES                 X
AUTOMATIC DATA PROCESSING INC                COMMON STOCK       053015103      3500     83324   SHARES                         X
AUTOMATIC DATA PROCESSING INC                COMMON STOCK       053015103      2024     48198   SHARES           X
AUTONATION INC                               COMMON STOCK       05329W102       394     23100   SHARES                         X
AUTOZONE INC COM                             COMMON STOCK       053332102       133      1550   SHARES                 X
AUTOZONE INC COM                             COMMON STOCK       053332102      1311     15250   SHARES                         X
AVAYA INC COM                                COMMON STOCK       053499109        27      1724   SHARES                 X
AVAYA INC COM                                COMMON STOCK       053499109       243     15273   SHARES                         X
AVERY DENNISON CORP COM                      COMMON STOCK       053611109        37       600   SHARES                 X
AVERY DENNISON CORP COM                      COMMON STOCK       053611109       306      4920   SHARES                         X
AVI BioPharma, Inc.                          COMMON STOCK       002346104        36     12000   SHARES                 X
AVID TECHNOLOGY INC                          COMMON STOCK       05367P100        91      1975   SHARES                         X
AVISTA CORP                                  COMMON STOCK       05379B107         8       400   SHARES                 X
Avista Corp.                                 COMMON STOCK       05379B107       481     25400   SHARES                 X
AVNET INC COM                                COMMON STOCK       053807103        91      3720   SHARES                 X
AVNET INC COM                                COMMON STOCK       053807103       157      6396   SHARES                         X
AVOCENT CORP                                 COMMON STOCK       053893103       111      3000   SHARES                         X
AVON PRODUCTS INC                            COMMON STOCK       054303102       479      6314   SHARES                 X
AVON PRODUCTS INC                            COMMON STOCK       054303102      1258     16582   SHARES                         X
Avon Products, Inc.                          COMMON STOCK       054303102       637      8400   SHARES                 X
AVX CORPORATION COM                          COMMON STOCK       002444107        33      2000   SHARES                 X
AXCELIS TECHNOLOGIES INC COM                 COMMON STOCK       054540109       147     13213   SHARES                         X
AXSYS TECHNOLOGIES INCORPORATED              COMMON STOCK       054615109        91      6287   SHARES                         X
Aztar Corp.                                  COMMON STOCK       054802103      1132     46200   SHARES                 X
AZTAR CORPORATION                            COMMON STOCK       054802103         7       300   SHARES                         X
B2B INTERNET HOLDRS TRUST                    COMMON STOCK       056033103         0       100   SHARES                 X
BAKER HUGHES INC COM                         COMMON STOCK       057224107       342      9370   SHARES                 X
BAKER HUGHES INC COM                         COMMON STOCK       057224107       614     16835   SHARES                         X
BALCHEM CORPORATION CLASS B                  COMMON STOCK       057665200        90      3418   SHARES                         X
BALDWIN & LYONS INC CL A                     COMMON STOCK       057755100        30      1250   SHARES                 X
BALL CORP                                    COMMON STOCK       058498106       813     12000   SHARES                 X
BALL CORP                                    COMMON STOCK       058498106       244      3600   SHARES                         X
BANK NEW YORK INCORPORATED                   COMMON STOCK       064057102      2938     93262   SHARES           X
Bank of America Corp.                        COMMON STOCK       060505104      9456    116780   SHARES                 X
BANK OF AMERICA CORPORATION                  COMMON STOCK       060505104      9880    122010   SHARES                 X
BANK OF AMERICA CORPORATION                  COMMON STOCK       060505104      8199    101243   SHARES                         X
BANK OF AMERICA CORPORATION                  COMMON STOCK       060505104      5848     72218   SHARES           X
BANK OF HAWAII CORP                          COMMON STOCK       062540109        14       300   SHARES                 X
BANK OF HAWAII CORP                          COMMON STOCK       062540109       171      3700   SHARES                         X
Bank of New York Co., Inc.                   COMMON STOCK       064057102      5869    186313   SHARES                 X
BANK OF NEW YORK INC COM                     COMMON STOCK       064057102      7549    239642   SHARES                 X
BANK OF NEW YORK INC COM                     COMMON STOCK       064057102      3075     97628   SHARES                         X
BANK ONE CORP COM                            COMMON STOCK       06423A103      2010     36859   SHARES                 X
BANK ONE CORP COM                            COMMON STOCK       06423A103      2622     48084   SHARES                         X
BANK ONE CORPORATION                         COMMON STOCK       06423A103      1325     24300   SHARES           X
BANKATLANTIC BANCORP INC CL A                COMMON STOCK       065908501        82      4820   SHARES                         X
BANKNORTH GROUP INC                          COMMON STOCK       06646R107       724     21276   SHARES                         X
Banta Corp.                                  COMMON STOCK       066821109      1102     23800   SHARES                 X
BARD C R INC COM                             COMMON STOCK       067383109       415      4246   SHARES                 X
BARD C R INC COM                             COMMON STOCK       067383109      1191     12200   SHARES                         X
BARNES & NOBLE INC                           COMMON STOCK       067774109       714     21900   SHARES                         X
Barnes & Noble, Inc.                         COMMON STOCK       067774109       479     14700   SHARES                 X
BARNES GROUP INCORPORATED                    COMMON STOCK       067806109        28      1000   SHARES                         X
Barr Laboratories, Inc.                      COMMON STOCK       068306109      1226     26700   SHARES                 X


ATLANTIS PLASTICS INC CL A                      1         8000      0        0
ATLAS PIPELINE PARTNERS LP                      1          200      0        0
ATMEL CORP                                      1         3910      0        0
ATMEL CORP                                      1            0      0     2500
ATMI INC                                        1            0      0    10600
ATMOS ENERGY CORP                               1          150      0        0
AUGUST TECHNOLOGY CORP                          1            0      0     1450
August Technology Corp.                         3        21800      0        0
AUTODESK COM                                    1            0      0     7600
AUTOLIV INC                                     1            0      0     5900
AUTOMATIC DATA PROCESSING INC                   1        86174      0     1400
AUTOMATIC DATA PROCESSING INC                   1        51674      0    31650
AUTOMATIC DATA PROCESSING INC                   2        48198      0        0
AUTONATION INC                                  1            0      0    23100
AUTOZONE INC COM                                1            0      0     1550
AUTOZONE INC COM                                1            0      0    15250
AVAYA INC COM                                   1         1724      0        0
AVAYA INC COM                                   1         1989      0    13284
AVERY DENNISON CORP COM                         1          600      0        0
AVERY DENNISON CORP COM                         1         2600      0     2320
AVI BioPharma, Inc.                             3        12000      0        0
AVID TECHNOLOGY INC                             1            0      0     1975
AVISTA CORP                                     1          400      0        0
Avista Corp.                                    3        25400      0        0
AVNET INC COM                                   1         3720      0        0
AVNET INC COM                                   1         2346      0     4050
AVOCENT CORP                                    1            0      0     3000
AVON PRODUCTS INC                               1         6314      0        0
AVON PRODUCTS INC                               1         3772      0    12810
Avon Products, Inc.                             3         8400      0        0
AVX CORPORATION COM                             1         2000      0        0
AXCELIS TECHNOLOGIES INC COM                    1         5608      0     7605
AXSYS TECHNOLOGIES INCORPORATED                 1            0      0     6287
Aztar Corp.                                     3        46200      0        0
AZTAR CORPORATION                               1            0      0      300
B2B INTERNET HOLDRS TRUST                       1          100      0        0
BAKER HUGHES INC COM                            1         9370      0        0
BAKER HUGHES INC COM                            1         1650      0    15185
BALCHEM CORPORATION CLASS B                     1            0      0     3418
BALDWIN & LYONS INC CL A                        1            0      0     1250
BALL CORP                                       1        12000      0        0
BALL CORP                                       1            0      0     3600
BANK NEW YORK INCORPORATED                      2        93262      0        0
Bank of America Corp.                           3       116780      0        0
BANK OF AMERICA CORPORATION                     1       121255      0      755
BANK OF AMERICA CORPORATION                     1        56374      0    44869
BANK OF AMERICA CORPORATION                     2        72218      0        0
BANK OF HAWAII CORP                             1          300      0        0
BANK OF HAWAII CORP                             1          300      0     3400
Bank of New York Co., Inc.                      3       186313      0        0
BANK OF NEW YORK INC COM                        1       239299      0      343
BANK OF NEW YORK INC COM                        1        41080      0    56548
BANK ONE CORP COM                               1        36859      0        0
BANK ONE CORP COM                               1        30064      0    18020
BANK ONE CORPORATION                            2        24300      0        0
BANKATLANTIC BANCORP INC CL A                   1            0      0     4820
BANKNORTH GROUP INC                             1         6000      0    15276
Banta Corp.                                     3        23800      0        0
BARD C R INC COM                                1         3946      0      300
BARD C R INC COM                                1         2700      0     9500
BARNES & NOBLE INC                              1            0      0    21900
Barnes & Noble, Inc.                            3        14700      0        0
BARNES GROUP INCORPORATED                       1            0      0     1000
Barr Laboratories, Inc.                         3        26700      0        0

                                    6 OF 64                            5/14/2004




                                                                                                 
BARR PHARMACEUTICALS INC                     COMMON STOCK       068306109       196      4272   SHARES                 X
BARR PHARMACEUTICALS INC                     COMMON STOCK       068306109       499     10875   SHARES                         X
BARRETT BUSINESS SERVICES INC                COMMON STOCK       068463108        48      3450   SHARES                         X
BASSETT FURNITURE INDUSTRIES INC             COMMON STOCK       070203104         0         1   SHARES                         X
BAUSCH & LOMB INC COM                        COMMON STOCK       071707103       366      6100   SHARES                         X
BAXTER INTL INC                              COMMON STOCK       071813109       536     17354   SHARES                 X
BAXTER INTL INC                              COMMON STOCK       071813109      1214     39305   SHARES                         X
BB & T CORPORATION                           COMMON STOCK       054937107      1932     54740   SHARES           X
BB&T CORP COM                                COMMON STOCK       054937107       249      7045   SHARES                 X
BB&T CORP COM                                COMMON STOCK       054937107      1598     45256   SHARES                         X
BCSB BANKCORP INC COM                        COMMON STOCK       054948104        19      1000   SHARES                         X
BEA SYSTEMS INC                              COMMON STOCK       073325102        27      2100   SHARES                 X
BEA SYSTEMS INC                              COMMON STOCK       073325102       186     14640   SHARES                         X
BEAR STEARNS COS INC                         COMMON STOCK       073902108       135      1545   SHARES                 X
BEAR STEARNS COS INC                         COMMON STOCK       073902108       597      6806   SHARES                         X
BEARINGPOINT INC                             COMMON STOCK       074002106        21      2000   SHARES                 X
BEARINGPOINT INC                             COMMON STOCK       074002106        59      5500   SHARES                         X
BEAZER HOMES USA INC                         COMMON STOCK       07556Q105       212      2000   SHARES                         X
BECKMAN COULTER INC                          COMMON STOCK       075811109        57      1050   SHARES                 X
BECKMAN COULTER INC                          COMMON STOCK       075811109       308      5648   SHARES                         X
BECTON DICKINSON & CO COM                    COMMON STOCK       075887109       302      6225   SHARES                 X
BECTON DICKINSON & CO COM                    COMMON STOCK       075887109      2012     41500   SHARES                         X
Becton, Dickinson & Co.                      COMMON STOCK       075887109       582     12000   SHARES                 X
BED BATH & BEYOND INC COM                    COMMON STOCK       075896100       446     10634   SHARES                 X
BED BATH & BEYOND INC COM                    COMMON STOCK       075896100      1802     43010   SHARES                         X
Bed Bath & Beyond, Inc.                      COMMON STOCK       075896100      2238     53600   SHARES                 X
Bedford Property Investors, Inc.             COMMON STOCK       076446301       430     14100   SHARES                 X
BELLSOUTH CORP                               COMMON STOCK       079860102     10472    378182   SHARES                 X
BELLSOUTH CORP                               COMMON STOCK       079860102      9392    339193   SHARES                         X
BELLSOUTH CORP                               COMMON STOCK       079860102       800     28872   SHARES                 X
BELO CORPORATION CL A                        COMMON STOCK       080555105       209      7520   SHARES                         X
BEMIS INC                                    COMMON STOCK       081437105        21       800   SHARES                 X
BEMIS INC                                    COMMON STOCK       081437105       410     15750   SHARES                         X
BENCHMARK ELECTRONICS INC                    COMMON STOCK       08160H101        26       832   SHARES                         X
BERKLEY W R CORP                             COMMON STOCK       084423102       479     12000   SHARES                         X
BERKSHIRE BANCORP INC COM                    COMMON STOCK       084597103        27       464   SHARES                         X
BERKSHIRE HATHAWAY INC                       COMMON STOCK       084670207       684       220   SHARES                 X
BERKSHIRE HATHAWAY INC                       COMMON STOCK       084670207       762       245   SHARES                         X
BERKSHIRE HATHAWAY INC CLASS A               COMMON STOCK       084670108        93         1   SHARES                 X
BERKSHIRE HATHAWAY INC CLASS A               COMMON STOCK       084670108      1026        11   SHARES                         X
BEST BUY INC COM                             COMMON STOCK       086516101       223      4307   SHARES                 X
BEST BUY INC COM                             COMMON STOCK       086516101       313      6050   SHARES                         X
BIG LOTS INC COM                             COMMON STOCK       089302103        28      1900   SHARES                         X
BIO RAD LABS INC CL A                        COMMON STOCK       090572207        23       400   SHARES                         X
BIOANALYTICAL SYSTEMS INCORPORATED           COMMON STOCK       09058M103         0        16   SHARES                 X
BIOGEN IDEC INC                              COMMON STOCK       09062X103       773     13899   SHARES                 X
BIOGEN IDEC INC                              COMMON STOCK       09062X103       374      6730   SHARES                         X
Biogen Idec, Inc.                            COMMON STOCK       09062X103      1434     25800   SHARES                 X
Bioject Medical Technologies, Inc.           COMMON STOCK       09059T206        91     29900   SHARES                 X
BIOMET COM                                   COMMON STOCK       090613100        44      1150   SHARES                 X
BIOMET COM                                   COMMON STOCK       090613100      1763     45970   SHARES                         X
BIOSITE INC COM                              COMMON STOCK       090945106        16       500   SHARES                         X
BIOVERIS CORPORATION                         COMMON STOCK       090676107         6       500   SHARES                         X
BISYS GROUP INC COM                          COMMON STOCK       055472104        50      3000   SHARES                 X
BISYS GROUP INC COM                          COMMON STOCK       055472104       247     14750   SHARES                         X
BJ SVCS CO COM                               COMMON STOCK       055482103       208      4810   SHARES                         X
BJ'S WHOLESALE CLUB INC COM                  COMMON STOCK       05548J106       337     13240   SHARES                 X
BJ'S WHOLESALE CLUB INC COM                  COMMON STOCK       05548J106       171      6700   SHARES                         X
BJ's Wholesale Club, Inc.                    COMMON STOCK       05548J106      1576     61900   SHARES                 X
BLACK & DECKER CORP COM                      COMMON STOCK       091797100       352      6183   SHARES                 X
BLACK & DECKER CORP COM                      COMMON STOCK       091797100      1320     23176   SHARES                         X
Black Box Corp.                              COMMON STOCK       091826107       595     11100   SHARES                 X
BLACK BOX CORPORATION COM                    COMMON STOCK       091826107        80      1500   SHARES                 X
BLACK BOX CORPORATION COM                    COMMON STOCK       091826107       155      2900   SHARES                         X


BARR PHARMACEUTICALS INC                        1         4272      0        0
BARR PHARMACEUTICALS INC                        1            0      0    10875
BARRETT BUSINESS SERVICES INC                   1            0      0     3450
BASSETT FURNITURE INDUSTRIES INC                1            0      0        1
BAUSCH & LOMB INC COM                           1         1800      0     4300
BAXTER INTL INC                                 1        14454      0     2900
BAXTER INTL INC                                 1        19933      0    19372
BB & T CORPORATION                              2        54740      0        0
BB&T CORP COM                                   1         6645      0      400
BB&T CORP COM                                   1        27901      0    17355
BCSB BANKCORP INC COM                           1            0      0     1000
BEA SYSTEMS INC                                 1         2100      0        0
BEA SYSTEMS INC                                 1            0      0    14640
BEAR STEARNS COS INC                            1         1545      0        0
BEAR STEARNS COS INC                            1         1206      0     5600
BEARINGPOINT INC                                1         2000      0        0
BEARINGPOINT INC                                1            0      0     5500
BEAZER HOMES USA INC                            1            0      0     2000
BECKMAN COULTER INC                             1          550      0      500
BECKMAN COULTER INC                             1          600      0     5048
BECTON DICKINSON & CO COM                       1         5475      0      750
BECTON DICKINSON & CO COM                       1        17900      0    23600
Becton, Dickinson & Co.                         3        12000      0        0
BED BATH & BEYOND INC COM                       1        10634      0        0
BED BATH & BEYOND INC COM                       1         1280      0    41730
Bed Bath & Beyond, Inc.                         3        53600      0        0
Bedford Property Investors, Inc.                3        14100      0        0
BELLSOUTH CORP                                  1       377182      0     1000
BELLSOUTH CORP                                  1       246714      0    92479
BELLSOUTH CORP                                  3        28872      0        0
BELO CORPORATION CL A                           1            0      0     7520
BEMIS INC                                       1            0      0      800
BEMIS INC                                       1            0      0    15750
BENCHMARK ELECTRONICS INC                       1            0      0      832
BERKLEY W R CORP                                1            0      0    12000
BERKSHIRE BANCORP INC COM                       1            0      0      464
BERKSHIRE HATHAWAY INC                          1          190      0       30
BERKSHIRE HATHAWAY INC                          1          148      0       97
BERKSHIRE HATHAWAY INC CLASS A                  1            1      0        0
BERKSHIRE HATHAWAY INC CLASS A                  1            3      0        8
BEST BUY INC COM                                1         4307      0        0
BEST BUY INC COM                                1         1850      0     4200
BIG LOTS INC COM                                1            0      0     1900
BIO RAD LABS INC CL A                           1            0      0      400
BIOANALYTICAL SYSTEMS INCORPORATED              1           16      0        0
BIOGEN IDEC INC                                 1        13899      0        0
BIOGEN IDEC INC                                 1          485      0     6245
Biogen Idec, Inc.                               3        25800      0        0
Bioject Medical Technologies, Inc.              3        29900      0        0
BIOMET COM                                      1            0      0     1150
BIOMET COM                                      1         5700      0    40270
BIOSITE INC COM                                 1            0      0      500
BIOVERIS CORPORATION                            1            0      0      500
BISYS GROUP INC COM                             1         3000      0        0
BISYS GROUP INC COM                             1            0      0    14750
BJ SVCS CO COM                                  1            0      0     4810
BJ'S WHOLESALE CLUB INC COM                     1        10280      0     2960
BJ'S WHOLESALE CLUB INC COM                     1          400      0     6300
BJ's Wholesale Club, Inc.                       3        61900      0        0
BLACK & DECKER CORP COM                         1         6183      0        0
BLACK & DECKER CORP COM                         1        18376      0     4800
Black Box Corp.                                 3        11100      0        0
BLACK BOX CORPORATION COM                       1            0      0     1500
BLACK BOX CORPORATION COM                       1            0      0     2900

                                    7 OF 64                            5/14/2004




                                                                                                 
BLACK HILLS CORP                             COMMON STOCK       092113109       195      6125   SHARES                         X
BLOCK H & R INC                              COMMON STOCK       093671105        62      1220   SHARES                 X
BLOCK H & R INC                              COMMON STOCK       093671105       342      6700   SHARES                         X
BLOCKBUSTER INC                              COMMON STOCK       093679108       231     13200   SHARES                         X
BLYTH INC COM                                COMMON STOCK       09643P108        39      1200   SHARES                 X
BLYTH INC COM                                COMMON STOCK       09643P108        33      1000   SHARES                         X
BMC SOFTWARE INC COM                         COMMON STOCK       055921100         4       200   SHARES                 X
BMC SOFTWARE INC COM                         COMMON STOCK       055921100        58      2953   SHARES                         X
BOEING CO COM                                COMMON STOCK       097023105       929     22624   SHARES                 X
BOEING CO COM                                COMMON STOCK       097023105      1537     37416   SHARES                         X
BOISE CASCADE CORP COM                       COMMON STOCK       097383103       187      5400   SHARES                         X
BOK FINANCIAL CORPORATION                    COMMON STOCK       05561Q201         0        12   SHARES                 X
Bombay Co., Inc.                             COMMON STOCK       097924104       511     65100   SHARES                 X
BONTON STORES INCORPORATED                   COMMON STOCK       09776J101       848     55000   SHARES                 X
BORDERS GROUP INC COM                        COMMON STOCK       099709107        32      1346   SHARES                 X
BORDERS GROUP INC COM                        COMMON STOCK       099709107       394     16600   SHARES                         X
BORG WARNER INC COM                          COMMON STOCK       099724106       372      4385   SHARES                 X
BORG WARNER INC COM                          COMMON STOCK       099724106       185      2175   SHARES                         X
BorgWarner, Inc.                             COMMON STOCK       099724106      3528     41600   SHARES                 X
BORLAND SOFTWARE CORP COM                    COMMON STOCK       099849101        29      3270   SHARES                         X
BOSTON BEER INCORPORATED CLASS A             COMMON STOCK       100557107         1        50   SHARES                 X
BOSTON BEER INCORPORATED CLASS A             COMMON STOCK       100557107         2       100   SHARES                         X
BOSTON PRIVATE BANCORP INC COM               COMMON STOCK       101119105       158      5638   SHARES                 X
BOSTON PRIVATE BANCORP INC COM               COMMON STOCK       101119105        71      2550   SHARES                         X
Boston Private Financial Holdings            COMMON STOCK       101119105       801     28600   SHARES                 X
BOSTON PROPERTIES INC (REIT)                 COMMON STOCK       101121101       863     15893   SHARES                 X
BOSTON PROPERTIES INC (REIT)                 COMMON STOCK       101121101       712     13107   SHARES                         X
BOSTON PROPERTIES INCORPORATED               COMMON STOCK       101121101       228      4200   SHARES           X
BOSTON SCIENTIFIC CORP COM                   COMMON STOCK       101137107       571     13480   SHARES                 X
BOSTON SCIENTIFIC CORP COM                   COMMON STOCK       101137107       499     11770   SHARES                         X
BOSTON SCIENTIFIC CORPORATION                COMMON STOCK       101137107      2902     47500   SHARES           X
BOWATER INC COM                              COMMON STOCK       102183100       478     10950   SHARES                         X
Boykin Lodging Co.                           COMMON STOCK       103430104       510     55000   SHARES                 X
BRANDYWINE REALTY TRUST (REIT)               COMMON STOCK       105368203        70      2300   SHARES                 X
BRANDYWINE REALTY TRUST (REIT)               COMMON STOCK       105368203       371     12150   SHARES                         X
BRIGGS & STRATTON CORP                       COMMON STOCK       109043109        30       450   SHARES                 X
BRIGGS & STRATTON CORP                       COMMON STOCK       109043109       418      6200   SHARES                         X
Briggs & Stratton Corp.                      COMMON STOCK       109043109      1066     15800   SHARES                 X
BRIGHT HORIZONS FAMILY SOLUTIONS INC         COMMON STOCK       109195107        47      1000   SHARES                         X
Brightpoint, Inc.                            COMMON STOCK       109473405       338     22000   SHARES                 X
Brinker International, Inc.                  COMMON STOCK       109641100      1195     31500   SHARES                 X
BRINKER INTL INC COM                         COMMON STOCK       109641100      2857     75316   SHARES                 X
BRINKER INTL INC COM                         COMMON STOCK       109641100      1309     34502   SHARES                         X
BRINK'S COMPANY                              COMMON STOCK       109696104       848     30740   SHARES                         X
BRISTOL MYERS SQUIBB CO                      COMMON STOCK       110122108     11357    468724   SHARES                 X
BRISTOL MYERS SQUIBB CO                      COMMON STOCK       110122108     11287    465819   SHARES                         X
BRISTOL MYERS SQUIBB COMPANY                 COMMON STOCK       110122108      1534     63316   SHARES           X
BRISTOL WEST HOLDINGS INC                    COMMON STOCK       11037M105       206     10100   SHARES                         X
BROADCOM CORP CL A                           COMMON STOCK       111320107        18       450   SHARES                 X
BROADCOM CORP CL A                           COMMON STOCK       111320107       439     11250   SHARES                         X
Broadvision, Inc.                            COMMON STOCK       111412607       281     45900   SHARES                 X
BROCADE COMMUNICATIONS SYS INC COM           COMMON STOCK       111621108       538     81000   SHARES                         X
BROOKS AUTOMATION                            COMMON STOCK       114340102        19       900   SHARES                         X
Brooks Automation, Inc.                      COMMON STOCK       114340102      1462     69700   SHARES                 X
BROWN SHOE CO INC COM                        COMMON STOCK       115736100       175      4800   SHARES                         X
BROWN TOM INC COM NEW                        COMMON STOCK       115660201       297      7890   SHARES                         X
BRUNSWICK CORP COM                           COMMON STOCK       117043109       463     11350   SHARES                         X
BRYN MAWR BANK CORPORATION                   COMMON STOCK       117665109       261     11392   SHARES                 X
BRYN MAWR BANK CORPORATION                   COMMON STOCK       117665109        37      1600   SHARES                         X
BSB BANCORP INC                              COMMON STOCK       055652101        33       863   SHARES                 X
BSB BANCORP INC                              COMMON STOCK       055652101        26       688   SHARES                         X
BUCKEYE PARTNERS LP UNIT LTD PARTNER         COMMON STOCK       118230101        14       334   SHARES                 X
BUCKEYE PARTNERS LP UNIT LTD PARTNER         COMMON STOCK       118230101       367      8500   SHARES                         X
BURLINGTON NORTHN SANTA FE CORP COM          COMMON STOCK       12189T104       311      9875   SHARES                 X


BLACK HILLS CORP                                1          225      0     5900
BLOCK H & R INC                                 1         1220      0        0
BLOCK H & R INC                                 1         2400      0     4300
BLOCKBUSTER INC                                 1            0      0    13200
BLYTH INC COM                                   1            0      0     1200
BLYTH INC COM                                   1            0      0     1000
BMC SOFTWARE INC COM                            1          200      0        0
BMC SOFTWARE INC COM                            1            0      0     2953
BOEING CO COM                                   1        22424      0      200
BOEING CO COM                                   1        23546      0    13870
BOISE CASCADE CORP COM                          1            0      0     5400
BOK FINANCIAL CORPORATION                       1           12      0        0
Bombay Co., Inc.                                3        65100      0        0
BONTON STORES INCORPORATED                      1        55000      0        0
BORDERS GROUP INC COM                           1         1346      0        0
BORDERS GROUP INC COM                           1            0      0    16600
BORG WARNER INC COM                             1         4385      0        0
BORG WARNER INC COM                             1            0      0     2175
BorgWarner, Inc.                                3        41600      0        0
BORLAND SOFTWARE CORP COM                       1            0      0     3270
BOSTON BEER INCORPORATED CLASS A                1           50      0        0
BOSTON BEER INCORPORATED CLASS A                1          100      0        0
BOSTON PRIVATE BANCORP INC COM                  1         5638      0        0
BOSTON PRIVATE BANCORP INC COM                  1            0      0     2550
Boston Private Financial Holdings               3        28600      0        0
BOSTON PROPERTIES INC (REIT)                    1        15893      0        0
BOSTON PROPERTIES INC (REIT)                    1         6413      0     6694
BOSTON PROPERTIES INCORPORATED                  2         4200      0        0
BOSTON SCIENTIFIC CORP COM                      1        13480      0        0
BOSTON SCIENTIFIC CORP COM                      1            0      0    11770
BOSTON SCIENTIFIC CORPORATION                   2        47500      0        0
BOWATER INC COM                                 1          900      0    10050
Boykin Lodging Co.                              3        55000      0        0
BRANDYWINE REALTY TRUST (REIT)                  1         2300      0        0
BRANDYWINE REALTY TRUST (REIT)                  1         4700      0     7450
BRIGGS & STRATTON CORP                          1          450      0        0
BRIGGS & STRATTON CORP                          1            0      0     6200
Briggs & Stratton Corp.                         3        15800      0        0
BRIGHT HORIZONS FAMILY SOLUTIONS INC            1            0      0     1000
Brightpoint, Inc.                               3        22000      0        0
Brinker International, Inc.                     3        31500      0        0
BRINKER INTL INC COM                            1        75091      0      225
BRINKER INTL INC COM                            1        33892      0      610
BRINK'S COMPANY                                 1            0      0    30740
BRISTOL MYERS SQUIBB CO                         1       457684      0    11040
BRISTOL MYERS SQUIBB CO                         1       362179      0   103640
BRISTOL MYERS SQUIBB COMPANY                    2        63316      0        0
BRISTOL WEST HOLDINGS INC                       1            0      0    10100
BROADCOM CORP CL A                              1          450      0        0
BROADCOM CORP CL A                              1            0      0    11250
Broadvision, Inc.                               3        45900      0        0
BROCADE COMMUNICATIONS SYS INC COM              1            0      0    81000
BROOKS AUTOMATION                               1            0      0      900
Brooks Automation, Inc.                         3        69700      0        0
BROWN SHOE CO INC COM                           1          300      0     4500
BROWN TOM INC COM NEW                           1            0      0     7890
BRUNSWICK CORP COM                              1            0      0    11350
BRYN MAWR BANK CORPORATION                      1        11392      0        0
BRYN MAWR BANK CORPORATION                      1         1600      0        0
BSB BANCORP INC                                 1          863      0        0
BSB BANCORP INC                                 1          351      0      337
BUCKEYE PARTNERS LP UNIT LTD PARTNER            1          334      0        0
BUCKEYE PARTNERS LP UNIT LTD PARTNER            1         1000      0     7500
BURLINGTON NORTHN SANTA FE CORP COM             1         9875      0        0

                                     8 OF 64                           5/14/2004




                                                                                                 
BURLINGTON NORTHN SANTA FE CORP COM          COMMON STOCK       12189T104      1160     36818   SHARES                         X
BURLINGTON RES INC                           COMMON STOCK       122014103      3958     62194   SHARES                 X
BURLINGTON RES INC                           COMMON STOCK       122014103      6888    108252   SHARES                 X
BURLINGTON RES INC                           COMMON STOCK       122014103      1586     24930   SHARES                         X
BUSH INDUSTRIES CL A                         COMMON STOCK       123164105         0       113   SHARES                         X
C & D TECHNOLOGIES INC COM                   COMMON STOCK       124661109        45      2700   SHARES                         X
C H ROBINSON WORLDWIDE INC                   COMMON STOCK       12541W100       145      3500   SHARES                 X
C H ROBINSON WORLDWIDE INC                   COMMON STOCK       12541W100       436     10500   SHARES                         X
C.H. Robinson Worldwide, Inc.                COMMON STOCK       12541W100      1038     25000   SHARES                 X
CABLE DESIGN TECHNOLOGIES COM                COMMON STOCK       126924109       130     13700   SHARES                         X
CABLEVISION NY GROUP CL A                    COMMON STOCK       12686C109       352     15400   SHARES                         X
CABOT CORP COM                               COMMON STOCK       127055101       531     16200   SHARES                         X
CABOT MICROELECTRONICS CORP COM              COMMON STOCK       12709P103        77      1825   SHARES                         X
Cabot Microelectronics Corp.                 COMMON STOCK       12709P103       249      5900   SHARES                 X
CACHE INC                                    COMMON STOCK       127150308        56      1710   SHARES                 X
CACI INTL INC CL A                           COMMON STOCK       127190304        91      2125   SHARES                         X
CADENCE DESIGN SYS INC                       COMMON STOCK       127387108       241     16359   SHARES                 X
CADENCE DESIGN SYS INC                       COMMON STOCK       127387108        82      5550   SHARES                         X
Cadence Design Systems, Inc.                 COMMON STOCK       127387108       609     41300   SHARES                 X
CADMUS COMMUNICATIONS CORP COM               COMMON STOCK       127587103        36      2700   SHARES                         X
CAESARS ENTERTAINMENT INC                    COMMON STOCK       127687101        46      3497   SHARES                 X
CAESARS ENTERTAINMENT INC                    COMMON STOCK       127687101       106      8125   SHARES                         X
CAL DIVE INTERNATIONAL INC                   COMMON STOCK       127914109       341     13200   SHARES                         X
Cal Dive International, Inc.                 COMMON STOCK       127914109       346     13400   SHARES                 X
CALIFORNIA AMPLIFIER INC                     COMMON STOCK       129900106        34      2500   SHARES                 X
CALIFORNIA PIZZA KITCHEN INC COM             COMMON STOCK       13054D109        24      1200   SHARES                         X
CALLAWAY GOLF CO COM                         COMMON STOCK       131193104         4       213   SHARES                 X
CALLAWAY GOLF CO COM                         COMMON STOCK       131193104       591     31120   SHARES                         X
CALLON PETROLEUM COMPANY                     COMMON STOCK       13123X102        34      3300   SHARES                         X
CALPINE CORP COM                             COMMON STOCK       131347106        31      6600   SHARES                 X
CALPINE CORP COM                             COMMON STOCK       131347106       403     86250   SHARES                         X
CALTON INCORPORATED NEW                      COMMON STOCK       131380503         0        30   SHARES                         X
CAMBREX CORP COM                             COMMON STOCK       132011107       129      4800   SHARES                         X
CAMCO FINL CORP COM                          COMMON STOCK       132618109        10       611   SHARES                         X
CAMDEN PROPERTY TRUST (REIT)                 COMMON STOCK       133131102        45      1000   SHARES                 X
CAMPBELL SOUP CO COM                         COMMON STOCK       134429109       150      5516   SHARES                 X
CAMPBELL SOUP CO COM                         COMMON STOCK       134429109       448     16426   SHARES                         X
CAP ROCK ENERGY CORPORATION                  COMMON STOCK       13910R102        19       600   SHARES                         X
CAPITAL AUTOMOTIVE (REIT)                    COMMON STOCK       139733109        94      2670   SHARES                         X
CAPITAL AUTOMOTIVE REIT                      COMMON STOCK       139733109      2412     68300   SHARES           X
CAPITAL CITY BANK GROUP INCORPORATED         COMMON STOCK       139674105        33       793   SHARES                         X
CAPITAL ONE FINANCIAL CORP                   COMMON STOCK       14040H105      7800    103405   SHARES                 X
CAPITAL ONE FINANCIAL CORP                   COMMON STOCK       14040H105      2338     30995   SHARES                         X
CAPITAL ONE FINANCIAL CORP                   COMMON STOCK       14040h105     12661    167837   SHARES                 X
CAPITAL ONE FINANCIAL CORPORATION            COMMON STOCK       14040H105      6442     85400   SHARES           X
CAPITALSOURCE INC                            COMMON STOCK       14055X102       146      6500   SHARES                         X
CAPSTONE TURBINE CORP                        COMMON STOCK       14067D102         0       100   SHARES                         X
CAPTIVA SOFTWARE CORPORATION                 COMMON STOCK       14073T109        19      1400   SHARES                         X
CARAUSTAR INDUSTRIES INC                     COMMON STOCK       140909102        61      5210   SHARES                         X
CARBO CERAMICS INC COMMON                    COMMON STOCK       140781105        85      1350   SHARES                         X
CARDINAL FINANCIAL CORP                      COMMON STOCK       14149F109         6       575   SHARES                         X
CARDINAL HEALTH INCORPORATED                 COMMON STOCK       14149Y108       496      7200   SHARES           X
Cardinal Health, Inc.                        COMMON STOCK       14149Y108      6720     97540   SHARES                 X
CARDINAL HLTH INC                            COMMON STOCK       14149Y108      4820     69958   SHARES                 X
CARDINAL HLTH INC                            COMMON STOCK       14149Y108      1364     19792   SHARES                         X
CardioDynamics International Corp.           COMMON STOCK       141597104       140     22200   SHARES                 X
CARDIOTECH INTERNATIONAL INC                 COMMON STOCK       14160C100        16      3170   SHARES                         X
CAREER EDUCATION CORP COM                    COMMON STOCK       141665109       790     13975   SHARES                         X
CAREMARK RX INC COM                          COMMON STOCK       141705103      9116    274185   SHARES                 X
CAREMARK RX INC COM                          COMMON STOCK       141705103      7449    224017   SHARES                 X
CAREMARK RX INC COM                          COMMON STOCK       141705103      1195     35946   SHARES                         X
CARLISLE COMPANIES INC                       COMMON STOCK       142339100       102      1800   SHARES                 X
CARLISLE COMPANIES INC                       COMMON STOCK       142339100      1686     29758   SHARES                         X
CARMAX INC                                   COMMON STOCK       143130102      6856    234790   SHARES                 X


BURLINGTON NORTHN SANTA FE CORP COM             1        13318      0    23500
BURLINGTON RES INC                              3        62194      0        0
BURLINGTON RES INC                              1       107558      0      694
BURLINGTON RES INC                              1        19438    400     5092
BUSH INDUSTRIES CL A                            1          113      0        0
C & D TECHNOLOGIES INC COM                      1            0      0     2700
C H ROBINSON WORLDWIDE INC                      1         3500      0        0
C H ROBINSON WORLDWIDE INC                      1            0      0    10500
C.H. Robinson Worldwide, Inc.                   3        25000      0        0
CABLE DESIGN TECHNOLOGIES COM                   1            0      0    13700
CABLEVISION NY GROUP CL A                       1            0      0    15400
CABOT CORP COM                                  1            0      0    16200
CABOT MICROELECTRONICS CORP COM                 1            0      0     1825
Cabot Microelectronics Corp.                    3         5900      0        0
CACHE INC                                       1            0      0     1710
CACI INTL INC CL A                              1            0      0     2125
CADENCE DESIGN SYS INC                          1        16359      0        0
CADENCE DESIGN SYS INC                          1         4650      0      900
Cadence Design Systems, Inc.                    3        41300      0        0
CADMUS COMMUNICATIONS CORP COM                  1            0      0     2700
CAESARS ENTERTAINMENT INC                       1         3497      0        0
CAESARS ENTERTAINMENT INC                       1            0      0     8125
CAL DIVE INTERNATIONAL INC                      1            0      0    13200
Cal Dive International, Inc.                    3        13400      0        0
CALIFORNIA AMPLIFIER INC                        1         2500      0        0
CALIFORNIA PIZZA KITCHEN INC COM                1         1200      0        0
CALLAWAY GOLF CO COM                            1          213      0        0
CALLAWAY GOLF CO COM                            1            0      0    31120
CALLON PETROLEUM COMPANY                        1            0      0     3300
CALPINE CORP COM                                1         6600      0        0
CALPINE CORP COM                                1         1250      0    85000
CALTON INCORPORATED NEW                         1           30      0        0
CAMBREX CORP COM                                1            0      0     4800
CAMCO FINL CORP COM                             1            0      0      611
CAMDEN PROPERTY TRUST (REIT)                    1         1000      0        0
CAMPBELL SOUP CO COM                            1         5516      0        0
CAMPBELL SOUP CO COM                            1        16426      0        0
CAP ROCK ENERGY CORPORATION                     1          600      0        0
CAPITAL AUTOMOTIVE (REIT)                       1            0      0     2670
CAPITAL AUTOMOTIVE REIT                         2        68300      0        0
CAPITAL CITY BANK GROUP INCORPORATED            1            0      0      793
CAPITAL ONE FINANCIAL CORP                      1       101660      0     1745
CAPITAL ONE FINANCIAL CORP                      1        16645      0    14350
CAPITAL ONE FINANCIAL CORP                      3       167837      0        0
CAPITAL ONE FINANCIAL CORPORATION               2        85400      0        0
CAPITALSOURCE INC                               1            0      0     6500
CAPSTONE TURBINE CORP                           1          100      0        0
CAPTIVA SOFTWARE CORPORATION                    1            0      0     1400
CARAUSTAR INDUSTRIES INC                        1            0      0     5210
CARBO CERAMICS INC COMMON                       1            0      0     1350
CARDINAL FINANCIAL CORP                         1            0      0      575
CARDINAL HEALTH INCORPORATED                    2         7200      0        0
Cardinal Health, Inc.                           3        97540      0        0
CARDINAL HLTH INC                               1        68918      0     1040
CARDINAL HLTH INC                               1         5614      0    14178
CardioDynamics International Corp.              3        22200      0        0
CARDIOTECH INTERNATIONAL INC                    1            0      0     3170
CAREER EDUCATION CORP COM                       1            0      0    13975
CAREMARK RX INC COM                             3       274185      0        0
CAREMARK RX INC COM                             1       220229      0     3788
CAREMARK RX INC COM                             1        21166      0    14780
CARLISLE COMPANIES INC                          1          500      0     1300
CARLISLE COMPANIES INC                          1        22400      0     7358
CARMAX INC                                      3       234790      0        0

                                    9 OF 64                            5/14/2004




                                                                                                 
CARMAX INC                                   COMMON STOCK       143130102      4090    140073   SHARES                 X
CARMAX INC                                   COMMON STOCK       143130102       295     10116   SHARES                         X
Carnival Corp.                               COMMON STOCK       143658300      3803     84681   SHARES                 X
CARNIVAL CORPORATION                         COMMON STOCK       143658300      5191    115582   SHARES                 X
CARNIVAL CORPORATION                         COMMON STOCK       143658300      1414     31483   SHARES                         X
CARPENTER TECHNOLOGY CORP COM                COMMON STOCK       144285103       172      5222   SHARES                 X
CARPENTER TECHNOLOGY CORP COM                COMMON STOCK       144285103       117      3564   SHARES                         X
CARREKER CORP                                COMMON STOCK       144433109       475     60000   SHARES                         X
Cascade Bancorp                              COMMON STOCK       147154108       152      6600   SHARES                 X
CASH AMERICA INTERNATIONAL INC               COMMON STOCK       14754D100        61      2630   SHARES                         X
CATALINA MARKETING CORP COM                  COMMON STOCK       148867104       283     14600   SHARES                         X
CATELLUS DEVELOPMENT CORPORATION             COMMON STOCK       149113102        31      1180   SHARES                         X
CATERPILLAR INC                              COMMON STOCK       149123101      1257     15892   SHARES                 X
CATERPILLAR INC                              COMMON STOCK       149123101      1208     15277   SHARES                         X
Caterpillar, Inc.                            COMMON STOCK       149123101      1107     14000   SHARES                 X
CATHAY GENERAL BANCORP                       COMMON STOCK       149150104        39       590   SHARES                 X
CATHAY GENERAL BANCORP                       COMMON STOCK       149150104        13       200   SHARES                         X
CAVCO INDUSTRIES, INC.                       COMMON STOCK       149568107         4       105   SHARES                 X
CAVCO INDUSTRIES, INC.                       COMMON STOCK       149568107         2        51   SHARES                         X
CBRL GROUP INC                               COMMON STOCK       12489V106         8       200   SHARES                 X
CBRL GROUP INC                               COMMON STOCK       12489V106       313      7900   SHARES                         X
CCBT FINANCIAL COMPANIES INC                 COMMON STOCK       12500Q102        18       500   SHARES                 X
CCBT FINANCIAL COMPANIES INC                 COMMON STOCK       12500Q102        53      1450   SHARES                         X
CCC INFORMATION SERVICES GROUP INC           COMMON STOCK       12487Q109       246     13588   SHARES                         X
CCOR NET CORP COM                            COMMON STOCK       125010108      1276     91000   SHARES                         X
CDI CORPORATION                              COMMON STOCK       125071100       187      5800   SHARES                         X
CDW Corp.                                    COMMON STOCK       12512N105      3468     51300   SHARES                 X
CDW CORPORATION                              COMMON STOCK       12512N105       525      7766   SHARES                 X
CEC ENTERTAINMENT INC COM                    COMMON STOCK       125137109       354     10200   SHARES                         X
CEDAR FAIR LTD PTR                           COMMON STOCK       150185106        24       700   SHARES                 X
CEDAR FAIR LTD PTR                           COMMON STOCK       150185106        14       400   SHARES                         X
CEDAR SHOPPING CENTERS INC                   COMMON STOCK       150602209        98      6900   SHARES                         X
CELGENE CORP COM                             COMMON STOCK       151020104       862     18100   SHARES                         X
CELL GENESYS INC                             COMMON STOCK       150921104         7       600   SHARES                         X
Cell Genesys, Inc.                           COMMON STOCK       150921104      1149     95429   SHARES                 X
CENDANT CORP COM                             COMMON STOCK       151313103     12837    528803   SHARES                 X
CENDANT CORP COM                             COMMON STOCK       151313103     10038    411578   SHARES                 X
CENDANT CORP COM                             COMMON STOCK       151313103      1685     69076   SHARES                         X
CENTENE CORPORATION                          COMMON STOCK       15135B101       232      7600   SHARES                         X
CENTENNIAL COMMUNICATIONS CORP               COMMON STOCK       15133V208        10      1400   SHARES                         X
CENTER BANCORP, INC                          COMMON STOCK       151408101        29      1800   SHARES                         X
CENTERPOINT ENERGY INC                       COMMON STOCK       15189T107        12      1083   SHARES                 X
CENTERPOINT ENERGY INC                       COMMON STOCK       15189T107        37      3200   SHARES                         X
CENTERPOINT PROPERTIES CORP (REIT)           COMMON STOCK       151895109        41       500   SHARES                         X
CENTEX CORP                                  COMMON STOCK       152312104      2756     50977   SHARES                 X
CENTEX CORP                                  COMMON STOCK       152312104      1239     22924   SHARES                         X
CENTRAL GARDEN & PET CO                      COMMON STOCK       153527106        17       480   SHARES                 X
CENTRAL GARDEN & PET CO                      COMMON STOCK       153527106        65      1800   SHARES                         X
CENTRAL PACIFIC FINANCIAL CORP               COMMON STOCK       154760102        12       400   SHARES                         X
CENTURY BUSINESS SERVICES INC                COMMON STOCK       156490104         5      1000   SHARES                 X
CENTURYTEL INC COM                           COMMON STOCK       156700106        48      1749   SHARES                 X
CENTURYTEL INC COM                           COMMON STOCK       156700106       528     19200   SHARES                         X
CenturyTel, Inc.                             COMMON STOCK       156700106       302     11000   SHARES                 X
CEPHALON INC COM                             COMMON STOCK       156708109       155      2700   SHARES                 X
CEPHALON INC COM                             COMMON STOCK       156708109       315      5500   SHARES                         X
CERIDIAN CORP NEW COM                        COMMON STOCK       156779100       130      6600   SHARES                         X
CERNER CORP                                  COMMON STOCK       156782104      6553    145000   SHARES                 X
CERNER CORP                                  COMMON STOCK       156782104      2817     62455   SHARES                 X
CERNER CORP                                  COMMON STOCK       156782104        33       730   SHARES                         X
CERTEGY INC COM                              COMMON STOCK       156880106        18       500   SHARES                         X
CFS BANCORP INC COM                          COMMON STOCK       12525D102        15      1000   SHARES                         X
CH ENERGY GROUP INC COM                      COMMON STOCK       12541M102       184      3740   SHARES                 X
CH ENERGY GROUP INC COM                      COMMON STOCK       12541M102        31       640   SHARES                         X
CHAMPION ENTERPRISES INC                     COMMON STOCK       158496109       208     19600   SHARES                         X


CARMAX INC                                      1       137528      0     2545
CARMAX INC                                      1         7346      0     2770
Carnival Corp.                                  3        84681      0        0
CARNIVAL CORPORATION                            1       115454      0      128
CARNIVAL CORPORATION                            1        12658      0    18825
CARPENTER TECHNOLOGY CORP COM                   1         5222      0        0
CARPENTER TECHNOLOGY CORP COM                   1         1964      0     1600
CARREKER CORP                                   1            0      0    60000
Cascade Bancorp                                 3         6600      0        0
CASH AMERICA INTERNATIONAL INC                  1            0      0     2630
CATALINA MARKETING CORP COM                     1            0      0    14600
CATELLUS DEVELOPMENT CORPORATION                1            0      0     1180
CATERPILLAR INC                                 1        15892      0        0
CATERPILLAR INC                                 1         8027      0     7250
Caterpillar, Inc.                               3        14000      0        0
CATHAY GENERAL BANCORP                          1            0      0      590
CATHAY GENERAL BANCORP                          1            0      0      200
CAVCO INDUSTRIES, INC.                          1          105      0        0
CAVCO INDUSTRIES, INC.                          1           51      0        0
CBRL GROUP INC                                  1          200      0        0
CBRL GROUP INC                                  1          100      0     7800
CCBT FINANCIAL COMPANIES INC                    1          500      0        0
CCBT FINANCIAL COMPANIES INC                    1         1250      0      200
CCC INFORMATION SERVICES GROUP INC              1            0      0    13588
CCOR NET CORP COM                               1        91000      0        0
CDI CORPORATION                                 1         5800      0        0
CDW Corp.                                       3        51300      0        0
CDW CORPORATION                                 1         7766      0        0
CEC ENTERTAINMENT INC COM                       1            0      0    10200
CEDAR FAIR LTD PTR                              1          700      0        0
CEDAR FAIR LTD PTR                              1          400      0        0
CEDAR SHOPPING CENTERS INC                      1            0      0     6900
CELGENE CORP COM                                1          400      0    17700
CELL GENESYS INC                                1            0      0      600
Cell Genesys, Inc.                              3        95429      0        0
CENDANT CORP COM                                3       528803      0        0
CENDANT CORP COM                                1       402719      0     8859
CENDANT CORP COM                                1        32715      0    36361
CENTENE CORPORATION                             1            0      0     7600
CENTENNIAL COMMUNICATIONS CORP                  1            0      0     1400
CENTER BANCORP, INC                             1            0      0     1800
CENTERPOINT ENERGY INC                          1         1083      0        0
CENTERPOINT ENERGY INC                          1         3200      0        0
CENTERPOINT PROPERTIES CORP (REIT)              1            0      0      500
CENTEX CORP                                     1        50977      0        0
CENTEX CORP                                     1        15514      0     7410
CENTRAL GARDEN & PET CO                         1          480      0        0
CENTRAL GARDEN & PET CO                         1            0      0     1800
CENTRAL PACIFIC FINANCIAL CORP                  1            0      0      400
CENTURY BUSINESS SERVICES INC                   1         1000      0        0
CENTURYTEL INC COM                              1         1749      0        0
CENTURYTEL INC COM                              1            0      0    19200
CenturyTel, Inc.                                3        11000      0        0
CEPHALON INC COM                                1         2700      0        0
CEPHALON INC COM                                1            0      0     5500
CERIDIAN CORP NEW COM                           1          400      0     6200
CERNER CORP                                     3       145000      0        0
CERNER CORP                                     1        62330      0      125
CERNER CORP                                     1          730      0        0
CERTEGY INC COM                                 1          500      0        0
CFS BANCORP INC COM                             1            0      0     1000
CH ENERGY GROUP INC COM                         1         3740      0        0
CH ENERGY GROUP INC COM                         1          640      0        0
CHAMPION ENTERPRISES INC                        1            0      0    19600

                                    10 OF 64                           5/14/2004




                                                                                                 
CHAMPPS ENTERTAINMENT INCORPORATED           COMMON STOCK       158787101        47      5550   SHARES                         X
CHARLES RIVER LABS INTL INC COM              COMMON STOCK       159864107       636     14850   SHARES                         X
CHARLOTTE RUSSE HOLDING INC                  COMMON STOCK       161048103        84      4600   SHARES                         X
CHARMING SHOPPES INC                         COMMON STOCK       161133103       199     25600   SHARES                         X
CHARTER COMMUNICATIONS INC CL A              COMMON STOCK       16117M107         6      1200   SHARES                 X
CHARTER ONE FINL INC COM                     COMMON STOCK       160903100        22       610   SHARES                 X
CHARTER ONE FINL INC COM                     COMMON STOCK       160903100       487     13768   SHARES                         X
CHARTERMAC                                   COMMON STOCK       160908109       240      9674   SHARES                 X
CHASE CORPORATION                            COMMON STOCK       16150R104        36      2600   SHARES                         X
CHECK POINT SOFTWARE TECH COM                COMMON STOCK       M22465104         3       150   SHARES                         X
CHECKFREE CORP COM                           COMMON STOCK       162813109       345     11700   SHARES                         X
Checkpoint Systems, Inc.                     COMMON STOCK       162825103       675     35700   SHARES                 X
CHELSEA PPTY GROUP INC                       COMMON STOCK       163421100       299      4745   SHARES                         X
CHESAPEAKE ENERGY CORP COM                   COMMON STOCK       165167107       417     31100   SHARES                         X
CHESAPEAKE UTILITIES CORPORATION             COMMON STOCK       165303108        19       750   SHARES                         X
CHEVRONTEXACO CORP                           COMMON STOCK       166764100      8102     92300   SHARES                 X
CHEVRONTEXACO CORP                           COMMON STOCK       166764100     21902    249514   SHARES                 X
CHEVRONTEXACO CORP                           COMMON STOCK       166764100     16673    189943   SHARES                         X
CHEVRONTEXACO CORPORATION                    COMMON STOCK       166764100       474      5405   SHARES           X
Chicago Bridge & Iron Co., N.V.              COMMON STOCK       167250109       259      9300   SHARES                 X
CHICAGO MECANTILE HLDGS INC CL A             COMMON STOCK       167760107        85       880   SHARES                         X
Chicago Pizza & Brewery, Inc.                COMMON STOCK       167889104       188     14400   SHARES                 X
CHICOS FAS INC                               COMMON STOCK       168615102       209      4500   SHARES                 X
CHICOS FAS INC                               COMMON STOCK       168615102       773     16650   SHARES                         X
CHIPPAC INC                                  COMMON STOCK       169657103        28      3525   SHARES                         X
ChipPAC, Inc.                                COMMON STOCK       169657103       492     62200   SHARES                 X
CHIQUITA BRANDS INTL INC                     COMMON STOCK       170032809       172      8250   SHARES                         X
CHIRON CORP COM                              COMMON STOCK       170040109        13       300   SHARES                         X
CHOICEPOINT INC COM                          COMMON STOCK       170388102        26       683   SHARES                 X
CHOICEPOINT INC COM                          COMMON STOCK       170388102        15       400   SHARES                         X
CHOLESTECH CORPORATION                       COMMON STOCK       170393102        34      3900   SHARES                         X
CHORDIANT SOFTWARE INCORPORATED              COMMON STOCK       170404107        19      3550   SHARES                         X
CHRISTOPHER & BANKS CORP                     COMMON STOCK       171046105        65      3100   SHARES                 X
CHRISTOPHER & BANKS CORP                     COMMON STOCK       171046105       148      7000   SHARES                         X
Christopher & Banks Corp.                    COMMON STOCK       171046105       670     31750   SHARES                 X
CHUBB CORP                                   COMMON STOCK       171232101       893     12848   SHARES                 X
CHUBB CORP                                   COMMON STOCK       171232101      1836     26399   SHARES                         X
Chubb Corp.                                  COMMON STOCK       171232101      1384     19900   SHARES                 X
CHURCH & DWIGHT CO INC                       COMMON STOCK       171340102       179      4140   SHARES                         X
CIENA CORP                                   COMMON STOCK       171779101        37      7368   SHARES                 X
CIENA CORP                                   COMMON STOCK       171779101        44      8930   SHARES                         X
CIGNA CORP                                   COMMON STOCK       125509109       391      6625   SHARES                 X
CIGNA CORP                                   COMMON STOCK       125509109       592     10034   SHARES                         X
CINCINNATI BELL INC                          COMMON STOCK       171871106         4      1000   SHARES                 X
CINCINNATI BELL INC                          COMMON STOCK       171871106         5      1300   SHARES                         X
CINCINNATI FINANCIAL CORPORATION             COMMON STOCK       172062101       385      8850   SHARES           X
CINCINNATI FINL CORP COM                     COMMON STOCK       172062101        52      1200   SHARES                 X
CINCINNATI FINL CORP COM                     COMMON STOCK       172062101       743     17100   SHARES                         X
CINERGY CORP                                 COMMON STOCK       172474108       227      5547   SHARES                 X
CINERGY CORP                                 COMMON STOCK       172474108        57      1405   SHARES                         X
CINTAS CORP COM                              COMMON STOCK       172908105        15       350   SHARES                 X
CINTAS CORP COM                              COMMON STOCK       172908105       262      6025   SHARES                         X
CIRCOR INTL INC COM                          COMMON STOCK       17273K109       113      5000   SHARES                         X
CIRCUIT STORES COM                           COMMON STOCK       172737108       163     14395   SHARES                 X
CIRCUIT STORES COM                           COMMON STOCK       172737108        72      6400   SHARES                         X
CIRRUS LOGIC INC                             COMMON STOCK       172755100        15      2000   SHARES                 X
CISCO SYS INC                                COMMON STOCK       17275R102     25120   1065763   SHARES                 X
CISCO SYS INC                                COMMON STOCK       17275R102     10617    450433   SHARES                         X
CISCO SYS INC                                COMMON STOCK       17275R102     14524    617501   SHARES                 X
CISCO SYSTEMS INCORPORATED                   COMMON STOCK       17275R102      2467    104674   SHARES           X
CIT GROUP INC                                COMMON STOCK       125581108      3287     86393   SHARES                 X
CIT GROUP INC                                COMMON STOCK       125581108       229      6023   SHARES                         X
CIT Group, Inc.                              COMMON STOCK       125581108      5479    144000   SHARES                 X
CITADEL BROADCASTING COMPANY                 COMMON STOCK       17285T106        86      4900   SHARES                         X


CHAMPPS ENTERTAINMENT INCORPORATED              1            0      0     5550
CHARLES RIVER LABS INTL INC COM                 1            0      0    14850
CHARLOTTE RUSSE HOLDING INC                     1            0      0     4600
CHARMING SHOPPES INC                            1            0      0    25600
CHARTER COMMUNICATIONS INC CL A                 1         1200      0        0
CHARTER ONE FINL INC COM                        1          610      0        0
CHARTER ONE FINL INC COM                        1         1000      0    12768
CHARTERMAC                                      1         9674      0        0
CHASE CORPORATION                               1         2600      0        0
CHECK POINT SOFTWARE TECH COM                   1          150      0        0
CHECKFREE CORP COM                              1            0      0    11700
Checkpoint Systems, Inc.                        3        35700      0        0
CHELSEA PPTY GROUP INC                          1            0      0     4745
CHESAPEAKE ENERGY CORP COM                      1            0      0    31100
CHESAPEAKE UTILITIES CORPORATION                1          750      0        0
CHEVRONTEXACO CORP                              3        92300      0        0
CHEVRONTEXACO CORP                              1       248839      0      675
CHEVRONTEXACO CORP                              1       121196      0    68747
CHEVRONTEXACO CORPORATION                       2         5405      0        0
Chicago Bridge & Iron Co., N.V.                 3         9300      0        0
CHICAGO MECANTILE HLDGS INC CL A                1            0      0      880
Chicago Pizza & Brewery, Inc.                   3        14400      0        0
CHICOS FAS INC                                  1         4500      0        0
CHICOS FAS INC                                  1          500      0    16150
CHIPPAC INC                                     1            0      0     3525
ChipPAC, Inc.                                   3        62200      0        0
CHIQUITA BRANDS INTL INC                        1            0      0     8250
CHIRON CORP COM                                 1            0      0      300
CHOICEPOINT INC COM                             1          683      0        0
CHOICEPOINT INC COM                             1          400      0        0
CHOLESTECH CORPORATION                          1         2000      0     1900
CHORDIANT SOFTWARE INCORPORATED                 1            0      0     3550
CHRISTOPHER & BANKS CORP                        1         3100      0        0
CHRISTOPHER & BANKS CORP                        1            0      0     7000
Christopher & Banks Corp.                       3        31750      0        0
CHUBB CORP                                      1        12848      0        0
CHUBB CORP                                      1         9164      0    17235
Chubb Corp.                                     3        19900      0        0
CHURCH & DWIGHT CO INC                          1            0      0     4140
CIENA CORP                                      1         7368      0        0
CIENA CORP                                      1         2800      0     6130
CIGNA CORP                                      1         6625      0        0
CIGNA CORP                                      1         4034      0     6000
CINCINNATI BELL INC                             1         1000      0        0
CINCINNATI BELL INC                             1            0      0     1300
CINCINNATI FINANCIAL CORPORATION                2         8850      0        0
CINCINNATI FINL CORP COM                        1          600      0      600
CINCINNATI FINL CORP COM                        1            0      0    17100
CINERGY CORP                                    1         5547      0        0
CINERGY CORP                                    1         1405      0        0
CINTAS CORP COM                                 1          350      0        0
CINTAS CORP COM                                 1          900      0     5125
CIRCOR INTL INC COM                             1            0      0     5000
CIRCUIT STORES COM                              1        14395      0        0
CIRCUIT STORES COM                              1         5800      0      600
CIRRUS LOGIC INC                                1         2000      0        0
CISCO SYS INC                                   1      1053903      0    11860
CISCO SYS INC                                   1       242605    700   207128
CISCO SYS INC                                   3       617501      0        0
CISCO SYSTEMS INCORPORATED                      2       104674      0        0
CIT GROUP INC                                   1        85348      0     1045
CIT GROUP INC                                   1         1290      0     4733
CIT Group, Inc.                                 3       144000      0        0
CITADEL BROADCASTING COMPANY                    1            0      0     4900

                                    11 OF 64                           5/14/2004




                                                                                                 
CITIGROUP INC COM                            COMMON STOCK       172967101     24748    478697   SHARES                 X
CITIGROUP INC COM                            COMMON STOCK       172967101     30639    592640   SHARES                 X
CITIGROUP INC COM                            COMMON STOCK       172967101     18790    363441   SHARES                         X
CITIGROUP INCORPORATED                       COMMON STOCK       172967101      5690    110058   SHARES           X
CITIZENS COMMUNICATIONS CO COM               COMMON STOCK       17453B101         8       586   SHARES                 X
CITIZENS COMMUNICATIONS CO COM               COMMON STOCK       17453B101        17      1283   SHARES                         X
CITRIX SYSTEMS INC COM                       COMMON STOCK       177376100       219     10125   SHARES                 X
CITRIX SYSTEMS INC COM                       COMMON STOCK       177376100        30      1400   SHARES                         X
CITY BANK, LYNWOOD WA                        COMMON STOCK       17770A109        45      1321   SHARES                         X
CITY NATIONAL CORP COM                       COMMON STOCK       178566105       144      2400   SHARES                         X
CLAIRES STORES INCORPORATED                  COMMON STOCK       179584107         4       200   SHARES                 X
CLAIRES STORES INCORPORATED                  COMMON STOCK       179584107        33      1575   SHARES                         X
CLARCOR INC                                  COMMON STOCK       179895107       162      3675   SHARES                         X
CLEAR CHANNEL COMMUNICATIONS INC             COMMON STOCK       184502102       361      8520   SHARES           X
CLEAR CHANNEL COMMUNICATIONS INC COM         COMMON STOCK       184502102      7940    187497   SHARES                 X
CLEAR CHANNEL COMMUNICATIONS INC COM         COMMON STOCK       184502102       710     16760   SHARES                         X
CLEAR CHANNEL COMMUNICATIONS INC.            COMMON STOCK       184502102      7122    168173   SHARES                 X
CLECO CORP                                   COMMON STOCK       12561W105        60      3140   SHARES                         X
CLOROX CO COM                                COMMON STOCK       189054109       607     12419   SHARES                 X
CLOROX CO COM                                COMMON STOCK       189054109       822     16815   SHARES                         X
Clorox Co.                                   COMMON STOCK       189054109      1702     34800   SHARES                 X
CMGI INC COM                                 COMMON STOCK       125750109         1       440   SHARES                 X
CMS ENERGY CORP COM                          COMMON STOCK       125896100        13      1450   SHARES                 X
CMS ENERGY CORP COM                          COMMON STOCK       125896100       211     23600   SHARES                         X
CNET NETWORKS INC                            COMMON STOCK       12613R104        73      7100   SHARES                 X
CNF INC COM                                  COMMON STOCK       12612W104        32       950   SHARES                 X
CNF INC COM                                  COMMON STOCK       12612W104        24       700   SHARES                         X
CNS INCORPORATED                             COMMON STOCK       126136100         4       400   SHARES                         X
COACH INC                                    COMMON STOCK       189754104       908     22140   SHARES                 X
COACH INC                                    COMMON STOCK       189754104       918     22391   SHARES                         X
Coach, Inc.                                  COMMON STOCK       189754104      1898     46300   SHARES                 X
COCA COLA CO COM                             COMMON STOCK       191216100     11303    224703   SHARES                 X
COCA COLA CO COM                             COMMON STOCK       191216100      9612    191088   SHARES                         X
COCA COLA COMPANY                            COMMON STOCK       191216100       287      5700   SHARES           X
COCA COLA ENTERPRISES INC                    COMMON STOCK       191219104        24      1000   SHARES                 X
Coca-Cola Co.                                COMMON STOCK       191216100      2058     40900   SHARES                 X
CODORUS VALLEY BANCORP INC                   COMMON STOCK       192025104      1108     52114   SHARES                 X
CODORUS VALLEY BANCORP INC                   COMMON STOCK       192025104        87      4089   SHARES                         X
COEUR D'ALENE MINES CORP                     COMMON STOCK       192108108         7      1000   SHARES                 X
Cognex Corp.                                 COMMON STOCK       192422103       615     18500   SHARES                 X
COGNIZANT TECH SOL CORP                      COMMON STOCK       192446102        46      1015   SHARES                         X
COHU INCORPORATED                            COMMON STOCK       192576106        63      3350   SHARES                         X
COINSTAR INCORPORATED                        COMMON STOCK       19259P300        47      3000   SHARES                         X
COLDWATER CREEK INCORPORATED                 COMMON STOCK       193068103        31      1435   SHARES                         X
COLE KENNETH PRODUCTIONS INC CL A            COMMON STOCK       193294105       164      4800   SHARES                         X
COLGATE PALMOLIVE CO COM                     COMMON STOCK       194162103      6535    118600   SHARES                 X
COLGATE PALMOLIVE CO COM                     COMMON STOCK       194162103      9403    170659   SHARES                 X
COLGATE PALMOLIVE CO COM                     COMMON STOCK       194162103      3876     70347   SHARES                         X
COLGATE PALMOLIVE COMPANY                    COMMON STOCK       194162103      3563     64657   SHARES           X
COLLAGENEX PHARMACEUTICALS INC               COMMON STOCK       19419B100         3       200   SHARES                         X
COLONIAL BANCGROUP INC                       COMMON STOCK       195493309       111      6005   SHARES                         X
Colonial BancGroup, Inc.                     COMMON STOCK       195493309       969     52400   SHARES                 X
COLONIAL PROPERTIES TRUST (REIT)             COMMON STOCK       195872106        33       800   SHARES                         X
COLUMBIA BANCORP                             COMMON STOCK       197227101       189      6092   SHARES                 X
Columbia Laboratories, Inc.                  COMMON STOCK       197779101        51     10300   SHARES                 X
COLUMBIA SPORTSWEAR CO COM                   COMMON STOCK       198516106        53       965   SHARES                         X
COLUMBUS MCKINNON CORP COM                   COMMON STOCK       199333105        23      3000   SHARES                         X
COMCAST CORP NEW A                           COMMON STOCK       20030N101     10051    349490   SHARES                 X
COMCAST CORP NEW A                           COMMON STOCK       20030N101      2124     73846   SHARES                         X
COMCAST CORP NEW A                           COMMON STOCK       20030N101     11506    400310   SHARES                 X
COMCAST CORPSPECIAL CL A                     COMMON STOCK       20030N200      1084     38916   SHARES                 X
COMCAST CORPSPECIAL CL A                     COMMON STOCK       20030N200      1666     59833   SHARES                         X
COMERICA INC                                 COMMON STOCK       200340107        71      1300   SHARES                 X
COMERICA INC                                 COMMON STOCK       200340107       570     10500   SHARES                         X


CITIGROUP INC COM                               3       478697      0        0
CITIGROUP INC COM                               1       588009      0     4631
CITIGROUP INC COM                               1       186332      0   177109
CITIGROUP INCORPORATED                          2       110058      0        0
CITIZENS COMMUNICATIONS CO COM                  1          586      0        0
CITIZENS COMMUNICATIONS CO COM                  1          483      0      800
CITRIX SYSTEMS INC COM                          1         9725      0      400
CITRIX SYSTEMS INC COM                          1            0      0     1400
CITY BANK, LYNWOOD WA                           1            0      0     1321
CITY NATIONAL CORP COM                          1            0      0     2400
CLAIRES STORES INCORPORATED                     1          200      0        0
CLAIRES STORES INCORPORATED                     1            0      0     1575
CLARCOR INC                                     1            0      0     3675
CLEAR CHANNEL COMMUNICATIONS INC                2         8520      0        0
CLEAR CHANNEL COMMUNICATIONS INC COM            1       165395      0    22102
CLEAR CHANNEL COMMUNICATIONS INC COM            1        10107      0     6653
CLEAR CHANNEL COMMUNICATIONS INC.               3       168173      0        0
CLECO CORP                                      1          800      0     2340
CLOROX CO COM                                   1        12419      0        0
CLOROX CO COM                                   1         3915      0    12900
Clorox Co.                                      3        34800      0        0
CMGI INC COM                                    1          440      0        0
CMS ENERGY CORP COM                             1         1450      0        0
CMS ENERGY CORP COM                             1            0      0    23600
CNET NETWORKS INC                               1            0      0     7100
CNF INC COM                                     1          950      0        0
CNF INC COM                                     1          700      0        0
CNS INCORPORATED                                1            0      0      400
COACH INC                                       1        22140      0        0
COACH INC                                       1         4177      0    18214
Coach, Inc.                                     3        46300      0        0
COCA COLA CO COM                                1       224488      0      215
COCA COLA CO COM                                1       132843      0    58245
COCA COLA COMPANY                               2         5700      0        0
COCA COLA ENTERPRISES INC                       1         1000      0        0
Coca-Cola Co.                                   3        40900      0        0
CODORUS VALLEY BANCORP INC                      1        52114      0        0
CODORUS VALLEY BANCORP INC                      1         1589      0     2500
COEUR D'ALENE MINES CORP                        1         1000      0        0
Cognex Corp.                                    3        18500      0        0
COGNIZANT TECH SOL CORP                         1            0      0     1015
COHU INCORPORATED                               1            0      0     3350
COINSTAR INCORPORATED                           1            0      0     3000
COLDWATER CREEK INCORPORATED                    1            0      0     1435
COLE KENNETH PRODUCTIONS INC CL A               1            0      0     4800
COLGATE PALMOLIVE CO COM                        3       118600      0        0
COLGATE PALMOLIVE CO COM                        1       170554      0      105
COLGATE PALMOLIVE CO COM                        1        49847      0    20500
COLGATE PALMOLIVE COMPANY                       2        64657      0        0
COLLAGENEX PHARMACEUTICALS INC                  1            0      0      200
COLONIAL BANCGROUP INC                          1         4000      0     2005
Colonial BancGroup, Inc.                        3        52400      0        0
COLONIAL PROPERTIES TRUST (REIT)                1          800      0        0
COLUMBIA BANCORP                                1         6092      0        0
Columbia Laboratories, Inc.                     3        10300      0        0
COLUMBIA SPORTSWEAR CO COM                      1            0      0      965
COLUMBUS MCKINNON CORP COM                      1            0      0     3000
COMCAST CORP NEW A                              1       344141      0     5349
COMCAST CORP NEW A                              1        55191      0    18655
COMCAST CORP NEW A                              3       400310      0        0
COMCAST CORPSPECIAL CL A                        1        29076      0     9840
COMCAST CORPSPECIAL CL A                        1        12498      0    47335
COMERICA INC                                    1          825      0      475
COMERICA INC                                    1          300      0    10200

                                    12 OF 64                           5/14/2004




                                                                                                 
COMFORT SYSTEMS USA INCORPORATED             COMMON STOCK       199908104        93     12900   SHARES                         X
COMMERCE BANCORP INC N J                     COMMON STOCK       200519106        55       842   SHARES                 X
COMMERCE BANCORP INC N J                     COMMON STOCK       200519106        10       150   SHARES                         X
COMMERCE BANCSHARES INC COM                  COMMON STOCK       200525103        28       577   SHARES                 X
COMMERCE BANCSHARES INC COM                  COMMON STOCK       200525103       827     17325   SHARES                         X
COMMERCE GROUP INC COM                       COMMON STOCK       200641108        67      1400   SHARES                         X
Commerce Group, Inc.                         COMMON STOCK       200641108       835     17400   SHARES                 X
COMMERCIAL CAP BANCORP INC                   COMMON STOCK       20162L105        48      2099   SHARES                         X
Commercial Capital Bancorp, Inc.             COMMON STOCK       20162L105      1175     51266   SHARES                 X
COMMERCIAL FEDERAL COM                       COMMON STOCK       201647104       535     19384   SHARES                         X
Commercial Federal Corp.                     COMMON STOCK       201647104       789     28600   SHARES                 X
COMMERCIAL NET LEASE REALTY (REIT)           COMMON STOCK       202218103        14       700   SHARES                         X
COMMONWEALTH TEL ENTERPRISES INC COM         COMMON STOCK       203349105        97      2363   SHARES                 X
COMMSCOPE INC COM                            COMMON STOCK       203372107       168     10100   SHARES                         X
COMMUNITY BANKS INC COM                      COMMON STOCK       203628102       981     31446   SHARES                 X
COMMUNITY BANKS INC COM                      COMMON STOCK       203628102      2153     68999   SHARES                         X
Community Health Systems, Inc.               COMMON STOCK       203668108       804     28900   SHARES                 X
COMMUNITY HLTH SYS INC NEW COM               COMMON STOCK       203668108       127      4580   SHARES                 X
COMPUDYNE CORPORATION                        COMMON STOCK       204795306        39      3500   SHARES                         X
COMPUTER ASSOC INTL INC                      COMMON STOCK       204912109        76      2837   SHARES                 X
COMPUTER ASSOC INTL INC                      COMMON STOCK       204912109       288     10712   SHARES                         X
COMPUTER NETWORK TECHNOLOGY CORP             COMMON STOCK       204925101        24      3000   SHARES                 X
COMPUTER NETWORK TECHNOLOGY CORP             COMMON STOCK       204925101        26      3250   SHARES                         X
COMPUTER PROGRAMS & SYSTEMS INC              COMMON STOCK       205306103        61      3200   SHARES                         X
COMPUTER SCIENCES CORP COM                   COMMON STOCK       205363104       379      9395   SHARES                 X
COMPUTER SCIENCES CORP COM                   COMMON STOCK       205363104       231      5725   SHARES                         X
Computer Sciences Corp.                      COMMON STOCK       205363104       657     16300   SHARES                 X
COMPUTER TASK GROUP COM                      COMMON STOCK       205477102       311     58750   SHARES                 X
COMPUWARE CORP                               COMMON STOCK       205638109        55      7400   SHARES                 X
COMPUWARE CORP                               COMMON STOCK       205638109       114     15400   SHARES                         X
COMSTOCK RESOURCES INC                       COMMON STOCK       205768203        32      1600   SHARES                         X
COMVERSE TECHNOLOGY INC COM                  COMMON STOCK       205862402        72      3950   SHARES                 X
COMVERSE TECHNOLOGY INC COM                  COMMON STOCK       205862402        71      3900   SHARES                         X
CONAGRA FOODS INC                            COMMON STOCK       205887102       210      7788   SHARES                 X
CONAGRA FOODS INC                            COMMON STOCK       205887102       433     16091   SHARES                         X
CONCORD CAMERA CORP                          COMMON STOCK       206156101        15      2450   SHARES                         X
CONCUR TECHNOLOGIES INCORPORATED             COMMON STOCK       206708109       195     17400   SHARES                         X
CONEXANT SYS INC COM                         COMMON STOCK       207142100        12      2020   SHARES                 X
CONEXANT SYS INC COM                         COMMON STOCK       207142100        63     10228   SHARES                         X
CONMED CORP COM                              COMMON STOCK       207410101       160      5400   SHARES                         X
CONOCOPHILLIPS                               COMMON STOCK       20825C104      4674     66955   SHARES                 X
CONOCOPHILLIPS                               COMMON STOCK       20825C104      5412     77528   SHARES                         X
ConocoPhillips                               COMMON STOCK       20825C104      1007     14426   SHARES                 X
CONSECO INC                                  COMMON STOCK       208464883        22       967   SHARES                 X
CONSECO INC                                  COMMON STOCK       208464883         0         9   SHARES                         X
CONSOLIDATED EDISON INC COM                  COMMON STOCK       209115104       125      2845   SHARES                 X
CONSOLIDATED EDISON INC COM                  COMMON STOCK       209115104       324      7347   SHARES                         X
CONSTELLATION BRANDS INC CL A                COMMON STOCK       21036P108        65      2024   SHARES                 X
CONSTELLATION BRANDS INC CL A                COMMON STOCK       21036P108       587     18300   SHARES                         X
Constellation Energy Group                   COMMON STOCK       210371100      2377     59500   SHARES                 X
CONSTELLATION ENERGY GROUP INC COM           COMMON STOCK       210371100      3800     95109   SHARES                 X
CONSTELLATION ENERGY GROUP INC COM           COMMON STOCK       210371100      3865     96745   SHARES                         X
CONSUMER PORTFOLIO SERVICES                  COMMON STOCK       210502100         8      2500   SHARES                         X
CONTINENTAL AIRLINES CL B                    COMMON STOCK       210795308       501     40000   SHARES                         X
CONVERGYS CORP                               COMMON STOCK       212485106        19      1250   SHARES                 X
CONVERGYS CORP                               COMMON STOCK       212485106       261     17190   SHARES                         X
COOPER CAMERON CORP COM                      COMMON STOCK       216640102        25       566   SHARES                 X
COOPER CAMERON CORP COM                      COMMON STOCK       216640102       439      9975   SHARES                         X
Cooper Industries, LTD., Class A             COMMON STOCK       G24182100      1372     24000   SHARES                 X
Cooper Tire & Rubber Co.                     COMMON STOCK       216831107       901     44700   SHARES                 X
COOPER TIRE & RUBR CO COM                    COMMON STOCK       216831107        46      2300   SHARES                 X
COOPER TIRE & RUBR CO COM                    COMMON STOCK       216831107       392     19430   SHARES                         X
COORS, ADOLPH CO CL B                        COMMON STOCK       217016104         7       100   SHARES                 X
COORS, ADOLPH CO CL B                        COMMON STOCK       217016104       333      4800   SHARES                         X


COMFORT SYSTEMS USA INCORPORATED                1            0      0    12900
COMMERCE BANCORP INC N J                        1          842      0        0
COMMERCE BANCORP INC N J                        1            0      0      150
COMMERCE BANCSHARES INC COM                     1            0      0      577
COMMERCE BANCSHARES INC COM                     1            0      0    17325
COMMERCE GROUP INC COM                          1            0      0     1400
Commerce Group, Inc.                            3        17400      0        0
COMMERCIAL CAP BANCORP INC                      1            0      0     2099
Commercial Capital Bancorp, Inc.                3        51266      0        0
COMMERCIAL FEDERAL COM                          1            0      0    19384
Commercial Federal Corp.                        3        28600      0        0
COMMERCIAL NET LEASE REALTY (REIT)              1          700      0        0
COMMONWEALTH TEL ENTERPRISES INC COM            1         2363      0        0
COMMSCOPE INC COM                               1            0      0    10100
COMMUNITY BANKS INC COM                         1        31446      0        0
COMMUNITY BANKS INC COM                         1        68999      0        0
Community Health Systems, Inc.                  3        28900      0        0
COMMUNITY HLTH SYS INC NEW COM                  1         4580      0        0
COMPUDYNE CORPORATION                           1            0      0     3500
COMPUTER ASSOC INTL INC                         1         2837      0        0
COMPUTER ASSOC INTL INC                         1         1512      0     9200
COMPUTER NETWORK TECHNOLOGY CORP                1         3000      0        0
COMPUTER NETWORK TECHNOLOGY CORP                1            0      0     3250
COMPUTER PROGRAMS & SYSTEMS INC                 1            0      0     3200
COMPUTER SCIENCES CORP COM                      1         9395      0        0
COMPUTER SCIENCES CORP COM                      1          925      0     4800
Computer Sciences Corp.                         3        16300      0        0
COMPUTER TASK GROUP COM                         1            0      0    58750
COMPUWARE CORP                                  1         7400      0        0
COMPUWARE CORP                                  1            0      0    15400
COMSTOCK RESOURCES INC                          1            0      0     1600
COMVERSE TECHNOLOGY INC COM                     1         3950      0        0
COMVERSE TECHNOLOGY INC COM                     1         3900      0        0
CONAGRA FOODS INC                               1         7488      0      300
CONAGRA FOODS INC                               1         7641      0     8450
CONCORD CAMERA CORP                             1            0      0     2450
CONCUR TECHNOLOGIES INCORPORATED                1            0      0    17400
CONEXANT SYS INC COM                            1         2020      0        0
CONEXANT SYS INC COM                            1         1992      0     8236
CONMED CORP COM                                 1            0      0     5400
CONOCOPHILLIPS                                  1        66227      0      728
CONOCOPHILLIPS                                  1        26042    400    51086
ConocoPhillips                                  3        14426      0        0
CONSECO INC                                     1          967      0        0
CONSECO INC                                     1            9      0        0
CONSOLIDATED EDISON INC COM                     1         2845      0        0
CONSOLIDATED EDISON INC COM                     1         7347      0        0
CONSTELLATION BRANDS INC CL A                   1         2024      0        0
CONSTELLATION BRANDS INC CL A                   1          400      0    17900
Constellation Energy Group                      3        59500      0        0
CONSTELLATION ENERGY GROUP INC COM              1        95109      0        0
CONSTELLATION ENERGY GROUP INC COM              1        84545      0    12200
CONSUMER PORTFOLIO SERVICES                     1         2500      0        0
CONTINENTAL AIRLINES CL B                       1            0      0    40000
CONVERGYS CORP                                  1         1250      0        0
CONVERGYS CORP                                  1          940      0    16250
COOPER CAMERON CORP COM                         1          566      0        0
COOPER CAMERON CORP COM                         1            0      0     9975
Cooper Industries, LTD., Class A                3        24000      0        0
Cooper Tire & Rubber Co.                        3        44700      0        0
COOPER TIRE & RUBR CO COM                       1         2300      0        0
COOPER TIRE & RUBR CO COM                       1            0      0    19430
COORS, ADOLPH CO CL B                           1          100      0        0
COORS, ADOLPH CO CL B                           1         3300      0     1500

                                    13 OF 64                           5/14/2004




                                                                                                 
Corillian Corp.                              COMMON STOCK       218725109       742    149990   SHARES                 X
Corixa, Corp.                                COMMON STOCK       21887F100       579     90500   SHARES                 X
CORN PRODS INTL INC COM                      COMMON STOCK       219023108        55      1369   SHARES                 X
CORN PRODS INTL INC COM                      COMMON STOCK       219023108       235      5869   SHARES                         X
CORNING INC                                  COMMON STOCK       219350105      2919    261097   SHARES                 X
CORNING INC                                  COMMON STOCK       219350105       563     50340   SHARES                         X
CORPORATE EXECUTIVE BOARD CO COM             COMMON STOCK       21988R102        52      1100   SHARES                         X
CORTEX PHARMACEUTICALS INC                   COMMON STOCK       220524300         4      1390   SHARES                         X
Corus Bankshares, Inc.                       COMMON STOCK       220873103       403     10000   SHARES                 X
COST PLUS INC COM                            COMMON STOCK       221485105       401      9600   SHARES                         X
Cost Plus, Inc.                              COMMON STOCK       221485105       601     14400   SHARES                 X
COSTCO WHOLESALE CORP COM                    COMMON STOCK       22160K105       570     15150   SHARES                 X
COSTCO WHOLESALE CORP COM                    COMMON STOCK       22160K105      1187     31560   SHARES                         X
COUNTRYWIDE FINANCIAL CORP                   COMMON STOCK       222372104       149      1550   SHARES                 X
COUNTRYWIDE FINANCIAL CORP                   COMMON STOCK       222372104       992     10347   SHARES                         X
Countrywide Financial Corp.                  COMMON STOCK       222372104      1373     14313   SHARES                 X
COVANCE INC COM                              COMMON STOCK       222816100        55      1600   SHARES                 X
COVANCE INC COM                              COMMON STOCK       222816100       530     15383   SHARES                         X
COVENTRY HEALTH CARE INC                     COMMON STOCK       222862104        95      2250   SHARES                 X
COX COMMUNICATIONS INC CL A                  COMMON STOCK       224044107        31       985   SHARES                 X
COX COMMUNICATIONS INC CL A                  COMMON STOCK       224044107       920     29120   SHARES                 X
COX COMMUNICATIONS INC CL A                  COMMON STOCK       224044107       367     11602   SHARES                         X
CPAC INC                                     COMMON STOCK       126145101         1       178   SHARES                         X
CRANE CO                                     COMMON STOCK       224399105        49      1490   SHARES                 X
CRANE CO                                     COMMON STOCK       224399105       523     15846   SHARES                         X
CRAY INC                                     COMMON STOCK       225223106         2       300   SHARES                 X
CRAY INC                                     COMMON STOCK       225223106        93     14100   SHARES                         X
CREATIVE HOST SERVICES INCORPORATED          COMMON STOCK       22527P102         2       700   SHARES                 X
Credence Systems Corp.                       COMMON STOCK       225302108       684     57600   SHARES                 X
CREE RESEARCH INC COM                        COMMON STOCK       225447101        22      1000   SHARES                         X
CRESCENT REAL ESTATE EQUITIES (REIT)         COMMON STOCK       225756105        71      3930   SHARES                         X
CROMPTON CORP COM                            COMMON STOCK       227116100         4       600   SHARES                 X
CROMPTON CORP COM                            COMMON STOCK       227116100       569     89170   SHARES                         X
CROSS COUNTRY HEALTH CARE INC                COMMON STOCK       227483104        74      4450   SHARES                         X
CROWN HOLDINGS INC                           COMMON STOCK       228368106        28      3000   SHARES                 X
CROWN HOLDINGS INC                           COMMON STOCK       228368106        52      5600   SHARES                         X
CROWN MEDIA HOLDINGS INC                     COMMON STOCK       228411104         6       800   SHARES                         X
CSG SYS INTL INC COM                         COMMON STOCK       126349109       208     12100   SHARES                         X
CSK AUTO CORP                                COMMON STOCK       125965103        66      3665   SHARES                         X
CSX CORP COM                                 COMMON STOCK       126408103       849     27995   SHARES                 X
CSX CORP COM                                 COMMON STOCK       126408103      1812     59827   SHARES                 X
CSX CORP COM                                 COMMON STOCK       126408103      1600     52808   SHARES                         X
CTI MOLECULAR IMAGING INC                    COMMON STOCK       22943D105        37      2550   SHARES                         X
CUBIC CORP                                   COMMON STOCK       229669106       771     29650   SHARES                         X
Cubist Pharmaceuticals, Inc.                 COMMON STOCK       229678107       903     98100   SHARES                 X
CULLEN FROST BANKERS INC COM                 COMMON STOCK       229899109       210      4900   SHARES                         X
CUMMINS INC COM                              COMMON STOCK       231021106        22       375   SHARES                 X
CUMMINS INC COM                              COMMON STOCK       231021106       134      2300   SHARES                         X
CUMULUS MEDIA INC CL A                       COMMON STOCK       231082108        82      4100   SHARES                         X
CUNO INC                                     COMMON STOCK       126583103        94      2100   SHARES                 X
CUNO INC                                     COMMON STOCK       126583103       187      4177   SHARES                         X
CURATIVE HEALTH SERVICES INC                 COMMON STOCK       23126W100       334     24950   SHARES                         X
CURTIS WRIGHT CORPORATION                    COMMON STOCK       231561101        23       500   SHARES                 X
CURTIS WRIGHT CORPORATION                    COMMON STOCK       231561101       111      2368   SHARES                         X
CURTISS WRIGHT CORP                          COMMON STOCK       231561408         8       180   SHARES                 X
CURTISS WRIGHT CORP                          COMMON STOCK       231561408        14       316   SHARES                         X
CV THERAPEUTICS INC                          COMMON STOCK       126667104         5       300   SHARES                         X
CVB FINANCIAL CORP                           COMMON STOCK       126600105         6       275   SHARES                         X
CVS CORP COM                                 COMMON STOCK       126650100       415     11750   SHARES                 X
CVS CORP COM                                 COMMON STOCK       126650100       801     22689   SHARES                         X
Cymer, Inc.                                  COMMON STOCK       232572107       490     12700   SHARES                 X
CYPRESS SEMICONDUCTOR CORP COM               COMMON STOCK       232806109       168      8190   SHARES                         X
CYTEC INDUSTRIES INC COM                     COMMON STOCK       232820100        10       273   SHARES                 X
CYTEC INDUSTRIES INC COM                     COMMON STOCK       232820100       238      6700   SHARES                         X


Corillian Corp.                                 3       149990      0        0
Corixa, Corp.                                   3        90500      0        0
CORN PRODS INTL INC COM                         1         1369      0        0
CORN PRODS INTL INC COM                         1         2769      0     3100
CORNING INC                                     1       256097      0     5000
CORNING INC                                     1        40090      0    10250
CORPORATE EXECUTIVE BOARD CO COM                1            0      0     1100
CORTEX PHARMACEUTICALS INC                      1         1390      0        0
Corus Bankshares, Inc.                          3        10000      0        0
COST PLUS INC COM                               1            0      0     9600
Cost Plus, Inc.                                 3        14400      0        0
COSTCO WHOLESALE CORP COM                       1        13475      0     1675
COSTCO WHOLESALE CORP COM                       1         5325      0    26235
COUNTRYWIDE FINANCIAL CORP                      1          750      0      800
COUNTRYWIDE FINANCIAL CORP                      1            0      0    10347
Countrywide Financial Corp.                     3        14313      0        0
COVANCE INC COM                                 1         1600      0        0
COVANCE INC COM                                 1         1283      0    14100
COVENTRY HEALTH CARE INC                        1         1125      0     1125
COX COMMUNICATIONS INC CL A                     3          985      0        0
COX COMMUNICATIONS INC CL A                     1        29120      0        0
COX COMMUNICATIONS INC CL A                     1         3956      0     7646
CPAC INC                                        1          178      0        0
CRANE CO                                        1            0      0     1490
CRANE CO                                        1        10246      0     5600
CRAY INC                                        1          300      0        0
CRAY INC                                        1            0      0    14100
CREATIVE HOST SERVICES INCORPORATED             1          700      0        0
Credence Systems Corp.                          3        57600      0        0
CREE RESEARCH INC COM                           1            0      0     1000
CRESCENT REAL ESTATE EQUITIES (REIT)            1            0      0     3930
CROMPTON CORP COM                               1          600      0        0
CROMPTON CORP COM                               1            0      0    89170
CROSS COUNTRY HEALTH CARE INC                   1            0      0     4450
CROWN HOLDINGS INC                              1         3000      0        0
CROWN HOLDINGS INC                              1         5600      0        0
CROWN MEDIA HOLDINGS INC                        1            0      0      800
CSG SYS INTL INC COM                            1            0      0    12100
CSK AUTO CORP                                   1            0      0     3665
CSX CORP COM                                    3        27995      0        0
CSX CORP COM                                    1        59827      0        0
CSX CORP COM                                    1        28532      0    24276
CTI MOLECULAR IMAGING INC                       1            0      0     2550
CUBIC CORP                                      1         9350      0    20300
Cubist Pharmaceuticals, Inc.                    3        98100      0        0
CULLEN FROST BANKERS INC COM                    1            0      0     4900
CUMMINS INC COM                                 1          375      0        0
CUMMINS INC COM                                 1          100      0     2200
CUMULUS MEDIA INC CL A                          1            0      0     4100
CUNO INC                                        1         2100      0        0
CUNO INC                                        1         2677      0     1500
CURATIVE HEALTH SERVICES INC                    1            0      0    24950
CURTIS WRIGHT CORPORATION                       1          500      0        0
CURTIS WRIGHT CORPORATION                       1         1168      0     1200
CURTISS WRIGHT CORP                             1          180      0        0
CURTISS WRIGHT CORP                             1          316      0        0
CV THERAPEUTICS INC                             1            0      0      300
CVB FINANCIAL CORP                              1            0      0      275
CVS CORP COM                                    1        11750      0        0
CVS CORP COM                                    1         7769      0    14920
Cymer, Inc.                                     3        12700      0        0
CYPRESS SEMICONDUCTOR CORP COM                  1            0      0     8190
CYTEC INDUSTRIES INC COM                        1          273      0        0
CYTEC INDUSTRIES INC COM                        1            0      0     6700

                                    14 OF 64                           5/14/2004




                                                                                                 
CYTYC CORP                                   COMMON STOCK       232946103        98      4400   SHARES                         X
D R HORTON INC                               COMMON STOCK       23331A109       690     19472   SHARES                 X
D R HORTON INC                               COMMON STOCK       23331A109       646     18226   SHARES                         X
DADE BEHRING HOLDINGS INC                    COMMON STOCK       23342J206        88      1980   SHARES                         X
DANA CORP                                    COMMON STOCK       235811106        55      2764   SHARES                         X
DANAHER CORP COM                             COMMON STOCK       235851102       793      8490   SHARES                 X
DANAHER CORP COM                             COMMON STOCK       235851102       810      8675   SHARES                         X
Danaher Corp.                                COMMON STOCK       235851102       784      8400   SHARES                 X
DANAHER CORPORATION                          COMMON STOCK       235851102       267      2860   SHARES           X
DARDEN RESTAURANTS INC COM                   COMMON STOCK       237194105      1936     78100   SHARES                 X
DARDEN RESTAURANTS INC COM                   COMMON STOCK       237194105       595     24000   SHARES                         X
Darden Restaurants, Inc.                     COMMON STOCK       237194105        40      1630   SHARES                 X
DAVE & BUSTER'S INCORPORATED                 COMMON STOCK       23833N104       134      8900   SHARES                         X
DAVITA INC WITH ATTACHED RIGHTS              COMMON STOCK       23918K108       191      4000   SHARES                 X
DaVita, Inc.                                 COMMON STOCK       23918K108      1623     34000   SHARES                 X
DEAN FOODS CO NEW                            COMMON STOCK       242370104       445     13309   SHARES                         X
DECKERS OUTDOOR CORP                         COMMON STOCK       243537107         3       100   SHARES                 X
DECODE GENETICS INC                          COMMON STOCK       243586104         9       800   SHARES                 X
DEERE & CO                                   COMMON STOCK       244199105      1770     25536   SHARES                 X
DEERE & CO                                   COMMON STOCK       244199105      1951     28151   SHARES                         X
DEL MONTE FOODS CO                           COMMON STOCK       24522P103        70      6233   SHARES                 X
DEL MONTE FOODS CO                           COMMON STOCK       24522P103       478     42490   SHARES                         X
DELL INC                                     COMMON STOCK       24702R101     10168    302441   SHARES                 X
DELL INC                                     COMMON STOCK       24702R101      5635    167620   SHARES                         X
Dell, Inc.                                   COMMON STOCK       24702R101      8381    249275   SHARES                 X
DELPHI CORP COM                              COMMON STOCK       247126105        73      7345   SHARES                 X
DELPHI CORP COM                              COMMON STOCK       247126105       142     14243   SHARES                         X
DELPHI FINL GROUP INC COM                    COMMON STOCK       247131105        61      1450   SHARES                         X
DELTA AIRLINES INC DEL                       COMMON STOCK       247361108         2       200   SHARES                 X
DELTA AND PINE LAND COMPANY                  COMMON STOCK       247357106        62      2500   SHARES                         X
DELUXE CORPORATION                           COMMON STOCK       248019101        64      1600   SHARES                 X
DELUXE CORPORATION                           COMMON STOCK       248019101       201      5000   SHARES                         X
DENBURY RESOURCES INCORPORATED               COMMON STOCK       247916208        71      4200   SHARES                         X
Dendreon Corp.                               COMMON STOCK       24823Q107      1061     79800   SHARES                 X
DENDRITE INTERNATIONAL INC                   COMMON STOCK       248239105        35      2160   SHARES                 X
DENDRITE INTERNATIONAL INC                   COMMON STOCK       248239105        28      1770   SHARES                         X
DENTSPLY INTERNATIONAL INC COM               COMMON STOCK       249030107       358      8085   SHARES                 X
DENTSPLY INTERNATIONAL INC COM               COMMON STOCK       249030107       706     15925   SHARES                         X
DEVELOPERS DVRSFD REALTY CORP (REIT)         COMMON STOCK       251591103        19       466   SHARES                 X
DEVELOPERS DVRSFD REALTY CORP (REIT)         COMMON STOCK       251591103        44      1100   SHARES                         X
DEVON ENERGY CORP NEW COM                    COMMON STOCK       25179M103       652     11210   SHARES                 X
DEVON ENERGY CORP NEW COM                    COMMON STOCK       25179M103       492      8468   SHARES                         X
Devon Energy Corp.                           COMMON STOCK       25179M103       826     14200   SHARES                 X
DEVRY INC DEL COM                            COMMON STOCK       251893103        15       500   SHARES                 X
DIAMOND OFFSHORE DRILLING COM                COMMON STOCK       25271C102        48      2000   SHARES                         X
DIAMONDCLUSTER INTL INC                      COMMON STOCK       25278P106        32      3350   SHARES                         X
DIAMONDS TR UNIT SER 1                       COMMON STOCK       252787106       239      2300   SHARES                 X
DIAMONDS TR UNIT SER 1                       COMMON STOCK       252787106        21       200   SHARES                         X
DICKS SPORTING GOODS INC                     COMMON STOCK       253393102        12       200   SHARES                 X
DIEBOLD INC                                  COMMON STOCK       253651103        87      1807   SHARES                 X
DIEBOLD INC                                  COMMON STOCK       253651103       568     11800   SHARES                         X
DIGI INTERNATIONAL INC                       COMMON STOCK       253798102        28      2850   SHARES                         X
Digi International, Inc.                     COMMON STOCK       253798102       396     40128   SHARES                 X
Digimarc Corp.                               COMMON STOCK       253807101      1373    111000   SHARES                 X
Digital Insight Corp.                        COMMON STOCK       25385P106       809     39050   SHARES                 X
DIGITAL INSIGHT CORPORATION                  COMMON STOCK       25385P106        23      1100   SHARES                         X
DIGITAL RIVER INC                            COMMON STOCK       25388B104        24      1010   SHARES                         X
DIONEX CORP                                  COMMON STOCK       254546104        68      1280   SHARES                         X
DIRECT GENERAL CORPORATION                   COMMON STOCK       25456W204       101      2800   SHARES                         X
DISCOVERY LABORATORIES INCORPORATED          COMMON STOCK       254668106        44      3650   SHARES                         X
DISNEY WALT COMPANY                          COMMON STOCK       254687106       356     14246   SHARES           X
DITECH COMMUNICATIONS CORP COM               COMMON STOCK       25500M103        45      2700   SHARES                         X
DIVERSA CORP COM                             COMMON STOCK       255064107       132     14800   SHARES                         X
DJ ORTHOPEDICS INCORPORATED                  COMMON STOCK       23325G104        58      2260   SHARES                 X


CYTYC CORP                                      1            0      0     4400
D R HORTON INC                                  1        19472      0        0
D R HORTON INC                                  1        10376      0     7850
DADE BEHRING HOLDINGS INC                       1            0      0     1980
DANA CORP                                       1         2164      0      600
DANAHER CORP COM                                1         8490      0        0
DANAHER CORP COM                                1          875      0     7800
Danaher Corp.                                   3         8400      0        0
DANAHER CORPORATION                             2         2860      0        0
DARDEN RESTAURANTS INC COM                      1        77890      0      210
DARDEN RESTAURANTS INC COM                      1        16630      0     7370
Darden Restaurants, Inc.                        3         1630      0        0
DAVE & BUSTER'S INCORPORATED                    1            0      0     8900
DAVITA INC WITH ATTACHED RIGHTS                 1         4000      0        0
DaVita, Inc.                                    3        34000      0        0
DEAN FOODS CO NEW                               1            0      0    13309
DECKERS OUTDOOR CORP                            1          100      0        0
DECODE GENETICS INC                             1          800      0        0
DEERE & CO                                      1        25236      0      300
DEERE & CO                                      1         6707      0    21444
DEL MONTE FOODS CO                              1         6233      0        0
DEL MONTE FOODS CO                              1         7490      0    35000
DELL INC                                        1       300223      0     2218
DELL INC                                        1        45945    125   121550
Dell, Inc.                                      3       249275      0        0
DELPHI CORP COM                                 1         7345      0        0
DELPHI CORP COM                                 1         4196      0    10047
DELPHI FINL GROUP INC COM                       1            0      0     1450
DELTA AIRLINES INC DEL                          1          200      0        0
DELTA AND PINE LAND COMPANY                     1            0      0     2500
DELUXE CORPORATION                              1            0      0     1600
DELUXE CORPORATION                              1            0      0     5000
DENBURY RESOURCES INCORPORATED                  1            0      0     4200
Dendreon Corp.                                  3        79800      0        0
DENDRITE INTERNATIONAL INC                      1            0      0     2160
DENDRITE INTERNATIONAL INC                      1            0      0     1770
DENTSPLY INTERNATIONAL INC COM                  1         7535      0      550
DENTSPLY INTERNATIONAL INC COM                  1         4775      0    11150
DEVELOPERS DVRSFD REALTY CORP (REIT)            1          466      0        0
DEVELOPERS DVRSFD REALTY CORP (REIT)            1            0      0     1100
DEVON ENERGY CORP NEW COM                       1        11210      0        0
DEVON ENERGY CORP NEW COM                       1         3563      0     4905
Devon Energy Corp.                              3        14200      0        0
DEVRY INC DEL COM                               1          500      0        0
DIAMOND OFFSHORE DRILLING COM                   1         1000      0     1000
DIAMONDCLUSTER INTL INC                         1            0      0     3350
DIAMONDS TR UNIT SER 1                          1         2300      0        0
DIAMONDS TR UNIT SER 1                          1          200      0        0
DICKS SPORTING GOODS INC                        1          200      0        0
DIEBOLD INC                                     1         1057      0      750
DIEBOLD INC                                     1            0      0    11800
DIGI INTERNATIONAL INC                          1            0      0     2850
Digi International, Inc.                        3        40128      0        0
Digimarc Corp.                                  3       111000      0        0
Digital Insight Corp.                           3        39050      0        0
DIGITAL INSIGHT CORPORATION                     1            0      0     1100
DIGITAL RIVER INC                               1            0      0     1010
DIONEX CORP                                     1            0      0     1280
DIRECT GENERAL CORPORATION                      1            0      0     2800
DISCOVERY LABORATORIES INCORPORATED             1            0      0     3650
DISNEY WALT COMPANY                             2        14246      0        0
DITECH COMMUNICATIONS CORP COM                  1            0      0     2700
DIVERSA CORP COM                                1            0      0    14800
DJ ORTHOPEDICS INCORPORATED                     1            0      0     2260

                                    15 OF 64                           5/14/2004




                                                                                                 
DJ ORTHOPEDICS INCORPORATED                  COMMON STOCK       23325G104         5       200   SHARES                         X
DOCUCORP INC                                 COMMON STOCK       255911109        35      2950   SHARES                         X
DOLLAR GEN CORP                              COMMON STOCK       256669102        63      3300   SHARES                         X
Dollar Thrifty Automotive Group              COMMON STOCK       256743105       700     27700   SHARES                 X
DOLLAR THRIFTY AUTOMOTIVE GRP                COMMON STOCK       256743105       114      4500   SHARES                 X
DOLLAR TREE STORES INC COM                   COMMON STOCK       256747106       275      8900   SHARES                         X
DOMINION RESOURCES INC COM NEW               COMMON STOCK       25746U109      2586     40221   SHARES                 X
DOMINION RESOURCES INC COM NEW               COMMON STOCK       25746U109      3680     57233   SHARES                         X
DONALDSON INC COM                            COMMON STOCK       257651109        42      1600   SHARES                 X
DONALDSON INC COM                            COMMON STOCK       257651109       536     20200   SHARES                         X
DONEGAL GROUP INC CL B                       COMMON STOCK       257701300        40      2000   SHARES                 X
DONNELLY R R & SONS CO                       COMMON STOCK       257867101        12       400   SHARES                 X
DONNELLY R R & SONS CO                       COMMON STOCK       257867101       868     28700   SHARES                         X
DoubleClick, Inc.                            COMMON STOCK       258609304      1510    134200   SHARES                 X
DOVER CORP                                   COMMON STOCK       260003108      1534     39578   SHARES                 X
DOVER CORP                                   COMMON STOCK       260003108      1957     50483   SHARES                         X
DOW CHEMICAL CO COM                          COMMON STOCK       260543103      6015    149339   SHARES                 X
DOW CHEMICAL CO COM                          COMMON STOCK       260543103      4302    106801   SHARES                         X
DOW CHEMICAL COMPANY                         COMMON STOCK       260543103      1740     43200   SHARES           X
DOW JONES & CO INC COM                       COMMON STOCK       260561105       263      5492   SHARES                         X
DPL INC                                      COMMON STOCK       233293109        23      1200   SHARES                 X
DPL INC                                      COMMON STOCK       233293109       129      6892   SHARES                         X
DREXLER TECHNOLOGY CORP                      COMMON STOCK       261876106       178     13350   SHARES                         X
DRS TECHNOLOGIES INCORPORATED                COMMON STOCK       23330X100        21       750   SHARES                 X
DRS TECHNOLOGIES INCORPORATED                COMMON STOCK       23330X100       655     23400   SHARES                         X
DTE ENERGY CO                                COMMON STOCK       233331107      7969    193687   SHARES                 X
DTE ENERGY CO                                COMMON STOCK       233331107      7244    176040   SHARES                 X
DTE ENERGY CO                                COMMON STOCK       233331107      1945     47275   SHARES                         X
Du Pont (E.I.) de Nemours & Co.              COMMON STOCK       263534109      3341     79135   SHARES                 X
DU PONT E I DE NEMOURS & COMPANY             COMMON STOCK       263534109       478     11312   SHARES           X
DUKE ENERGY CORP                             COMMON STOCK       264399106         3       125   SHARES                 X
DUKE ENERGY CORP                             COMMON STOCK       264399106      1050     46442   SHARES                 X
DUKE ENERGY CORP                             COMMON STOCK       264399106      1890     83650   SHARES                         X
DUKE REALTY CORPORATION                      COMMON STOCK       264411505       233      6700   SHARES           X
DUN & BRADSTREET CORP COM                    COMMON STOCK       26483E100       111      2075   SHARES                 X
DUN & BRADSTREET CORP COM                    COMMON STOCK       26483E100       279      5224   SHARES                         X
DUPONT EI DE NEMOURS & CO COM                COMMON STOCK       263534109     12915    305899   SHARES                 X
DUPONT EI DE NEMOURS & CO COM                COMMON STOCK       263534109     21944    519754   SHARES                         X
Dupont Photomasks, Inc.                      COMMON STOCK       26613X101       402     17300   SHARES                 X
DUQUESNE LIGHT HOLDINGS INC                  COMMON STOCK       266233105        53      2730   SHARES                 X
DUQUESNE LIGHT HOLDINGS INC                  COMMON STOCK       266233105       476     24400   SHARES                         X
Duquesne Light Holdings, Inc.                COMMON STOCK       266233105       946     48500   SHARES                 X
DURECT CORP COM                              COMMON STOCK       266605104        50     14875   SHARES                         X
DYCOM INDUSTRIES INC                         COMMON STOCK       267475101        51      1930   SHARES                 X
DYCOM INDUSTRIES INC                         COMMON STOCK       267475101       202      7600   SHARES                         X
DYNAMICS RESEARCH CORP                       COMMON STOCK       268057106        44      2852   SHARES                         X
DYNATRONICS CORPORATION                      COMMON STOCK       268157104         6      1900   SHARES                 X
DYNEGY INC CL A                              COMMON STOCK       26816Q101        24      6100   SHARES                         X
E M C CORPORATION MASSACHUSETTS              COMMON STOCK       268648102      2102    154455   SHARES           X
E*TRADE FINANCIAL CORPORATION                COMMON STOCK       269246104       325     24380   SHARES                 X
E*TRADE FINANCIAL CORPORATION                COMMON STOCK       269246104       127      9500   SHARES                         X
E*Trade Group, Inc.                          COMMON STOCK       269246104      4336    324800   SHARES                 X
EAGLE MATERIALS INC CL B                     COMMON STOCK       26969P207        92      1570   SHARES                 X
EAGLE MATERIALS INC CL B                     COMMON STOCK       26969P207        58       992   SHARES                         X
EAGLE MATERIALS INC COM W RIGHTS             COMMON STOCK       26969P108        26       449   SHARES                 X
EAGLE MATERIALS INC COM W RIGHTS             COMMON STOCK       26969P108        17       284   SHARES                         X
EARTHLINK INC COM                            COMMON STOCK       270321102         7       807   SHARES                 X
EARTHLINK INC COM                            COMMON STOCK       270321102       368     41500   SHARES                         X
EAST WEST BANCORP INC                        COMMON STOCK       27579R104       336      6000   SHARES                 X
EAST WEST BANCORP INC                        COMMON STOCK       27579R104       381      6800   SHARES                         X
East West Bancorp, Inc.                      COMMON STOCK       27579R104       465      8300   SHARES                 X
EASTGROUP PROPERTIES INCORPORATED            COMMON STOCK       277276101       614     17300   SHARES           X
EASTMAN CHEMICAL COMPANY COM                 COMMON STOCK       277432100        90      2107   SHARES                 X
EASTMAN CHEMICAL COMPANY COM                 COMMON STOCK       277432100       698     16359   SHARES                         X


DJ ORTHOPEDICS INCORPORATED                     1            0      0      200
DOCUCORP INC                                    1            0      0     2950
DOLLAR GEN CORP                                 1          300      0     3000
Dollar Thrifty Automotive Group                 3        27700      0        0
DOLLAR THRIFTY AUTOMOTIVE GRP                   1            0      0     4500
DOLLAR TREE STORES INC COM                      1            0      0     8900
DOMINION RESOURCES INC COM NEW                  1        40221      0        0
DOMINION RESOURCES INC COM NEW                  1        42904      0    14329
DONALDSON INC COM                               1            0      0     1600
DONALDSON INC COM                               1            0      0    20200
DONEGAL GROUP INC CL B                          1            0      0     2000
DONNELLY R R & SONS CO                          1          400      0        0
DONNELLY R R & SONS CO                          1         3700      0    25000
DoubleClick, Inc.                               3       134200      0        0
DOVER CORP                                      1        38328      0     1250
DOVER CORP                                      1        38233      0    12250
DOW CHEMICAL CO COM                             1       149114      0      225
DOW CHEMICAL CO COM                             1        87252      0    19549
DOW CHEMICAL COMPANY                            2        43200      0        0
DOW JONES & CO INC COM                          1            0      0     5492
DPL INC                                         1         1200      0        0
DPL INC                                         1         6892      0        0
DREXLER TECHNOLOGY CORP                         1            0      0    13350
DRS TECHNOLOGIES INCORPORATED                   1          750      0        0
DRS TECHNOLOGIES INCORPORATED                   1            0      0    23400
DTE ENERGY CO                                   3       193687      0        0
DTE ENERGY CO                                   1       175400      0      640
DTE ENERGY CO                                   1        39568      0     7707
Du Pont (E.I.) de Nemours & Co.                 3        79135      0        0
DU PONT E I DE NEMOURS & COMPANY                2        11312      0        0
DUKE ENERGY CORP                                3          125      0        0
DUKE ENERGY CORP                                1        46442      0        0
DUKE ENERGY CORP                                1        29250      0    54400
DUKE REALTY CORPORATION                         2         6700      0        0
DUN & BRADSTREET CORP COM                       1         2075      0        0
DUN & BRADSTREET CORP COM                       1         1924      0     3300
DUPONT EI DE NEMOURS & CO COM                   1       305508      0      391
DUPONT EI DE NEMOURS & CO COM                   1       460744      0    59010
Dupont Photomasks, Inc.                         3        17300      0        0
DUQUESNE LIGHT HOLDINGS INC                     1         2730      0        0
DUQUESNE LIGHT HOLDINGS INC                     1          600      0    23800
Duquesne Light Holdings, Inc.                   3        48500      0        0
DURECT CORP COM                                 1        10000      0     4875
DYCOM INDUSTRIES INC                            1            0      0     1930
DYCOM INDUSTRIES INC                            1            0      0     7600
DYNAMICS RESEARCH CORP                          1            0      0     2852
DYNATRONICS CORPORATION                         1         1900      0        0
DYNEGY INC CL A                                 1         1100      0     5000
E M C CORPORATION MASSACHUSETTS                 2       154455      0        0
E*TRADE FINANCIAL CORPORATION                   1        24380      0        0
E*TRADE FINANCIAL CORPORATION                   1            0      0     9500
E*Trade Group, Inc.                             3       324800      0        0
EAGLE MATERIALS INC CL B                        1         1570      0        0
EAGLE MATERIALS INC CL B                        1          829      0      163
EAGLE MATERIALS INC COM W RIGHTS                1          449      0        0
EAGLE MATERIALS INC COM W RIGHTS                1          236      0       48
EARTHLINK INC COM                               1          807      0        0
EARTHLINK INC COM                               1          200      0    41300
EAST WEST BANCORP INC                           1            0      0     6000
EAST WEST BANCORP INC                           1            0      0     6800
East West Bancorp, Inc.                         3         8300      0        0
EASTGROUP PROPERTIES INCORPORATED               2        17300      0        0
EASTMAN CHEMICAL COMPANY COM                    1         2107      0        0
EASTMAN CHEMICAL COMPANY COM                    1         3567      0    12792

                                    16 OF 64                           5/14/2004




                                                                                                 
EASTMAN KODAK CO COM                         COMMON STOCK       277461109       316     12093   SHARES                 X
EASTMAN KODAK CO COM                         COMMON STOCK       277461109       620     23674   SHARES                         X
Eastman Kodak Co.                            COMMON STOCK       277461109       390     14900   SHARES                 X
EATON CORP COM                               COMMON STOCK       278058102       577     10260   SHARES                 X
EATON CORP COM                               COMMON STOCK       278058102      2463     43840   SHARES                         X
Eaton Corp.                                  COMMON STOCK       278058102      2911     51800   SHARES                 X
EATON VANCE CORP                             COMMON STOCK       278265103        54      1420   SHARES                 X
EBAY INC COM                                 COMMON STOCK       278642103        50       720   SHARES                 X
EBAY INC COM                                 COMMON STOCK       278642103      2563     37000   SHARES                         X
eBay, Inc.                                   COMMON STOCK       278642103      1053     15200   SHARES                 X
ECHOSTAR COMMUNICATIONS CORP CL A            COMMON STOCK       278762109        98      3000   SHARES                         X
ECLIPSYS CORP COM                            COMMON STOCK       278856109        22      1600   SHARES                         X
ECOLAB INC COM                               COMMON STOCK       278865100      1127     39500   SHARES                 X
ECOLAB INC COM                               COMMON STOCK       278865100       956     33500   SHARES                         X
EDISON INTERNATIONAL COM                     COMMON STOCK       281020107        12       500   SHARES                 X
EDISON INTERNATIONAL COM                     COMMON STOCK       281020107       705     29031   SHARES                         X
EDUCATIONAL MANAGEMENT CORP COM              COMMON STOCK       28139T101        18       575   SHARES                         X
EDWARDS AG INC COM                           COMMON STOCK       281760108       180      4600   SHARES                 X
EDWARDS AG INC COM                           COMMON STOCK       281760108       102      2600   SHARES                         X
EDWARDS LIFESCIENCES CORP COM                COMMON STOCK       28176E108        37      1152   SHARES                 X
EDWARDS LIFESCIENCES CORP COM                COMMON STOCK       28176E108        53      1658   SHARES                         X
Edwards(AG), Inc.                            COMMON STOCK       281760108      1221     31200   SHARES                 X
EFUNDS CORP COM                              COMMON STOCK       28224R101       139      8500   SHARES                 X
EFUNDS CORP COM                              COMMON STOCK       28224R101       180     11000   SHARES                         X
eFunds Corp.                                 COMMON STOCK       28224R101       894     54500   SHARES                 X
EGL INC COM                                  COMMON STOCK       268484102        16       875   SHARES                         X
EL PASO CORP COM                             COMMON STOCK       28336L109        67      9464   SHARES                 X
EL PASO CORP COM                             COMMON STOCK       28336L109       119     16737   SHARES                         X
EL PASO ELEC CO                              COMMON STOCK       283677854       125      9000   SHARES                         X
ELECTROGLAS INC COM                          COMMON STOCK       285324109         4       850   SHARES                         X
Electroglas, Inc.                            COMMON STOCK       285324109        77     17400   SHARES                 X
Electronic Arts, Inc.                        COMMON STOCK       285512109      3178     58900   SHARES                 X
ELECTRONIC DATA SYS CORP COM                 COMMON STOCK       285661104       501     25878   SHARES                 X
ELECTRONIC DATA SYS CORP COM                 COMMON STOCK       285661104       360     18630   SHARES                         X
ELECTRONICS ARTS COM                         COMMON STOCK       285512109       536      9982   SHARES                 X
ELECTRONICS ARTS COM                         COMMON STOCK       285512109       674     12540   SHARES                         X
ELECTRONICS BOUTIQUE HOLDINGS CORP           COMMON STOCK       286045109       144      4900   SHARES                         X
Electronics Boutique Holdings Corp.          COMMON STOCK       286045109       493     16800   SHARES                 X
ELECTRONICS FOR IMAGING INC COM              COMMON STOCK       286082102       603     24545   SHARES                 X
ELECTRONICS FOR IMAGING INC COM              COMMON STOCK       286082102       224      9100   SHARES                         X
Electronics for Imaging, Inc.                COMMON STOCK       286082102      1303     53050   SHARES                 X
ELIZABETH ARDEN INC COM                      COMMON STOCK       28660G106        69      3260   SHARES                         X
ELKCORP                                      COMMON STOCK       287456107        74      2750   SHARES                         X
ELMIRA SVGS BK NY COM                        COMMON STOCK       289660102       341     11449   SHARES                         X
EMBARCADERO TECHNOLOGIES INC                 COMMON STOCK       290787100        37      2890   SHARES                 X
EMC CORP MASS COM                            COMMON STOCK       268648102      5302    389594   SHARES                 X
EMC CORP MASS COM                            COMMON STOCK       268648102      2444    179567   SHARES                         X
EMCOR GROUP INC                              COMMON STOCK       29084Q100       338      9200   SHARES                         X
EMERSON ELEC CO                              COMMON STOCK       291011104      6134    102365   SHARES                 X
EMERSON ELEC CO                              COMMON STOCK       291011104      6132    102331   SHARES                         X
EMERSON ELECTRIC COMPANY                     COMMON STOCK       291011104      1016     16950   SHARES           X
EMERSON RADIO CORP                           COMMON STOCK       291087203        15      4000   SHARES                 X
EMMIS COMMUNICATIONS                         COMMON STOCK       291525103        66      2760   SHARES                         X
EMPIRE DISTRICT ELECTRIC COMPANY             COMMON STOCK       291641108         8       338   SHARES                 X
EMULEX CORP COM NEW                          COMMON STOCK       292475209        21      1000   SHARES                 X
EMULEX CORP COM NEW                          COMMON STOCK       292475209       128      6000   SHARES                         X
ENBRIDGE ENERGY PARTNERS LP                  COMMON STOCK       29250R106         5       100   SHARES                 X
ENBRIDGE ENERGY PARTNERS LP                  COMMON STOCK       29250R106       651     12727   SHARES                         X
ENCORE MEDICAL CORPORATION                   COMMON STOCK       29256E109        26      3250   SHARES                 X
ENCORE MEDICAL CORPORATION                   COMMON STOCK       29256E109         2       200   SHARES                         X
ENERGIZER HLDGS INC COM                      COMMON STOCK       29266R108        66      1412   SHARES                 X
ENERGIZER HLDGS INC COM                      COMMON STOCK       29266R108       196      4200   SHARES                         X
ENERGY EAST CORP COM                         COMMON STOCK       29266M109       587     23132   SHARES                 X
ENERGY EAST CORP COM                         COMMON STOCK       29266M109       649     25600   SHARES                         X


EASTMAN KODAK CO COM                            1        12093      0        0
EASTMAN KODAK CO COM                            1        14929      0     8745
Eastman Kodak Co.                               3        14900      0        0
EATON CORP COM                                  1        10260      0        0
EATON CORP COM                                  1         9516      0    34324
Eaton Corp.                                     3        51800      0        0
EATON VANCE CORP                                1         1420      0        0
EBAY INC COM                                    1          720      0        0
EBAY INC COM                                    1            0      0    37000
eBay, Inc.                                      3        15200      0        0
ECHOSTAR COMMUNICATIONS CORP CL A               1         3000      0        0
ECLIPSYS CORP COM                               1         1600      0        0
ECOLAB INC COM                                  1        39500      0        0
ECOLAB INC COM                                  1         2700      0    30800
EDISON INTERNATIONAL COM                        1          500      0        0
EDISON INTERNATIONAL COM                        1        11131      0    17900
EDUCATIONAL MANAGEMENT CORP COM                 1            0      0      575
EDWARDS AG INC COM                              1         4600      0        0
EDWARDS AG INC COM                              1            0      0     2600
EDWARDS LIFESCIENCES CORP COM                   1         1152      0        0
EDWARDS LIFESCIENCES CORP COM                   1          158      0     1500
Edwards(AG), Inc.                               3        31200      0        0
EFUNDS CORP COM                                 1         8500      0        0
EFUNDS CORP COM                                 1            0      0    11000
eFunds Corp.                                    3        54500      0        0
EGL INC COM                                     1            0      0      875
EL PASO CORP COM                                1         9464      0        0
EL PASO CORP COM                                1        10931      0     5806
EL PASO ELEC CO                                 1            0      0     9000
ELECTROGLAS INC COM                             1            0      0      850
Electroglas, Inc.                               3        17400      0        0
Electronic Arts, Inc.                           3        58900      0        0
ELECTRONIC DATA SYS CORP COM                    1        13934      0    11944
ELECTRONIC DATA SYS CORP COM                    1         8434      0    10196
ELECTRONICS ARTS COM                            1         9982      0        0
ELECTRONICS ARTS COM                            1            0      0    12540
ELECTRONICS BOUTIQUE HOLDINGS CORP              1            0      0     4900
Electronics Boutique Holdings Corp.             3        16800      0        0
ELECTRONICS FOR IMAGING INC COM                 1        24545      0        0
ELECTRONICS FOR IMAGING INC COM                 1            0      0     9100
Electronics for Imaging, Inc.                   3        53050      0        0
ELIZABETH ARDEN INC COM                         1            0      0     3260
ELKCORP                                         1            0      0     2750
ELMIRA SVGS BK NY COM                           1         4924      0     6525
EMBARCADERO TECHNOLOGIES INC                    1            0      0     2890
EMC CORP MASS COM                               1       387594      0     2000
EMC CORP MASS COM                               1       106229      0    73338
EMCOR GROUP INC                                 1            0      0     9200
EMERSON ELEC CO                                 1       101765      0      600
EMERSON ELEC CO                                 1        64404      0    37927
EMERSON ELECTRIC COMPANY                        2        16950      0        0
EMERSON RADIO CORP                              1         4000      0        0
EMMIS COMMUNICATIONS                            1            0      0     2760
EMPIRE DISTRICT ELECTRIC COMPANY                1          338      0        0
EMULEX CORP COM NEW                             1         1000      0        0
EMULEX CORP COM NEW                             1            0      0     6000
ENBRIDGE ENERGY PARTNERS LP                     1          100      0        0
ENBRIDGE ENERGY PARTNERS LP                     1        10727      0     2000
ENCORE MEDICAL CORPORATION                      1         3250      0        0
ENCORE MEDICAL CORPORATION                      1            0      0      200
ENERGIZER HLDGS INC COM                         1         1412      0        0
ENERGIZER HLDGS INC COM                         1          100      0     4100
ENERGY EAST CORP COM                            1        23132      0        0
ENERGY EAST CORP COM                            1        24900      0      700

                                    17 OF 64                           5/14/2004




                                                                                                 
Energy East Corp.                            COMMON STOCK       29266M109      1598     63000   SHARES                 X
ENERGY PARTNERS LTD                          COMMON STOCK       29270U105         1       100   SHARES                 X
ENERGY TRANSFER PARTNERS LP                  COMMON STOCK       29273R109        20       500   SHARES                 X
ENGELHARD CORPORATION COM                    COMMON STOCK       292845104        61      2025   SHARES                 X
ENGELHARD CORPORATION COM                    COMMON STOCK       292845104         9       300   SHARES                         X
ENGINEERED SUPPORT SYS INC COM               COMMON STOCK       292866100        45       925   SHARES                         X
ENPRO INDUSTRIES                             COMMON STOCK       29355X107        21      1120   SHARES                         X
ENTERASYS NETWORKS W/RIGHTS                  COMMON STOCK       293637104        27     10500   SHARES                         X
Entercom Communication Corp.                 COMMON STOCK       293639100      1041     23000   SHARES                 X
ENTERCOM COMMUNICATIONS CORP COM             COMMON STOCK       293639100       165      3638   SHARES                 X
ENTERCOM COMMUNICATIONS CORP COM             COMMON STOCK       293639100        17       375   SHARES                         X
ENTERGY CORP COM NEW                         COMMON STOCK       29364G103       221      3710   SHARES                 X
ENTERGY CORP COM NEW                         COMMON STOCK       29364G103       589      9896   SHARES                         X
Entergy Corp.                                COMMON STOCK       29364G103      1125     18900   SHARES                 X
ENTRAVISION COMMUNICATIONS CORP COM          COMMON STOCK       29382R107       155     17300   SHARES                         X
ENVIRONMENTAL TECTONICS CORP                 COMMON STOCK       294092101        21      2275   SHARES                         X
ENZO BIOCHEM INCORPORATED                    COMMON STOCK       294100102         3       165   SHARES                 X
ENZO BIOCHEM INCORPORATED                    COMMON STOCK       294100102        26      1550   SHARES                         X
ENZON PHARMACEUTICALS INC                    COMMON STOCK       293904108       509     33000   SHARES                         X
EOG RESOURCES INC COM                        COMMON STOCK       26875P101        10       220   SHARES                 X
EOG RESOURCES INC COM                        COMMON STOCK       26875P101        22       485   SHARES                         X
EON LABS INC                                 COMMON STOCK       29412E100       604      9000   SHARES                         X
EP MEDSYSTEMS INC COM                        COMMON STOCK       26881P103        12      4000   SHARES                         X
EPICOR SOFTWARE CORPORATION                  COMMON STOCK       29426L108        32      2430   SHARES                 X
EPICOR SOFTWARE CORPORATION                  COMMON STOCK       29426L108        25      1925   SHARES                         X
EPIQ SYS INC                                 COMMON STOCK       26882D109        31      1900   SHARES                         X
EQUIFAX INC COM                              COMMON STOCK       294429105        34      1300   SHARES                         X
EQUITABLE RESOURCES INC COM                  COMMON STOCK       294549100       640     14400   SHARES                 X
EQUITABLE RESOURCES INC COM                  COMMON STOCK       294549100       318      7150   SHARES                         X
EQUITY OFFICE PROPERTIES TR (R               COMMON STOCK       294741103      1000     34594   SHARES                 X
EQUITY OFFICE PROPERTIES TR (REIT)           COMMON STOCK       294741103      2716     93998   SHARES                 X
EQUITY OFFICE PROPERTIES TR (REIT)           COMMON STOCK       294741103      1672     57891   SHARES                         X
EQUITY OIL CO                                COMMON STOCK       294749106         1       315   SHARES                 X
EQUITY RESIDENTIAL  (REIT)                   COMMON STOCK       29476L107       175      5850   SHARES                 X
EQUITY RESIDENTIAL  (REIT)                   COMMON STOCK       29476L107       316     10599   SHARES                         X
ERIE INDEMNITY CO CL A                       COMMON STOCK       29530P102      9025    187000   SHARES                 X
ESCO TECHNOLOGIES INC COM                    COMMON STOCK       296315104        31       675   SHARES                         X
ESS TECHNOLOGY INC COM                       COMMON STOCK       269151106        18      1250   SHARES                         X
ESSEX CORPORATION                            COMMON STOCK       296744105         9      1000   SHARES                 X
Estee Lauder Cos., Inc., Class A             COMMON STOCK       518439104      9284    209375   SHARES                 X
ESTERLINE TECHNOLOGIES CORP                  COMMON STOCK       297425100        64      2570   SHARES                         X
ETHAN ALLEN INTERIORS INC COM                COMMON STOCK       297602104        25       600   SHARES                         X
ETHYL CORP                                   COMMON STOCK       297659609        36      1792   SHARES                 X
ETHYL CORP                                   COMMON STOCK       297659609       209     10540   SHARES                         X
Everest Re Group Ltd.                        COMMON STOCK       G3223R108      2666     31200   SHARES                 X
EVERGREEN RES INC                            COMMON STOCK       299900308       230      6700   SHARES                         X
Evergreen Resources, Inc.                    COMMON STOCK       299900308       216      6300   SHARES                 X
EVERLAST WORLDWIDE INCORPORATED              COMMON STOCK       300355104         1       250   SHARES                 X
EXACT SCIENCES CORP COM                      COMMON STOCK       30063P105        22      2800   SHARES                         X
Exact Sciences Corp.                         COMMON STOCK       30063P105       108     13900   SHARES                 X
EXAR CORP COM                                COMMON STOCK       300645108       138      7500   SHARES                         X
EXATECH INC                                  COMMON STOCK       30064E109         9       500   SHARES                         X
EXELON CORP COM                              COMMON STOCK       30161N101      2536     36823   SHARES                 X
EXELON CORP COM                              COMMON STOCK       30161N101      2816     40893   SHARES                         X
EXPEDITORS INTL WASH INC COM                 COMMON STOCK       302130109       142      3600   SHARES                 X
EXPEDITORS INTL WASH INC COM                 COMMON STOCK       302130109        83      2100   SHARES                         X
EXPRESS SCRIPTS INC                          COMMON STOCK       302182100      7299     97855   SHARES                 X
EXPRESS SCRIPTS INC                          COMMON STOCK       302182100      8987    120545   SHARES                 X
EXPRESS SCRIPTS INC                          COMMON STOCK       302182100      2213     29685   SHARES                         X
EXPRESSJET HOLDINGS INC                      COMMON STOCK       30218U108        80      6450   SHARES                         X
EXTREME NETWORKS INC COM                     COMMON STOCK       30226D106       519     72000   SHARES                         X
EXX INC                                      COMMON STOCK       269282109        40     15900   SHARES                         X
EXXON MOBIL CORP                             COMMON STOCK       30231G102     65602   1577339   SHARES                 X
EXXON MOBIL CORP                             COMMON STOCK       30231G102     65972   1586243   SHARES                         X


Energy East Corp.                               3        63000      0        0
ENERGY PARTNERS LTD                             1          100      0        0
ENERGY TRANSFER PARTNERS LP                     1          500      0        0
ENGELHARD CORPORATION COM                       1         2025      0        0
ENGELHARD CORPORATION COM                       1          300      0        0
ENGINEERED SUPPORT SYS INC COM                  1            0      0      925
ENPRO INDUSTRIES                                1          800      0      320
ENTERASYS NETWORKS W/RIGHTS                     1            0      0    10500
Entercom Communication Corp.                    3        23000      0        0
ENTERCOM COMMUNICATIONS CORP COM                1         3638      0        0
ENTERCOM COMMUNICATIONS CORP COM                1            0      0      375
ENTERGY CORP COM NEW                            1         3710      0        0
ENTERGY CORP COM NEW                            1         2096      0     7800
Entergy Corp.                                   3        18900      0        0
ENTRAVISION COMMUNICATIONS CORP COM             1            0      0    17300
ENVIRONMENTAL TECTONICS CORP                    1         2275      0        0
ENZO BIOCHEM INCORPORATED                       1          165      0        0
ENZO BIOCHEM INCORPORATED                       1            0      0     1550
ENZON PHARMACEUTICALS INC                       1            0      0    33000
EOG RESOURCES INC COM                           1          220      0        0
EOG RESOURCES INC COM                           1          485      0        0
EON LABS INC                                    1            0      0     9000
EP MEDSYSTEMS INC COM                           1         4000      0        0
EPICOR SOFTWARE CORPORATION                     1         2430      0        0
EPICOR SOFTWARE CORPORATION                     1            0      0     1925
EPIQ SYS INC                                    1            0      0     1900
EQUIFAX INC COM                                 1         1300      0        0
EQUITABLE RESOURCES INC COM                     1        14400      0        0
EQUITABLE RESOURCES INC COM                     1         7150      0        0
EQUITY OFFICE PROPERTIES TR (R                  3        34594      0        0
EQUITY OFFICE PROPERTIES TR (REIT)              1        93848      0      150
EQUITY OFFICE PROPERTIES TR (REIT)              1        40664      0    17227
EQUITY OIL CO                                   1          315      0        0
EQUITY RESIDENTIAL  (REIT)                      1         5850      0        0
EQUITY RESIDENTIAL  (REIT)                      1         3066      0     7533
ERIE INDEMNITY CO CL A                          1       187000      0        0
ESCO TECHNOLOGIES INC COM                       1            0      0      675
ESS TECHNOLOGY INC COM                          1            0      0     1250
ESSEX CORPORATION                               1         1000      0        0
Estee Lauder Cos., Inc., Class A                3       209375      0        0
ESTERLINE TECHNOLOGIES CORP                     1            0      0     2570
ETHAN ALLEN INTERIORS INC COM                   1            0      0      600
ETHYL CORP                                      1         1792      0        0
ETHYL CORP                                      1        10540      0        0
Everest Re Group Ltd.                           3        31200      0        0
EVERGREEN RES INC                               1         3000      0     3700
Evergreen Resources, Inc.                       3         6300      0        0
EVERLAST WORLDWIDE INCORPORATED                 1          250      0        0
EXACT SCIENCES CORP COM                         1            0      0     2800
Exact Sciences Corp.                            3        13900      0        0
EXAR CORP COM                                   1            0      0     7500
EXATECH INC                                     1            0      0      500
EXELON CORP COM                                 1        36573      0      250
EXELON CORP COM                                 1        12318      0    28575
EXPEDITORS INTL WASH INC COM                    1         1000      0     2600
EXPEDITORS INTL WASH INC COM                    1            0      0     2100
EXPRESS SCRIPTS INC                             3        97855      0        0
EXPRESS SCRIPTS INC                             1       119531      0     1014
EXPRESS SCRIPTS INC                             1        13400      0    16285
EXPRESSJET HOLDINGS INC                         1            0      0     6450
EXTREME NETWORKS INC COM                        1            0      0    72000
EXX INC                                         1        15900      0        0
EXXON MOBIL CORP                                1      1570006      0     7333
EXXON MOBIL CORP                                1      1122140   1300   462803

                                    18 OF 64                           5/14/2004




                                                                                                 
EXXON MOBIL CORP                             COMMON STOCK       30231G102     12315    296125   SHARES                 X
EXXON MOBIL CORPORATION                      COMMON STOCK       30231G102      1011     24315   SHARES           X
F N B CORP PA COM                            COMMON STOCK       302520101        38      1724   SHARES                 X
F N B CORP PA COM                            COMMON STOCK       302520101        68      3058   SHARES                         X
F5 NETWORKS INC                              COMMON STOCK       315616102        57      1700   SHARES                 X
FACTSET RESEARCH SYSTEMS INC                 COMMON STOCK       303075105        92      2150   SHARES                         X
FAIR ISAAC INC                               COMMON STOCK       303250104        38      1050   SHARES                 X
FAIR ISAAC INC                               COMMON STOCK       303250104       156      4335   SHARES                         X
FAIRCHILD SEMICONDUCTOR INTL INC             COMMON STOCK       303726103       136      5680   SHARES                         X
FALCON FINANCIAL INVESTMENT                  COMMON STOCK       306032103        52      5600   SHARES                         X
FAMILY DLR STORES COM                        COMMON STOCK       307000109       135      3764   SHARES                 X
FAMILY DLR STORES COM                        COMMON STOCK       307000109       186      5160   SHARES                         X
Family Dollar Stores, Inc.                   COMMON STOCK       307000109       848     23600   SHARES                 X
Fannie Mae                                   COMMON STOCK       313586109      9792    131703   SHARES                 X
FANNIE MAE                                   COMMON STOCK       313586109     20832    280188   SHARES                 X
FANNIE MAE                                   COMMON STOCK       313586109      9380    126164   SHARES                         X
FASTENAL CO                                  COMMON STOCK       311900104       548     10200   SHARES                 X
FASTENAL CO                                  COMMON STOCK       311900104       107      2000   SHARES                         X
FEATHERLITE INCORPORATED                     COMMON STOCK       313054108       320    100281   SHARES                         X
FEDERAL REALTY INVESTMENT TRUST              COMMON STOCK       313747206       333      7210   SHARES           X
FEDERAL REALTY INVT TRUST (REIT)             COMMON STOCK       313747206       217      4700   SHARES                 X
FEDERAL REALTY INVT TRUST (REIT)             COMMON STOCK       313747206       327      7088   SHARES                         X
FEDERAL SIGNAL CORP                          COMMON STOCK       313855108        40      2000   SHARES                 X
FEDERAL SIGNAL CORP                          COMMON STOCK       313855108         5       250   SHARES                         X
FEDERAL SIGNAL CORPORATION                   COMMON STOCK       313855108       478     24100   SHARES           X
FEDERATED DEPARTMENT STORES DELAWARE         COMMON STOCK       31410H101       426     10021   SHARES           X
Federated Department Stores, Inc.            COMMON STOCK       31410H101       913     16900   SHARES                 X
FEDERATED DEPT STORES INC                    COMMON STOCK       31410H101       160      2960   SHARES                 X
FEDERATED DEPT STORES INC                    COMMON STOCK       31410H101       646     11944   SHARES                         X
FEDERATED INVESTORS COM                      COMMON STOCK       314211103       308      9807   SHARES                 X
FEDEX CORP COM                               COMMON STOCK       31428X106       442      5876   SHARES                 X
FEDEX CORP COM                               COMMON STOCK       31428X106      1132     15060   SHARES                         X
FEDEX CORPORATION                            COMMON STOCK       31428X106       752     10000   SHARES           X
FEI CO                                       COMMON STOCK       30241L109        59      2682   SHARES                 X
FEI Co.                                      COMMON STOCK       30241L109      1672     76500   SHARES                 X
FERRO CORP COM                               COMMON STOCK       315405100        26      1000   SHARES                 X
FERRO CORP COM                               COMMON STOCK       315405100       186      7100   SHARES                         X
FIBERMARK INC                                COMMON STOCK       315646109        16     35100   SHARES                         X
FIDELITY BANCORP INCORPORATED                COMMON STOCK       315831107        96      3872   SHARES                         X
FIDELITY BANKSHARES INC COM                  COMMON STOCK       31604Q107       110      3000   SHARES                         X
FIDELITY NATL FINL INC COM                   COMMON STOCK       316326107       292      7362   SHARES                         X
FIFTH THIRD BANCORP COM                      COMMON STOCK       316773100      1188     21457   SHARES                 X
FIFTH THIRD BANCORP COM                      COMMON STOCK       316773100       234      4221   SHARES                         X
FINANCIAL FEDERAL CORP                       COMMON STOCK       317492106        67      2000   SHARES                 X
FINANCIAL FEDERAL CORP                       COMMON STOCK       317492106       150      4500   SHARES                         X
FIRST AMERN FINL CORP CALIF COM              COMMON STOCK       318522307       338     11125   SHARES                         X
First Charter Corp.                          COMMON STOCK       319439105       543     25800   SHARES                 X
FIRST CITIZENS BANCSHARES INC CL A           COMMON STOCK       31946M103       185      1500   SHARES                         X
FIRST COMMONWEALTH FINANCIAL CORP            COMMON STOCK       319829107         0        20   SHARES                 X
FIRST COMMONWEALTH FINANCIAL CORP            COMMON STOCK       319829107        63      4287   SHARES                         X
First Community Bancorp                      COMMON STOCK       31983B101       617     16500   SHARES                 X
FIRST COMMUNITY BANCORP CA                   COMMON STOCK       31983B101       100      2673   SHARES                 X
FIRST DATA CORP COM                          COMMON STOCK       319963104     10725    254372   SHARES                 X
FIRST DATA CORP COM                          COMMON STOCK       319963104     11176    265079   SHARES                 X
FIRST DATA CORP COM                          COMMON STOCK       319963104      3035     71981   SHARES                         X
FIRST DATA CORPORATION                       COMMON STOCK       319963104       991     23500   SHARES           X
FIRST DEFIANCE FINL CORP COM                 COMMON STOCK       32006W106        27      1000   SHARES                         X
FIRST FEDERAL CAPITAL CORP                   COMMON STOCK       319960100         4       200   SHARES                         X
FIRST HEALTH GROUP CORP COM                  COMMON STOCK       320960107        26      1200   SHARES                         X
FIRST INDUSTRIAL REALTY TR (REIT)            COMMON STOCK       32054K103        79      2000   SHARES                 X
FIRST INDUSTRIAL REALTY TR (REIT)            COMMON STOCK       32054K103        79      2000   SHARES                         X
FIRST KEYSTONE FINANCIAL INC                 COMMON STOCK       320655103       245      8600   SHARES                         X
FIRST MARINER BANCORP INCORPORATED           COMMON STOCK       320795107        67      3500   SHARES                         X
FIRST MERCHANTS CORPORATION COM              COMMON STOCK       320817109       188      7820   SHARES                         X


EXXON MOBIL CORP                                3       296125      0        0
EXXON MOBIL CORPORATION                         2        24315      0        0
F N B CORP PA COM                               1         1724      0        0
F N B CORP PA COM                               1         3058      0        0
F5 NETWORKS INC                                 1            0      0     1700
FACTSET RESEARCH SYSTEMS INC                    1          600      0     1550
FAIR ISAAC INC                                  1          450      0      600
FAIR ISAAC INC                                  1            0      0     4335
FAIRCHILD SEMICONDUCTOR INTL INC                1          300      0     5380
FALCON FINANCIAL INVESTMENT                     1            0      0     5600
FAMILY DLR STORES COM                           1         3764      0        0
FAMILY DLR STORES COM                           1         1600      0     3560
Family Dollar Stores, Inc.                      3        23600      0        0
Fannie Mae                                      3       131703      0        0
FANNIE MAE                                      1       277494      0     2694
FANNIE MAE                                      1        75631    300    50233
FASTENAL CO                                     1          200      0    10000
FASTENAL CO                                     1         2000      0        0
FEATHERLITE INCORPORATED                        1       100281      0        0
FEDERAL REALTY INVESTMENT TRUST                 2         7210      0        0
FEDERAL REALTY INVT TRUST (REIT)                1         4700      0        0
FEDERAL REALTY INVT TRUST (REIT)                1            0      0     7088
FEDERAL SIGNAL CORP                             1         2000      0        0
FEDERAL SIGNAL CORP                             1            0      0      250
FEDERAL SIGNAL CORPORATION                      2        24100      0        0
FEDERATED DEPARTMENT STORES DELAWARE            2        10021      0        0
Federated Department Stores, Inc.               3        16900      0        0
FEDERATED DEPT STORES INC                       1         2960      0        0
FEDERATED DEPT STORES INC                       1          344      0    11600
FEDERATED INVESTORS COM                         1         1125      0     8682
FEDEX CORP COM                                  1         5876      0        0
FEDEX CORP COM                                  1         3010      0    12050
FEDEX CORPORATION                               2        10000      0        0
FEI CO                                          1         2682      0        0
FEI Co.                                         3        76500      0        0
FERRO CORP COM                                  1         1000      0        0
FERRO CORP COM                                  1            0      0     7100
FIBERMARK INC                                   1        35100      0        0
FIDELITY BANCORP INCORPORATED                   1          363      0     3509
FIDELITY BANKSHARES INC COM                     1            0      0     3000
FIDELITY NATL FINL INC COM                      1            0      0     7362
FIFTH THIRD BANCORP COM                         1        21457      0        0
FIFTH THIRD BANCORP COM                         1         2721      0     1500
FINANCIAL FEDERAL CORP                          1         2000      0        0
FINANCIAL FEDERAL CORP                          1            0      0     4500
FIRST AMERN FINL CORP CALIF COM                 1            0      0    11125
First Charter Corp.                             3        25800      0        0
FIRST CITIZENS BANCSHARES INC CL A              1            0      0     1500
FIRST COMMONWEALTH FINANCIAL CORP               1           20      0        0
FIRST COMMONWEALTH FINANCIAL CORP               1         4100      0      187
First Community Bancorp                         3        16500      0        0
FIRST COMMUNITY BANCORP CA                      1         2673      0        0
FIRST DATA CORP COM                             3       254372      0        0
FIRST DATA CORP COM                             1       254778      0    10301
FIRST DATA CORP COM                             1        41386      0    30595
FIRST DATA CORPORATION                          2        23500      0        0
FIRST DEFIANCE FINL CORP COM                    1            0      0     1000
FIRST FEDERAL CAPITAL CORP                      1            0      0      200
FIRST HEALTH GROUP CORP COM                     1         1200      0        0
FIRST INDUSTRIAL REALTY TR (REIT)               1         2000      0        0
FIRST INDUSTRIAL REALTY TR (REIT)               1            0      0     2000
FIRST KEYSTONE FINANCIAL INC                    1         5000      0     3600
FIRST MARINER BANCORP INCORPORATED              1         3500      0        0
FIRST MERCHANTS CORPORATION COM                 1         7820      0        0

                                    19 OF 64                           5/14/2004




                                                                                                 
FIRST MIDWEST BANCORP INC                    COMMON STOCK       320867104        26       750   SHARES                 X
FIRST NATIONAL BANKSHARES OF FLORIDA         COMMON STOCK       321100109        30      1724   SHARES                 X
FIRST NATIONAL BANKSHARES OF FLORIDA         COMMON STOCK       321100109        54      3058   SHARES                         X
FIRST NIAGARA FINANCIAL GROUP                COMMON STOCK       33582V108         4       292   SHARES                 X
FIRST NIAGARA FINANCIAL GROUP                COMMON STOCK       33582V108       184     13486   SHARES                         X
FIRST OF LONG ISLAND CORP COM                COMMON STOCK       320734106         8       150   SHARES                         X
FIRST POTOMAC REALTY TRUST                   COMMON STOCK       33610F109        20       950   SHARES                         X
FIRST SENTINEL BANCORP INC COM               COMMON STOCK       33640T103        85      4000   SHARES                 X
FIRST SENTINEL BANCORP INC COM               COMMON STOCK       33640T103        21      1000   SHARES                         X
FIRST TENN NATL CORP COM                     COMMON STOCK       337162101       114      2400   SHARES                 X
FIRST TENN NATL CORP COM                     COMMON STOCK       337162101        14       300   SHARES                         X
First Tennessee National Corp.               COMMON STOCK       337162101       754     15800   SHARES                 X
FIRST UNITED CORP COM                        COMMON STOCK       33741H107       363     15665   SHARES                 X
FIRST UNITED CORP COM                        COMMON STOCK       33741H107       111      4805   SHARES                         X
FIRSTENERGY CORP COM                         COMMON STOCK       337932107       383      9788   SHARES                 X
FIRSTENERGY CORP COM                         COMMON STOCK       337932107       461     11789   SHARES                         X
FIRSTFED FINANCIAL CORPORATION               COMMON STOCK       337907109        32       700   SHARES                         X
FIRSTMERIT CORPORATION COM                   COMMON STOCK       337915102        29      1125   SHARES                         X
FISERV INC                                   COMMON STOCK       337738108       447     12500   SHARES                 X
FISERV INC                                   COMMON STOCK       337738108        86      2400   SHARES                         X
FISHER SCIENTIFIC INTERNATIONAL INC          COMMON STOCK       338032204        50       900   SHARES                         X
FIVE STAR QUALITY CARE INC                   COMMON STOCK       33832D106         0        75   SHARES                 X
FIVE STAR QUALITY CARE INC                   COMMON STOCK       33832D106         0        27   SHARES                         X
Flagstar Bancorp, Inc.                       COMMON STOCK       337930101      1129     44000   SHARES                 X
FleetBoston Financial Corp.                  COMMON STOCK       339030108      1712     38115   SHARES                 X
FLEETBOSTON FINANCIAL CORPORATION            COMMON STOCK       339030108      1132     38100   SHARES           X
FLEETBOSTON FINL CORP                        COMMON STOCK       339030108      4573    101851   SHARES                 X
FLEETBOSTON FINL CORP                        COMMON STOCK       339030108      3770     83957   SHARES                         X
FLEETWOOD ENTERPRISES INC                    COMMON STOCK       339099103        93      7600   SHARES                         X
FLORIDA EAST COAST INDS INC                  COMMON STOCK       340632108        18       500   SHARES                 X
FLORIDA EAST COAST INDS INC                  COMMON STOCK       340632108         0         8   SHARES                         X
FLORIDA PUBLIC UTILITIES COMPANY             COMMON STOCK       341135101        41      2000   SHARES                         X
FLOWERS FOODS INC COM                        COMMON STOCK       343498101       158      6022   SHARES                         X
FLOWSERVE CORP COM                           COMMON STOCK       34354P105       166      7900   SHARES                         X
FLUOR CORP NEW COM                           COMMON STOCK       343412102       153      3950   SHARES                 X
FLUOR CORP NEW COM                           COMMON STOCK       343412102       172      4450   SHARES                         X
FLUSHING FINANCIAL CORPORATION               COMMON STOCK       343873105        14       750   SHARES                         X
FMC CORP                                     COMMON STOCK       302491303        77      1800   SHARES                         X
FONAR CORP COM                               COMMON STOCK       344437108         0        18   SHARES                 X
FOOT LOCKER INC                              COMMON STOCK       344849104       553     21450   SHARES                         X
FORD MOTOR CO                                COMMON STOCK       345370860      1109     81718   SHARES                 X
FORD MOTOR CO                                COMMON STOCK       345370860      1085     79938   SHARES                         X
FOREST LABS INC COM                          COMMON STOCK       345838106       197      2750   SHARES                 X
FOREST LABS INC COM                          COMMON STOCK       345838106       547      7635   SHARES                         X
FOREST OIL CORP                              COMMON STOCK       346091705       119      4700   SHARES                 X
Forest Oil Corp.                             COMMON STOCK       346091705       798     31600   SHARES                 X
FORMFACTOR INC                               COMMON STOCK       346375108        47      2265   SHARES                         X
FORRESTER RESEARCH INC COM                   COMMON STOCK       346563109        71      3750   SHARES                         X
FORTUNE BRANDS INC                           COMMON STOCK       349631101      1239     16168   SHARES                 X
FORTUNE BRANDS INC                           COMMON STOCK       349631101      2902     37870   SHARES                         X
FOUNDRY NETWORKS INC                         COMMON STOCK       35063R100       121      7040   SHARES                         X
FOX ENTERTAINMENT GROUP INC COM              COMMON STOCK       35138T107         3       103   SHARES                 X
FOX ENTERTAINMENT GROUP INC COM              COMMON STOCK       35138T107        17       625   SHARES                         X
FPL GROUP INC COM                            COMMON STOCK       302571104       916     13695   SHARES                 X
FPL GROUP INC COM                            COMMON STOCK       302571104      4344     64981   SHARES                 X
FPL GROUP INC COM                            COMMON STOCK       302571104      2458     36771   SHARES                         X
FRANKFORT FIRST BANCORP INC COM NEW          COMMON STOCK       352128201        12       500   SHARES                         X
Franklin Bank Corp.                          COMMON STOCK       352451108        54      2900   SHARES                 X
FRANKLIN ELEC INC COM                        COMMON STOCK       353514102        38       600   SHARES                         X
FRANKLIN ELECTRONIC PUBLISHERS INC           COMMON STOCK       353515109         1       300   SHARES                 X
FRANKLIN RESOURCES INC                       COMMON STOCK       354613101       107      1930   SHARES                 X
FRANKLIN RESOURCES INC                       COMMON STOCK       354613101        11       200   SHARES                         X
FREDDIE MAC                                  COMMON STOCK       313400301      1316     22278   SHARES                 X
FREDDIE MAC                                  COMMON STOCK       313400301      2236     37865   SHARES                         X


FIRST MIDWEST BANCORP INC                       1            0      0      750
FIRST NATIONAL BANKSHARES OF FLORIDA            1         1724      0        0
FIRST NATIONAL BANKSHARES OF FLORIDA            1         3058      0        0
FIRST NIAGARA FINANCIAL GROUP                   1          292      0        0
FIRST NIAGARA FINANCIAL GROUP                   1            0      0    13486
FIRST OF LONG ISLAND CORP COM                   1            0      0      150
FIRST POTOMAC REALTY TRUST                      1            0      0      950
FIRST SENTINEL BANCORP INC COM                  1         4000      0        0
FIRST SENTINEL BANCORP INC COM                  1            0      0     1000
FIRST TENN NATL CORP COM                        1         2400      0        0
FIRST TENN NATL CORP COM                        1            0      0      300
First Tennessee National Corp.                  3        15800      0        0
FIRST UNITED CORP COM                           1        15665      0        0
FIRST UNITED CORP COM                           1          628      0     4177
FIRSTENERGY CORP COM                            1         9788      0        0
FIRSTENERGY CORP COM                            1         8489      0     3300
FIRSTFED FINANCIAL CORPORATION                  1            0      0      700
FIRSTMERIT CORPORATION COM                      1            0      0     1125
FISERV INC                                      1          500      0    12000
FISERV INC                                      1            0      0     2400
FISHER SCIENTIFIC INTERNATIONAL INC             1          900      0        0
FIVE STAR QUALITY CARE INC                      1           75      0        0
FIVE STAR QUALITY CARE INC                      1           17      0       10
Flagstar Bancorp, Inc.                          3        44000      0        0
FleetBoston Financial Corp.                     3        38115      0        0
FLEETBOSTON FINANCIAL CORPORATION               2        38100      0        0
FLEETBOSTON FINL CORP                           1       100976      0      875
FLEETBOSTON FINL CORP                           1        40332      0    43625
FLEETWOOD ENTERPRISES INC                       1            0      0     7600
FLORIDA EAST COAST INDS INC                     1          500      0        0
FLORIDA EAST COAST INDS INC                     1            8      0        0
FLORIDA PUBLIC UTILITIES COMPANY                1            0      0     2000
FLOWERS FOODS INC COM                           1           22      0     6000
FLOWSERVE CORP COM                              1            0      0     7900
FLUOR CORP NEW COM                              1         3950      0        0
FLUOR CORP NEW COM                              1         2050      0     2400
FLUSHING FINANCIAL CORPORATION                  1            0      0      750
FMC CORP                                        1            0      0     1800
FONAR CORP COM                                  1           18      0        0
FOOT LOCKER INC                                 1            0      0    21450
FORD MOTOR CO                                   1        81668      0       50
FORD MOTOR CO                                   1        47059      0    32879
FOREST LABS INC COM                             1         2750      0        0
FOREST LABS INC COM                             1          500      0     7135
FOREST OIL CORP                                 1         4700      0        0
Forest Oil Corp.                                3        31600      0        0
FORMFACTOR INC                                  1            0      0     2265
FORRESTER RESEARCH INC COM                      1            0      0     3750
FORTUNE BRANDS INC                              1        16168      0        0
FORTUNE BRANDS INC                              1         6757      0    31113
FOUNDRY NETWORKS INC                            1          100      0     6940
FOX ENTERTAINMENT GROUP INC COM                 1          103      0        0
FOX ENTERTAINMENT GROUP INC COM                 1          625      0        0
FPL GROUP INC COM                               3        13695      0        0
FPL GROUP INC COM                               1        64981      0        0
FPL GROUP INC COM                               1        23550      0    13221
FRANKFORT FIRST BANCORP INC COM NEW             1            0      0      500
Franklin Bank Corp.                             3         2900      0        0
FRANKLIN ELEC INC COM                           1            0      0      600
FRANKLIN ELECTRONIC PUBLISHERS INC              1          300      0        0
FRANKLIN RESOURCES INC                          1         1930      0        0
FRANKLIN RESOURCES INC                          1          200      0        0
FREDDIE MAC                                     1        15444      0     6834
FREDDIE MAC                                     1        10075      0    27790

                                    20 OF 64                           5/14/2004




                                                                                                 
FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE     COMMON STOCK       313400301      5235     88632   SHARES           X
FRED'S INC CL A                              COMMON STOCK       356108100       533     22000   SHARES                         X
FREEPORT MCMORAN CPR & GLD INC CL B          COMMON STOCK       35671D857        66      1701   SHARES                 X
FREEPORT MCMORAN CPR & GLD INC CL B          COMMON STOCK       35671D857        81      2065   SHARES                         X
FRESH DEL MONTE PRODUCE N V COM              COMMON STOCK       G36738105        13       500   SHARES                 X
FRESH DEL MONTE PRODUCE N V COM              COMMON STOCK       G36738105       124      4800   SHARES                         X
FRIEDMAN BILLINGS RAMSEY GRP INCA            COMMON STOCK       358434108        49      1825   SHARES                         X
Friedman, Billings, Ramsey Group, Inc.,
 Class A                                     COMMON STOCK       358434108      1323     49000   SHARES                 X
FRONTIER FINL CORP COM                       COMMON STOCK       35907K105        10       300   SHARES                         X
FROZEN FOOD EXPRESS INDUSTRIES INC           COMMON STOCK       359360104         7      1000   SHARES                         X
FTI CONSULTING                               COMMON STOCK       302941109        91      5450   SHARES                         X
Fuller (H.B.) Co.                            COMMON STOCK       359694106       421     14800   SHARES                 X
FULTON FIN CORP COM                          COMMON STOCK       360271100      3166    142176   SHARES                 X
FULTON FIN CORP COM                          COMMON STOCK       360271100      3388    152111   SHARES                         X
Fulton Financial Corp.                       COMMON STOCK       360271100      4830    216877   SHARES           X
FURNITURE BRANDS INTL INC                    COMMON STOCK       360921100        39      1220   SHARES                 X
FURNITURE BRANDS INTL INC                    COMMON STOCK       360921100      1070     33245   SHARES                         X
GABLES RESIDENTIAL TRUST (REIT)              COMMON STOCK       362418105        73      2000   SHARES                         X
GALLAGHER ARTHUR J. & CO                     COMMON STOCK       363576109         5       150   SHARES                         X
GAMESTOP CORP                                COMMON STOCK       36466R101       191     10600   SHARES                         X
GANNETT CO INC                               COMMON STOCK       364730101      1250     14184   SHARES                 X
GANNETT CO INC                               COMMON STOCK       364730101      4890     55475   SHARES                         X
Gannett Co., Inc.                            COMMON STOCK       364730101      1472     16700   SHARES                 X
GANNETT INCORPORATED                         COMMON STOCK       364730101       740      8400   SHARES           X
GAP INC COM                                  COMMON STOCK       364760108      1522     69432   SHARES                 X
GAP INC COM                                  COMMON STOCK       364760108       993     45298   SHARES                         X
GATEWAY INC                                  COMMON STOCK       367626108         1       250   SHARES                 X
GATEWAY INC                                  COMMON STOCK       367626108         5      1033   SHARES                         X
GATX CORP                                    COMMON STOCK       361448103        67      3000   SHARES                 X
GATX CORP                                    COMMON STOCK       361448103       298     13450   SHARES                         X
GAYLORD ENTMT CO NEW COM                     COMMON STOCK       367905106       185      6000   SHARES                         X
GEAC COMPUTER CORPORATION LIMITED            COMMON STOCK       368289104         5       715   SHARES                         X
GEMSTAR TV GUIDE INTL INC COM                COMMON STOCK       36866W106        91     13600   SHARES                         X
GENELABS TECHNOLOGIES INC                    COMMON STOCK       368706107         9      3300   SHARES                 X
GENENTECH INC COM NEW                        COMMON STOCK       368710406      1913     18075   SHARES                 X
GENENTECH INC COM NEW                        COMMON STOCK       368710406      1159     10950   SHARES                         X
Genentech, Inc.                              COMMON STOCK       368710406      1047      9900   SHARES                 X
GENERAL BEARING CORPORATION                  COMMON STOCK       369147103        51     17000   SHARES                         X
GENERAL DYNAMICS CORP COM                    COMMON STOCK       369550108      3411     38188   SHARES                 X
GENERAL DYNAMICS CORP COM                    COMMON STOCK       369550108      1201     13445   SHARES                         X
General Electric Co.                         COMMON STOCK       369604103     18144    594478   SHARES                 X
GENERAL ELECTRIC COMPANY                     COMMON STOCK       369604103      4997    163728   SHARES           X
GENERAL ELECTRIC COMPANY                     COMMON STOCK       369604103     78029   2556653   SHARES                 X
GENERAL ELECTRIC COMPANY                     COMMON STOCK       369604103     85940   2815865   SHARES                         X
GENERAL MILLS INC                            COMMON STOCK       370334104      5280    113100   SHARES                 X
GENERAL MILLS INC                            COMMON STOCK       370334104      6635    142140   SHARES                 X
GENERAL MILLS INC                            COMMON STOCK       370334104      1701     36448   SHARES                         X
GENERAL MOTORS CORP COM                      COMMON STOCK       370442105      6250    132691   SHARES                 X
GENERAL MOTORS CORP COM                      COMMON STOCK       370442105      1514     32150   SHARES                         X
GENESCO INC COM                              COMMON STOCK       371532102        83      3600   SHARES                         X
GENESEE & WYOMING                            COMMON STOCK       371559105        89      3618   SHARES                 X
GENESEE & WYOMING                            COMMON STOCK       371559105       261     10561   SHARES                         X
Genesee & Wyoming, Inc., Class A             COMMON STOCK       371559105       556     22500   SHARES                 X
GENESIS MICROCHIP INC                        COMMON STOCK       37184C103         8       500   SHARES                 X
GENESIS MICROCHIP INC                        COMMON STOCK       37184C103       415     24750   SHARES                         X
Genesis Microchip, Inc.                      COMMON STOCK       37184C103      1081     64500   SHARES                 X
Genlyte Group, Inc.                          COMMON STOCK       372302109       443      7900   SHARES                 X
GENPROBE INC                                 COMMON STOCK       36866T103        43      1290   SHARES                 X
GENPROBE INC                                 COMMON STOCK       36866T103        41      1240   SHARES                         X
GENTA INCORPORATED                           COMMON STOCK       37245M207        11      1000   SHARES                         X
Genta, Inc.                                  COMMON STOCK       37245M207      1183    112700   SHARES                 X
GENTEX CORP COM                              COMMON STOCK       371901109        56      1300   SHARES                         X
GENTIVA HLTH SVCS INC COM                    COMMON STOCK       37247A102         1        62   SHARES                 X
GENUINE PARTS COMPANY                        COMMON STOCK       372460105       363     11100   SHARES           X


FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE        2        88632      0        0
FRED'S INC CL A                                 1            0      0    22000
FREEPORT MCMORAN CPR & GLD INC CL B             1         1701      0        0
FREEPORT MCMORAN CPR & GLD INC CL B             1          765      0     1300
FRESH DEL MONTE PRODUCE N V COM                 1          500      0        0
FRESH DEL MONTE PRODUCE N V COM                 1            0      0     4800
FRIEDMAN BILLINGS RAMSEY GRP INCA               1         1825      0        0
Friedman, Billings, Ramsey Group, Inc.,         3        49000      0        0
Class A
FRONTIER FINL CORP COM                          1            0      0      300
FROZEN FOOD EXPRESS INDUSTRIES INC              1         1000      0        0
FTI CONSULTING                                  1            0      0     5450
Fuller (H.B.) Co.                               3        14800      0        0
FULTON FIN CORP COM                             1       141126      0     1050
FULTON FIN CORP COM                             1       100181      0    51930
Fulton Financial Corp.                                  216877      0        0
FURNITURE BRANDS INTL INC                       1            0      0     1220
FURNITURE BRANDS INTL INC                       1            0      0    33245
GABLES RESIDENTIAL TRUST (REIT)                 1            0      0     2000
GALLAGHER ARTHUR J. & CO                        1            0      0      150
GAMESTOP CORP                                   1            0      0    10600
GANNETT CO INC                                  1        14184      0        0
GANNETT CO INC                                  1        34375      0    21100
Gannett Co., Inc.                               3        16700      0        0
GANNETT INCORPORATED                            2         8400      0        0
GAP INC COM                                     1        69432      0        0
GAP INC COM                                     1        27225      0    18073
GATEWAY INC                                     1          250      0        0
GATEWAY INC                                     1           33      0     1000
GATX CORP                                       1            0      0     3000
GATX CORP                                       1         3200      0    10250
GAYLORD ENTMT CO NEW COM                        1            0      0     6000
GEAC COMPUTER CORPORATION LIMITED               1          715      0        0
GEMSTAR TV GUIDE INTL INC COM                   1          120      0    13480
GENELABS TECHNOLOGIES INC                       1         3300      0        0
GENENTECH INC COM NEW                           1        18075      0        0
GENENTECH INC COM NEW                           1         2850      0     8100
Genentech, Inc.                                 3         9900      0        0
GENERAL BEARING CORPORATION                     1        17000      0        0
GENERAL DYNAMICS CORP COM                       1        38188      0        0
GENERAL DYNAMICS CORP COM                       1        10350      0     3095
General Electric Co.                            3       594478      0        0
GENERAL ELECTRIC COMPANY                        2       163728      0        0
GENERAL ELECTRIC COMPANY                        1      2549539      0     7114
GENERAL ELECTRIC COMPANY                        1      1830589      0   985276
GENERAL MILLS INC                               3       113100      0        0
GENERAL MILLS INC                               1       141855      0      285
GENERAL MILLS INC                               1        23062      0    13386
GENERAL MOTORS CORP COM                         1       131491      0     1200
GENERAL MOTORS CORP COM                         1        17592    200    14358
GENESCO INC COM                                 1            0      0     3600
GENESEE & WYOMING                               1         3618      0        0
GENESEE & WYOMING                               1            0      0    10561
Genesee & Wyoming, Inc., Class A                3        22500      0        0
GENESIS MICROCHIP INC                           1          500      0        0
GENESIS MICROCHIP INC                           1            0      0    24750
Genesis Microchip, Inc.                         3        64500      0        0
Genlyte Group, Inc.                             3         7900      0        0
GENPROBE INC                                    1            0      0     1290
GENPROBE INC                                    1            0      0     1240
GENTA INCORPORATED                              1            0      0     1000
Genta, Inc.                                     3       112700      0        0
GENTEX CORP COM                                 1            0      0     1300
GENTIVA HLTH SVCS INC COM                       1           62      0        0
GENUINE PARTS COMPANY                           2        11100      0        0

                                    21 OF 64                           5/14/2004




                                                                                                 
GENUINE PARTS INC                            COMMON STOCK       372460105       342     10442   SHARES                 X
GENUINE PARTS INC                            COMMON STOCK       372460105       191      5850   SHARES                         X
GENVEC INC COM                               COMMON STOCK       37246C109         2       500   SHARES                         X
GENZYME CORP COM                             COMMON STOCK       372917104       226      4826   SHARES                 X
GENZYME CORP COM                             COMMON STOCK       372917104       257      5500   SHARES                         X
Georgia Gulf Corp.                           COMMON STOCK       373200203       639     21200   SHARES                 X
GEORGIA GULF CORPORATION                     COMMON STOCK       373200203       101      3366   SHARES                 X
GEORGIA PAC CORP COM                         COMMON STOCK       373298108       156      4619   SHARES                 X
GEORGIA PAC CORP COM                         COMMON STOCK       373298108       333      9887   SHARES                         X
Georgia-Pacific Corp.                        COMMON STOCK       373298108       842     25000   SHARES                 X
Gerber Scientific, Inc.                      COMMON STOCK       373730100       338     49700   SHARES                 X
GERON CORP                                   COMMON STOCK       374163103         5       500   SHARES                         X
GETTY IMAGES INC COM                         COMMON STOCK       374276103        27       500   SHARES                         X
GETTY REALTY CORPORATION                     COMMON STOCK       374297109         8       300   SHARES                 X
GIII APPAREL GROUP LIMITED                   COMMON STOCK       36237H101        15      1900   SHARES                         X
GILEAD SCIENCES INC COM                      COMMON STOCK       375558103       892     16084   SHARES                 X
GILEAD SCIENCES INC COM                      COMMON STOCK       375558103       258      4660   SHARES                         X
GILLETTE CO                                  COMMON STOCK       375766102      3223     82416   SHARES                 X
GILLETTE CO                                  COMMON STOCK       375766102      7238    185119   SHARES                 X
GILLETTE CO                                  COMMON STOCK       375766102      6021    153992   SHARES                         X
GILLETTE COMPANY                             COMMON STOCK       375766102      1249     31950   SHARES           X
GLADSTONE CAPITAL CORP                       COMMON STOCK       376535100      1217     54300   SHARES           X
GLATFELTER                                   COMMON STOCK       377316104       446     39670   SHARES                 X
GLATFELTER                                   COMMON STOCK       377316104       181     16120   SHARES                         X
GLOBAL PAYMENTS INC                          COMMON STOCK       37940X102        58      1290   SHARES                 X
GLOBALSANTAFE CORP                           COMMON STOCK       G3930E101         7       250   SHARES                         X
GOLDEN TELECOM INC                           COMMON STOCK       38122G107        27       800   SHARES                 X
Golden West Financial Corp.                  COMMON STOCK       381317106      2183     19500   SHARES                 X
GOLDEN WEST FINL CORP COM                    COMMON STOCK       381317106       302      2697   SHARES                 X
GOLDEN WEST FINL CORP COM                    COMMON STOCK       381317106        22       200   SHARES                         X
GOLDMAN SACHS GROUP INC COM                  COMMON STOCK       38141G104       232      2220   SHARES                 X
GOLDMAN SACHS GROUP INC COM                  COMMON STOCK       38141G104      2492     23880   SHARES                         X
GOODRICH CORP                                COMMON STOCK       382388106       264      9400   SHARES                         X
GOODYEAR TIRE & RUBR CO                      COMMON STOCK       382550101        22      2581   SHARES                 X
GOODYEAR TIRE & RUBR CO                      COMMON STOCK       382550101        19      2247   SHARES                         X
GOUVERNEUR BANCORP INC COM                   COMMON STOCK       383584109        14      1000   SHARES                         X
GRACO INC COM                                COMMON STOCK       384109104        82      2813   SHARES                         X
GRAFTECH INTERNATIONAL LTD                   COMMON STOCK       384313102        89      5920   SHARES                 X
GRAFTECH INTERNATIONAL LTD                   COMMON STOCK       384313102       131      8775   SHARES                         X
GRANITE CONSTRUCTION INCORPORATED            COMMON STOCK       387328107       143      6000   SHARES                         X
GRAY TELEVISION INC                          COMMON STOCK       389375106        54      3670   SHARES                         X
GREAT AMERN FINL RES INC COM                 COMMON STOCK       389915109         2       100   SHARES                         X
GREAT LAKES CHEM CORP                        COMMON STOCK       390568103        46      1940   SHARES                         X
GREAT PLAINS ENERGY INC                      COMMON STOCK       391164100        19       570   SHARES                 X
GREAT PLAINS ENERGY INC                      COMMON STOCK       391164100       118      3500   SHARES                         X
Greater Bay Bancorp                          COMMON STOCK       391648102      1123     38400   SHARES                 X
GREATER BAY BANCORP                          COMMON STOCK       391648102       415     14200   SHARES                         X
GREEN MOUNTAIN POWER CORP                    COMMON STOCK       393154109        26      1000   SHARES                 X
GREENE CNTY BANCORP INC COM                  COMMON STOCK       394357107        38      1100   SHARES                         X
GREENPOINT FINANCIAL CORP COM                COMMON STOCK       395384100        15       350   SHARES                 X
GREENPOINT FINANCIAL CORP COM                COMMON STOCK       395384100       129      2950   SHARES                         X
GREIF INC CL A                               COMMON STOCK       397624107        70      2000   SHARES                         X
GREY GLOBAL GROUP INC COM                    COMMON STOCK       39787M108       138       200   SHARES                 X
GREY GLOBAL GROUP INC COM                    COMMON STOCK       39787M108        28        40   SHARES                         X
Griffon Corp.                                COMMON STOCK       398433102       741     34300   SHARES                 X
GRIFFON CORPORATION                          COMMON STOCK       398433102       117      5420   SHARES                         X
GROUP 1 AUTOMOTIVE INC                       COMMON STOCK       398905109        21       575   SHARES                         X
GTECH HOLDINGS CORP COM                      COMMON STOCK       400518106       137      2310   SHARES                         X
GUIDANT CORP COM                             COMMON STOCK       401698105      1648     26000   SHARES                 X
GUIDANT CORP COM                             COMMON STOCK       401698105       554      8738   SHARES                         X
Guidant Corp.                                COMMON STOCK       401698105      1337     21100   SHARES                 X
GUILFORD PHARMACEUTICALS INC COM             COMMON STOCK       401829106         7      1000   SHARES                 X
GUITAR CTR INC                               COMMON STOCK       402040109       186      5000   SHARES                         X
GULF ISLAND FABRICATION INC COM              COMMON STOCK       402307102        89      4400   SHARES                         X


GENUINE PARTS INC                               1        10442      0        0
GENUINE PARTS INC                               1         2250      0     3600
GENVEC INC COM                                  1          500      0        0
GENZYME CORP COM                                1         4826      0        0
GENZYME CORP COM                                1            0      0     5500
Georgia Gulf Corp.                              3        21200      0        0
GEORGIA GULF CORPORATION                        1         3366      0        0
GEORGIA PAC CORP COM                            1         4619      0        0
GEORGIA PAC CORP COM                            1          579      0     9308
Georgia-Pacific Corp.                           3        25000      0        0
Gerber Scientific, Inc.                         3        49700      0        0
GERON CORP                                      1            0      0      500
GETTY IMAGES INC COM                            1            0      0      500
GETTY REALTY CORPORATION                        1          300      0        0
GIII APPAREL GROUP LIMITED                      1            0      0     1900
GILEAD SCIENCES INC COM                         1        16084      0        0
GILEAD SCIENCES INC COM                         1           25      0     4635
GILLETTE CO                                     3        82416      0        0
GILLETTE CO                                     1       184640     69      410
GILLETTE CO                                     1       114022      0    39970
GILLETTE COMPANY                                2        31950      0        0
GLADSTONE CAPITAL CORP                          2        54300      0        0
GLATFELTER                                      1        36670      0     3000
GLATFELTER                                      1        16120      0        0
GLOBAL PAYMENTS INC                             1            0      0     1290
GLOBALSANTAFE CORP                              1            0      0      250
GOLDEN TELECOM INC                              1            0      0      800
Golden West Financial Corp.                     3        19500      0        0
GOLDEN WEST FINL CORP COM                       1         2697      0        0
GOLDEN WEST FINL CORP COM                       1            0      0      200
GOLDMAN SACHS GROUP INC COM                     1         2220      0        0
GOLDMAN SACHS GROUP INC COM                     1            0      0    23880
GOODRICH CORP                                   1         4000      0     5400
GOODYEAR TIRE & RUBR CO                         1         2581      0        0
GOODYEAR TIRE & RUBR CO                         1         2247      0        0
GOUVERNEUR BANCORP INC COM                      1            0      0     1000
GRACO INC COM                                   1            0      0     2813
GRAFTECH INTERNATIONAL LTD                      1            0      0     5920
GRAFTECH INTERNATIONAL LTD                      1            0      0     8775
GRANITE CONSTRUCTION INCORPORATED               1            0      0     6000
GRAY TELEVISION INC                             1            0      0     3670
GREAT AMERN FINL RES INC COM                    1            0      0      100
GREAT LAKES CHEM CORP                           1            0      0     1940
GREAT PLAINS ENERGY INC                         1          570      0        0
GREAT PLAINS ENERGY INC                         1            0      0     3500
Greater Bay Bancorp                             3        38400      0        0
GREATER BAY BANCORP                             1            0      0    14200
GREEN MOUNTAIN POWER CORP                       1         1000      0        0
GREENE CNTY BANCORP INC COM                     1            0      0     1100
GREENPOINT FINANCIAL CORP COM                   1          350      0        0
GREENPOINT FINANCIAL CORP COM                   1            0      0     2950
GREIF INC CL A                                  1            0      0     2000
GREY GLOBAL GROUP INC COM                       1            0      0      200
GREY GLOBAL GROUP INC COM                       1            0      0       40
Griffon Corp.                                   3        34300      0        0
GRIFFON CORPORATION                             1            0      0     5420
GROUP 1 AUTOMOTIVE INC                          1            0      0      575
GTECH HOLDINGS CORP COM                         1            0      0     2310
GUIDANT CORP COM                                1        26000      0        0
GUIDANT CORP COM                                1         5357      0     3381
Guidant Corp.                                   3        21100      0        0
GUILFORD PHARMACEUTICALS INC COM                1         1000      0        0
GUITAR CTR INC                                  1            0      0     5000
GULF ISLAND FABRICATION INC COM                 1            0      0     4400

                                    22 OF 64                           5/14/2004




                                                                                                 
GULFMARK OFFSHORE INC COM                    COMMON STOCK       402629109        19      1200   SHARES                         X
GULFTERRA ENERGY PTNRS LP                    COMMON STOCK       40274U108        49      1150   SHARES                         X
HAIN CELESTIAL GROUP INC                     COMMON STOCK       405217100        97      4380   SHARES                         X
HALLIBURTON HLDG CO COM                      COMMON STOCK       406216101       187      6169   SHARES                 X
HALLIBURTON HLDG CO COM                      COMMON STOCK       406216101       261      8600   SHARES                         X
HANCOCK FABRICS                              COMMON STOCK       409900107        53      3350   SHARES                         X
HANDLEMAN CO DEL                             COMMON STOCK       410252100        47      1980   SHARES                         X
HANMI FINANCIAL CORP                         COMMON STOCK       410495105         5       200   SHARES                         X
HANOVER COMPRESSOR CO COM                    COMMON STOCK       410768105       544     45000   SHARES                         X
HANSEN NATURAL CORPORATION                   COMMON STOCK       411310105        28      2000   SHARES                 X
Harbor Florida Bancshares, Inc.              COMMON STOCK       411901101        35      1200   SHARES                 X
HARLAND (JOHN H ) CO COM                     COMMON STOCK       412693103       330     10600   SHARES                         X
HARLEY DAVIDSON INC                          COMMON STOCK       412822108      1329     24923   SHARES                 X
HARLEY DAVIDSON INC                          COMMON STOCK       412822108      1571     29444   SHARES                         X
HARLEYSVILLE NATL CORP COM                   COMMON STOCK       412850109        37      1316   SHARES                 X
HARLEYSVILLE NATL CORP COM                   COMMON STOCK       412850109         8       288   SHARES                         X
HARLEYSVILLE SAVINGS FINANCIAL CORP          COMMON STOCK       412865107       161      5366   SHARES                         X
HARMAN INTERNATIONAL INDUSTRIES              COMMON STOCK       413086109       716      9000   SHARES                         X
HARMONIC LIGHTWAVES INC COM                  COMMON STOCK       413160102        40      4140   SHARES                 X
Harmonic Lightwaves, Inc.                    COMMON STOCK       413160102       263     27300   SHARES                 X
HARRAHS ENTERTAINMENT INC                    COMMON STOCK       413619107        66      1200   SHARES                         X
HARRIS CORP                                  COMMON STOCK       413875105        39       800   SHARES                 X
HARRIS CORP                                  COMMON STOCK       413875105        48      1000   SHARES                         X
HARSCO CORP                                  COMMON STOCK       415864107     11089    243705   SHARES                 X
HARSCO CORP                                  COMMON STOCK       415864107      2939     64596   SHARES                         X
Harsco Corp.                                 COMMON STOCK       415864107       946     20800   SHARES                 X
Hartford Financial Services Group, Inc.      COMMON STOCK       416515104      7326    115020   SHARES                 X
HARTFORD FINANCIAL SVCS GRP INC COM          COMMON STOCK       416515104      6238     97934   SHARES                 X
HARTFORD FINANCIAL SVCS GRP INC COM          COMMON STOCK       416515104      2126     33378   SHARES                         X
HARTMARX CORPORATION                         COMMON STOCK       417119104        29      4830   SHARES                 X
HASBRO INC                                   COMMON STOCK       418056107         4       170   SHARES                         X
HAWAIIAN ELEC IND INC                        COMMON STOCK       419870100       207      4000   SHARES                         X
HCA - The Healthcare Corp.                   COMMON STOCK       404119109      6698    164884   SHARES                 X
HCA INC COM                                  COMMON STOCK       404119109      3730     91827   SHARES                 X
HCA INC COM                                  COMMON STOCK       404119109       291      7165   SHARES                         X
HCC INS HLDGS INC COM                        COMMON STOCK       404132102       657     20310   SHARES                         X
HEADWATERS INCORPORATED                      COMMON STOCK       42210P102       445     17350   SHARES                         X
Headwaters, Inc.                             COMMON STOCK       42210P102       594     23200   SHARES                 X
HEALTH CARE PPTY INVEST INC (REIT)           COMMON STOCK       421915109       180      6344   SHARES                 X
HEALTH CARE PPTY INVEST INC (REIT)           COMMON STOCK       421915109       112      3962   SHARES                         X
Health Management Association, Class A       COMMON STOCK       421933102      7836    337586   SHARES                 X
HEALTH MGMT ASSOC INC CL A                   COMMON STOCK       421933102      6343    273270   SHARES                 X
HEALTH MGMT ASSOC INC CL A                   COMMON STOCK       421933102      1024     44120   SHARES                         X
HEALTH NET INC COM                           COMMON STOCK       42222G108      1131     45364   SHARES                         X
HEALTHCARE REALTY TRUST INC (REIT)           COMMON STOCK       421946104        81      1900   SHARES                 X
HEALTHCARE REALTY TRUST INC (REIT)           COMMON STOCK       421946104       160      3739   SHARES                         X
HEARST ARGYLE TELEVISION INC COM             COMMON STOCK       422317107       103      3825   SHARES                         X
HECLA MNG CO COM                             COMMON STOCK       422704106        57      6760   SHARES                         X
HEIDRICK & STRUGGLES INTL INC                COMMON STOCK       422819102        25      1050   SHARES                         X
HEINZ H J CO COM                             COMMON STOCK       423074103      3066     82233   SHARES                 X
HEINZ H J CO COM                             COMMON STOCK       423074103      1698     45544   SHARES                         X
HELEN OF TROY LTD                            COMMON STOCK       G4388N106        64      2050   SHARES                         X
HELIX TECHNOLOGY CORPORATION                 COMMON STOCK       423319102        30      1250   SHARES                         X
HELMERICH & PAYNE INC COM                    COMMON STOCK       423452101       292     10200   SHARES                         X
HENRY JACK & ASSOC INC COM                   COMMON STOCK       426281101       201     10500   SHARES                 X
HENRY JACK & ASSOC INC COM                   COMMON STOCK       426281101         6       292   SHARES                         X
Henry Jack & Associates, Inc.                COMMON STOCK       426281101      1487     77200   SHARES                 X
HENRY SCHEIN INC COM                         COMMON STOCK       806407102        27       375   SHARES                 X
HENRY SCHEIN INC COM                         COMMON STOCK       806407102       592      8300   SHARES                         X
HERCULES INC                                 COMMON STOCK       427056106        52      4500   SHARES                 X
HERCULES INC                                 COMMON STOCK       427056106       173     15100   SHARES                         X
HERSHEY FOODS CORP                           COMMON STOCK       427866108      3289     39699   SHARES                 X
HERSHEY FOODS CORP                           COMMON STOCK       427866108      2874     34695   SHARES                         X
HEWLETT PACKARD CO COM                       COMMON STOCK       428236103      4356    190714   SHARES                 X


GULFMARK OFFSHORE INC COM                       1            0      0     1200
GULFTERRA ENERGY PTNRS LP                       1         1000      0      150
HAIN CELESTIAL GROUP INC                        1            0      0     4380
HALLIBURTON HLDG CO COM                         1         6169      0        0
HALLIBURTON HLDG CO COM                         1         4100      0     4500
HANCOCK FABRICS                                 1            0      0     3350
HANDLEMAN CO DEL                                1            0      0     1980
HANMI FINANCIAL CORP                            1            0      0      200
HANOVER COMPRESSOR CO COM                       1            0      0    45000
HANSEN NATURAL CORPORATION                      1            0      0     2000
Harbor Florida Bancshares, Inc.                 3         1200      0        0
HARLAND (JOHN H ) CO COM                        1            0      0    10600
HARLEY DAVIDSON INC                             1        24823      0      100
HARLEY DAVIDSON INC                             1         2854      0    26590
HARLEYSVILLE NATL CORP COM                      1         1316      0        0
HARLEYSVILLE NATL CORP COM                      1            0      0      288
HARLEYSVILLE SAVINGS FINANCIAL CORP             1         5366      0        0
HARMAN INTERNATIONAL INDUSTRIES                 1            0      0     9000
HARMONIC LIGHTWAVES INC COM                     1            0      0     4140
Harmonic Lightwaves, Inc.                       3        27300      0        0
HARRAHS ENTERTAINMENT INC                       1            0      0     1200
HARRIS CORP                                     1          800      0        0
HARRIS CORP                                     1            0      0     1000
HARSCO CORP                                     1       210983      0    32722
HARSCO CORP                                     1        58788      0     5808
Harsco Corp.                                    3        20800      0        0
Hartford Financial Services Group, Inc.         3       115020      0        0
HARTFORD FINANCIAL SVCS GRP INC COM             1        97573      0      361
HARTFORD FINANCIAL SVCS GRP INC COM             1        14328      0    19050
HARTMARX CORPORATION                            1         4830      0        0
HASBRO INC                                      1          170      0        0
HAWAIIAN ELEC IND INC                           1            0      0     4000
HCA - The Healthcare Corp.                      3       164884      0        0
HCA INC COM                                     1        90387      0     1440
HCA INC COM                                     1         1615      0     5550
HCC INS HLDGS INC COM                           1            0      0    20310
HEADWATERS INCORPORATED                         1            0      0    17350
Headwaters, Inc.                                3        23200      0        0
HEALTH CARE PPTY INVEST INC (REIT)              1         6344      0        0
HEALTH CARE PPTY INVEST INC (REIT)              1            0      0     3962
Health Management Association, Class A          3       337586      0        0
HEALTH MGMT ASSOC INC CL A                      1       272151      0     1119
HEALTH MGMT ASSOC INC CL A                      1        23455      0    20665
HEALTH NET INC COM                              1         1064      0    44300
HEALTHCARE REALTY TRUST INC (REIT)              1         1900      0        0
HEALTHCARE REALTY TRUST INC (REIT)              1            0      0     3739
HEARST ARGYLE TELEVISION INC COM                1            0      0     3825
HECLA MNG CO COM                                1            0      0     6760
HEIDRICK & STRUGGLES INTL INC                   1            0      0     1050
HEINZ H J CO COM                                1        80683      0     1550
HEINZ H J CO COM                                1        34294      0    11250
HELEN OF TROY LTD                               1            0      0     2050
HELIX TECHNOLOGY CORPORATION                    1            0      0     1250
HELMERICH & PAYNE INC COM                       1            0      0    10200
HENRY JACK & ASSOC INC COM                      1         5500      0     5000
HENRY JACK & ASSOC INC COM                      1          292      0        0
Henry Jack & Associates, Inc.                   3        77200      0        0
HENRY SCHEIN INC COM                            1            0      0      375
HENRY SCHEIN INC COM                            1            0      0     8300
HERCULES INC                                    1         4500      0        0
HERCULES INC                                    1         5100      0    10000
HERSHEY FOODS CORP                              1        39199      0      500
HERSHEY FOODS CORP                              1        20695      0    14000
HEWLETT PACKARD CO COM                          1       190398      0      316

                                    23 OF 64                           5/14/2004




                                                                                                 
HEWLETT PACKARD CO COM                       COMMON STOCK       428236103      5541    242621   SHARES                         X
HEWLETT PACKARD COMPANY                      COMMON STOCK       428236103       839     36717   SHARES           X
HI TECH PHARMACAL CO INC                     COMMON STOCK       42840B101        16       800   SHARES                         X
HIBBETT SPORTING GOODS, INC.                 COMMON STOCK       428565105        26       675   SHARES                         X
HIBERNIA CORP CL A                           COMMON STOCK       428656102       278     11850   SHARES                         X
HIGHLAND HOSPITALITY CORP  REITS             COMMON STOCK       430141101        22      1900   SHARES                         X
HIGHWOODS PROPERTIES (REIT)                  COMMON STOCK       431284108        34      1300   SHARES                         X
HILB ROGAL & HAMILITON CO                    COMMON STOCK       431294107       383     10057   SHARES                         X
HILLENBRAND INDS INC COM                     COMMON STOCK       431573104        61       900   SHARES                         X
HILTON HOTELS CORP                           COMMON STOCK       432848109       275     16943   SHARES                 X
HILTON HOTELS CORP                           COMMON STOCK       432848109       113      6950   SHARES                         X
Hilton Hotels Corp.                          COMMON STOCK       432848109      1820    112000   SHARES                 X
HOLLINGER INTERNATIONAL INC COM              COMMON STOCK       435569108       280     14160   SHARES                 X
Holly Corp.                                  COMMON STOCK       435758305       516     16200   SHARES                 X
HOLLYWOOD ENTERTAINMENT CORP                 COMMON STOCK       436141105       826     60950   SHARES                         X
HOLOGIC INC COM                              COMMON STOCK       436440101         8       400   SHARES                         X
HOME DEPOT INC COM                           COMMON STOCK       437076102      9198    246177   SHARES                 X
HOME DEPOT INC COM                           COMMON STOCK       437076102     17688    473440   SHARES                 X
HOME DEPOT INC COM                           COMMON STOCK       437076102      9655    258426   SHARES                         X
HOME DEPOT INCORPORATED                      COMMON STOCK       437076102      4190    112145   SHARES           X
HOME FINANCIAL BANCORP COM                   COMMON STOCK       43708T101        23      4000   SHARES                         X
HOME PROPERTIES INC (REIT)                   COMMON STOCK       437306103        41      1000   SHARES                 X
HOME PROPERTIES INC (REIT)                   COMMON STOCK       437306103       464     11396   SHARES                         X
HOME PROPERTIES OF NEW YORK INC              COMMON STOCK       437306103      2482     60900   SHARES           X
HONEYWELL INTERNATIONAL INCORPORATED         COMMON STOCK       438516106       552     16312   SHARES           X
Honeywell International, Inc.                COMMON STOCK       438516106       845     24960   SHARES                 X
HONEYWELL INTL INC COM                       COMMON STOCK       438516106      3469    102486   SHARES                 X
HONEYWELL INTL INC COM                       COMMON STOCK       438516106      4640    137076   SHARES                         X
HOSPITALITY PROPERTIES TRUST (REIT)          COMMON STOCK       44106M102        46      1000   SHARES                 X
HOST MARRIOTT CORP NEW COM                   COMMON STOCK       44107P104         3       217   SHARES                 X
HOST MARRIOTT CORP NEW COM                   COMMON STOCK       44107P104       417     32598   SHARES                         X
HOT TOPIC INC                                COMMON STOCK       441339108        18       675   SHARES                 X
HOT TOPIC INC                                COMMON STOCK       441339108        17       638   SHARES                         X
Hot Topic, Inc.                              COMMON STOCK       441339108      1259     47600   SHARES                 X
HOUSTON EXPLORATION COMPANY                  COMMON STOCK       442120101        69      1550   SHARES                         X
HOVNANIAN ENTERPRISESA                       COMMON STOCK       442487203       207      4800   SHARES                         X
HRPT Properties Trust                        COMMON STOCK       40426W101       657     58100   SHARES                 X
HRPT PROPERTIES TRUST (REIT)                 COMMON STOCK       40426W101        95      8400   SHARES                 X
HRPT PROPERTIES TRUST (REIT)                 COMMON STOCK       40426W101        32      2800   SHARES                         X
HUBBELL INC CL B                             COMMON STOCK       443510201        30       750   SHARES                         X
HUDSON RIVER BANCORP INC COM                 COMMON STOCK       444128102        41      2000   SHARES                         X
Hudson River Bancorp, Inc.                   COMMON STOCK       444128102        70      3400   SHARES                 X
HUDSON TECHNOLOGIES INC                      COMMON STOCK       444144109        15     12824   SHARES                         X
HUDSON UNITED BANCORP COM                    COMMON STOCK       444165104       396     10403   SHARES                         X
HUGHES ELECTRONICS CORPORATION               COMMON STOCK       444418107       487     29424   SHARES           X
HUGHES SUPPLY INC                            COMMON STOCK       444482103        48       920   SHARES                 X
HUGHES SUPPLY INC                            COMMON STOCK       444482103        27       510   SHARES                         X
HUMAN GENOME SCIENCES INC                    COMMON STOCK       444903108       107      8500   SHARES                         X
HUMANA INC COM                               COMMON STOCK       444859102       340     17900   SHARES                         X
HUMMINGBIRD LTD                              COMMON STOCK       44544R101        11       500   SHARES                         X
HUNTINGTON BANCSHARES INC COM                COMMON STOCK       446150104        11       500   SHARES                 X
HUNTINGTON BANCSHARES INC COM                COMMON STOCK       446150104       167      7561   SHARES                         X
HUTCHINSON TECHNOLOGY INC                    COMMON STOCK       448407106        19       660   SHARES                 X
HUTCHINSON TECHNOLOGY INC                    COMMON STOCK       448407106        43      1550   SHARES                         X
HUTTIG BLDG PRODS INC                        COMMON STOCK       448451104         3       585   SHARES                 X
HUTTIG BLDG PRODS INC                        COMMON STOCK       448451104        11      2277   SHARES                         X
HYPERION SOLUTIONS CORP COM                  COMMON STOCK       44914M104       373      9000   SHARES                         X
ICU MEDICAL INC                              COMMON STOCK       44930G107        30      1000   SHARES                 X
ICU MEDICAL INC                              COMMON STOCK       44930G107       103      3400   SHARES                         X
IDACORP INC                                  COMMON STOCK       451107106        46      1542   SHARES                         X
Identix, Inc.                                COMMON STOCK       451906101       474     82099   SHARES                 X
IDEXX CORP                                   COMMON STOCK       45168D104        45       800   SHARES                         X
IIVI INC                                     COMMON STOCK       902104108        30      1236   SHARES                         X
IKON OFFICE SOLUTIONS INC                    COMMON STOCK       451713101       637     49800   SHARES                         X


HEWLETT PACKARD CO COM                          1       113312      0   129309
HEWLETT PACKARD COMPANY                         2        36717      0        0
HI TECH PHARMACAL CO INC                        1            0      0      800
HIBBETT SPORTING GOODS, INC.                    1            0      0      675
HIBERNIA CORP CL A                              1            0      0    11850
HIGHLAND HOSPITALITY CORP  REITS                1            0      0     1900
HIGHWOODS PROPERTIES (REIT)                     1            0      0     1300
HILB ROGAL & HAMILITON CO                       1            0      0    10057
HILLENBRAND INDS INC COM                        1            0      0      900
HILTON HOTELS CORP                              1        16943      0        0
HILTON HOTELS CORP                              1            0      0     6950
Hilton Hotels Corp.                             3       112000      0        0
HOLLINGER INTERNATIONAL INC COM                 1            0      0    14160
Holly Corp.                                     3        16200      0        0
HOLLYWOOD ENTERTAINMENT CORP                    1            0      0    60950
HOLOGIC INC COM                                 1            0      0      400
HOME DEPOT INC COM                              3       246177      0        0
HOME DEPOT INC COM                              1       471706      0     1734
HOME DEPOT INC COM                              1       143389      0   115037
HOME DEPOT INCORPORATED                         2       112145      0        0
HOME FINANCIAL BANCORP COM                      1            0      0     4000
HOME PROPERTIES INC (REIT)                      1         1000      0        0
HOME PROPERTIES INC (REIT)                      1         6200      0     5196
HOME PROPERTIES OF NEW YORK INC                 2        60900      0        0
HONEYWELL INTERNATIONAL INCORPORATED            2        16312      0        0
Honeywell International, Inc.                   3        24960      0        0
HONEYWELL INTL INC COM                          1       102486      0        0
HONEYWELL INTL INC COM                          1        79579      0    57497
HOSPITALITY PROPERTIES TRUST (REIT)             1         1000      0        0
HOST MARRIOTT CORP NEW COM                      1          217      0        0
HOST MARRIOTT CORP NEW COM                      1         9987      0    22611
HOT TOPIC INC                                   1          675      0        0
HOT TOPIC INC                                   1            0      0      638
Hot Topic, Inc.                                 3        47600      0        0
HOUSTON EXPLORATION COMPANY                     1            0      0     1550
HOVNANIAN ENTERPRISESA                          1            0      0     4800
HRPT Properties Trust                           3        58100      0        0
HRPT PROPERTIES TRUST (REIT)                    1         8400      0        0
HRPT PROPERTIES TRUST (REIT)                    1         2800      0        0
HUBBELL INC CL B                                1          250      0      500
HUDSON RIVER BANCORP INC COM                    1            0      0     2000
Hudson River Bancorp, Inc.                      3         3400      0        0
HUDSON TECHNOLOGIES INC                         1            0      0    12824
HUDSON UNITED BANCORP COM                       1            0      0    10403
HUGHES ELECTRONICS CORPORATION                  2        29424      0        0
HUGHES SUPPLY INC                               1            0      0      920
HUGHES SUPPLY INC                               1          510      0        0
HUMAN GENOME SCIENCES INC                       1         6200      0     2300
HUMANA INC COM                                  1          600      0    17300
HUMMINGBIRD LTD                                 1            0      0      500
HUNTINGTON BANCSHARES INC COM                   1          500      0        0
HUNTINGTON BANCSHARES INC COM                   1          161      0     7400
HUTCHINSON TECHNOLOGY INC                       1          660      0        0
HUTCHINSON TECHNOLOGY INC                       1            0      0     1550
HUTTIG BLDG PRODS INC                           1          585      0        0
HUTTIG BLDG PRODS INC                           1         2277      0        0
HYPERION SOLUTIONS CORP COM                     1            0      0     9000
ICU MEDICAL INC                                 1         1000      0        0
ICU MEDICAL INC                                 1            0      0     3400
IDACORP INC                                     1          300      0     1242
Identix, Inc.                                   3        82099      0        0
IDEXX CORP                                      1            0      0      800
IIVI INC                                        1            0      0     1236
IKON OFFICE SOLUTIONS INC                       1         2000      0    47800

                                    24 OF 64                           5/14/2004




                                                                                                 
Ikon Office Solutions, Inc.                  COMMON STOCK       451713101       812     63400   SHARES                 X
ILEX ONCOLOGY INC                            COMMON STOCK       451923106        22       900   SHARES                         X
ILLINOIS TOOL WKS INC COM                    COMMON STOCK       452308109      2161     27273   SHARES                 X
ILLINOIS TOOL WKS INC COM                    COMMON STOCK       452308109      2053     25917   SHARES                         X
IMAGISTICS INTL INC                          COMMON STOCK       45247T104        11       260   SHARES                 X
IMAGISTICS INTL INC                          COMMON STOCK       45247T104        37       832   SHARES                         X
IMATION CORPORATION COM                      COMMON STOCK       45245A107         3        81   SHARES                 X
IMATION CORPORATION COM                      COMMON STOCK       45245A107       204      5415   SHARES                         X
IMC GLOBAL INC                               COMMON STOCK       449669100        16      1100   SHARES                         X
IMCLONE SYS INC COM                          COMMON STOCK       45245W109       211      4150   SHARES                         X
Immersion Corp.                              COMMON STOCK       452521107       977    128600   SHARES                 X
IMPAC MORTGAGE HOLDINGS INC(REIT)            COMMON STOCK       45254P102        33      1200   SHARES                         X
IMPCO TECHNOLOGIES INCORPORATED              COMMON STOCK       45255W106        24      4300   SHARES                         X
IMS HEALTH INC COM                           COMMON STOCK       449934108       467     20060   SHARES                 X
IMS HEALTH INC COM                           COMMON STOCK       449934108       676     29053   SHARES                         X
Independence Community Bank                  COMMON STOCK       453414104      1035     25400   SHARES                 X
INDEPENDENCE COMMUNITY BK CORP COM           COMMON STOCK       453414104        70      1729   SHARES                         X
Independent Bank Corp.- Michigan             COMMON STOCK       453838104       779     27979   SHARES                 X
INDYMAC BANCORP INC COM                      COMMON STOCK       456607100       660     18200   SHARES                         X
IndyMac Bancorp, Inc.                        COMMON STOCK       456607100      1140     31400   SHARES                 X
INERGY LP                                    COMMON STOCK       456615103        23      1000   SHARES                         X
INFINITY PPTY & CAS CORP                     COMMON STOCK       45665Q103       273      8700   SHARES                         X
INFORMATICA CORP COM                         COMMON STOCK       45666Q102        17      2000   SHARES                 X
INFORMATION HOLDINGS INC COM                 COMMON STOCK       456727106        70      3400   SHARES                         X
INFOSPACE INC                                COMMON STOCK       45678T201         0        10   SHARES                 X
INGRAM MICRO INC CL A                        COMMON STOCK       457153104       205     11300   SHARES                         X
INNOVATIVE SOLUTIONS & SUPPORT INC           COMMON STOCK       45769N105        35      2550   SHARES                         X
INNOVEX INC COM                              COMMON STOCK       457647105        38      5550   SHARES                         X
INPUT/OUTPUT INC                             COMMON STOCK       457652105        89     11427   SHARES                         X
INSIGHT ENTERPRISES INC COM                  COMMON STOCK       45765U103       122      6330   SHARES                         X
Insight Enterprises, Inc.                    COMMON STOCK       45765U103        62      3200   SHARES                 X
INTEGRA LIFESCIENCES HOLDING                 COMMON STOCK       457985208        38      1250   SHARES                 X
INTEGRA LIFESCIENCES HOLDING                 COMMON STOCK       457985208       143      4700   SHARES                         X
INTEGRATED CIRCUIT SYS INC                   COMMON STOCK       45811K208        60      2400   SHARES                         X
Integrated Circuit System, Inc.              COMMON STOCK       45811K208       130      5200   SHARES                 X
Integrated Electrical Services               COMMON STOCK       45811E103       877     78000   SHARES                 X
INTEL CORP COM                               COMMON STOCK       458140100      9695    356395   SHARES                 X
INTEL CORP COM                               COMMON STOCK       458140100     25424    934723   SHARES                 X
INTEL CORP COM                               COMMON STOCK       458140100     14802    544174   SHARES                         X
INTEL CORPORATION                            COMMON STOCK       458140100      2661     97843   SHARES           X
INTELIDATA TECHNOLOGIES CORP                 COMMON STOCK       45814T107         0        85   SHARES                         X
INTERACTIVE DATA CORP COM                    COMMON STOCK       45840J107       134      7530   SHARES                         X
INTERACTIVECORP                              COMMON STOCK       45840Q101       316      9976   SHARES                 X
INTERACTIVECORP                              COMMON STOCK       45840Q101       497     15700   SHARES                         X
InterActiveCorp                              COMMON STOCK       45840Q101      2274     72000   SHARES                 X
INTERCHANGE FINL SVCS COM                    COMMON STOCK       458447109         9       375   SHARES                         X
INTERDIGITAL COMM CORP                       COMMON STOCK       45866A105        23      1300   SHARES                         X
INTERGRAPH CORP                              COMMON STOCK       458683109       196      8060   SHARES                         X
INTERGRATED ALARM SERVICES GRP               COMMON STOCK       45890M109       152     15900   SHARES                         X
INTERGRATED DEVICE TECH INC                  COMMON STOCK       458118106         8       500   SHARES                 X
INTERGRATED DEVICE TECH INC                  COMMON STOCK       458118106        52      3450   SHARES                         X
INTERMAGNETICS GENERAL CORP                  COMMON STOCK       458771102       140      5300   SHARES                         X
INTERNATIONAL BUSINESS MACHINE               COMMON STOCK       459200101     11298    123011   SHARES                 X
INTERNATIONAL BUSINESS MACHINES CORP         COMMON STOCK       459200101      4799     52252   SHARES           X
INTERNATIONAL BUSINESS MACHINES CORP         COMMON STOCK       459200101     42008    457409   SHARES                 X
INTERNATIONAL BUSINESS MACHINES CORP         COMMON STOCK       459200101     21169    230504   SHARES                         X
INTERNATIONAL GAME TECH COM                  COMMON STOCK       459902102       166      3700   SHARES                 X
INTERNATIONAL GAME TECH COM                  COMMON STOCK       459902102       416      9250   SHARES                         X
International Game Technology                COMMON STOCK       459902102       436      9700   SHARES                 X
INTERNATIONAL PAPER CO COM                   COMMON STOCK       460146103      1672     39569   SHARES                 X
INTERNATIONAL PAPER CO COM                   COMMON STOCK       460146103      1834     43395   SHARES                         X
INTERNATIONAL RECTIFIER CORP                 COMMON STOCK       460254105      7526    163668   SHARES                 X
INTERNATIONAL RECTIFIER CORP                 COMMON STOCK       460254105      6511    141571   SHARES                 X
INTERNATIONAL RECTIFIER CORP                 COMMON STOCK       460254105       787     17120   SHARES                         X


Ikon Office Solutions, Inc.                     3        63400      0        0
ILEX ONCOLOGY INC                               1            0      0      900
ILLINOIS TOOL WKS INC COM                       1        26473      0      800
ILLINOIS TOOL WKS INC COM                       1         7590      0    18327
IMAGISTICS INTL INC                             1          260      0        0
IMAGISTICS INTL INC                             1            0      0      832
IMATION CORPORATION COM                         1           81      0        0
IMATION CORPORATION COM                         1            5      0     5410
IMC GLOBAL INC                                  1            0      0     1100
IMCLONE SYS INC COM                             1          150      0     4000
Immersion Corp.                                 3       128600      0        0
IMPAC MORTGAGE HOLDINGS INC(REIT)               1         1200      0        0
IMPCO TECHNOLOGIES INCORPORATED                 1            0      0     4300
IMS HEALTH INC COM                              1        19060      0     1000
IMS HEALTH INC COM                              1         7153      0    21900
Independence Community Bank                     3        25400      0        0
INDEPENDENCE COMMUNITY BK CORP COM              1            0      0     1729
Independent Bank Corp.- Michigan                3        27979      0        0
INDYMAC BANCORP INC COM                         1            0      0    18200
IndyMac Bancorp, Inc.                           3        31400      0        0
INERGY LP                                       1         1000      0        0
INFINITY PPTY & CAS CORP                        1            0      0     8700
INFORMATICA CORP COM                            1         2000      0        0
INFORMATION HOLDINGS INC COM                    1            0      0     3400
INFOSPACE INC                                   1           10      0        0
INGRAM MICRO INC CL A                           1          200      0    11100
INNOVATIVE SOLUTIONS & SUPPORT INC              1            0      0     2550
INNOVEX INC COM                                 1            0      0     5550
INPUT/OUTPUT INC                                1            0      0    11427
INSIGHT ENTERPRISES INC COM                     1            0      0     6330
Insight Enterprises, Inc.                       3         3200      0        0
INTEGRA LIFESCIENCES HOLDING                    1         1250      0        0
INTEGRA LIFESCIENCES HOLDING                    1            0      0     4700
INTEGRATED CIRCUIT SYS INC                      1            0      0     2400
Integrated Circuit System, Inc.                 3         5200      0        0
Integrated Electrical Services                  3        78000      0        0
INTEL CORP COM                                  3       356395      0        0
INTEL CORP COM                                  1       923440      0    11283
INTEL CORP COM                                  1       314044      0   230130
INTEL CORPORATION                               2        97843      0        0
INTELIDATA TECHNOLOGIES CORP                    1           85      0        0
INTERACTIVE DATA CORP COM                       1            0      0     7530
INTERACTIVECORP                                 1         9976      0        0
INTERACTIVECORP                                 1         7200      0     8500
InterActiveCorp                                 3        72000      0        0
INTERCHANGE FINL SVCS COM                       1            0      0      375
INTERDIGITAL COMM CORP                          1            0      0     1300
INTERGRAPH CORP                                 1            0      0     8060
INTERGRATED ALARM SERVICES GRP                  1            0      0    15900
INTERGRATED DEVICE TECH INC                     1          500      0        0
INTERGRATED DEVICE TECH INC                     1            0      0     3450
INTERMAGNETICS GENERAL CORP                     1            0      0     5300
INTERNATIONAL BUSINESS MACHINE                  3       123011      0        0
INTERNATIONAL BUSINESS MACHINES CORP            2        52252      0        0
INTERNATIONAL BUSINESS MACHINES CORP            1       451961      0     5448
INTERNATIONAL BUSINESS MACHINES CORP            1       171464      0    59040
INTERNATIONAL GAME TECH COM                     1         1700      0     2000
INTERNATIONAL GAME TECH COM                     1          400      0     8850
International Game Technology                   3         9700      0        0
INTERNATIONAL PAPER CO COM                      1        38969      0      600
INTERNATIONAL PAPER CO COM                      1        16042      0    27353
INTERNATIONAL RECTIFIER CORP                    3       163668      0        0
INTERNATIONAL RECTIFIER CORP                    1       140313      0     1258
INTERNATIONAL RECTIFIER CORP                    1         9065      0     8055

                                    25 OF 64                           5/14/2004




                                                                                                 
INTERNATIONAL SPEEDWAY CORP CL A             COMMON STOCK       460335201       174      3700   SHARES                 X
INTERNATIONAL SPEEDWAY CORP CL A             COMMON STOCK       460335201         6       120   SHARES                         X
International Speedway Corp., Class A        COMMON STOCK       460335201      1128     24000   SHARES                 X
INTERNET CAP GROUP INC                       COMMON STOCK       46059C106         0        50   SHARES                 X
INTERPHARM HOLDINGS INC                      COMMON STOCK       460588106         5      1000   SHARES                         X
INTERPORE INTERNATIONAL COM                  COMMON STOCK       46062W107        14      1000   SHARES                         X
INTERPUBLIC GROUP COS INC COM                COMMON STOCK       460690100         3       174   SHARES                 X
INTERPUBLIC GROUP COS INC COM                COMMON STOCK       460690100       103      6700   SHARES                         X
INTERSIL CORP CL A                           COMMON STOCK       46069S109       102      4567   SHARES                 X
INTERSIL CORP CL A                           COMMON STOCK       46069S109         9       400   SHARES                         X
Interstate Bakeries Corp.                    COMMON STOCK       46072H108       363     31900   SHARES                 X
INTERSTATE BAKERIES CORPORATION              COMMON STOCK       46072H108        19      1690   SHARES                         X
INTERTEL INCORPORATED                        COMMON STOCK       458372109       128      4235   SHARES                         X
INTL FLAVORS & FRAGRANCES INC COM            COMMON STOCK       459506101        75      2100   SHARES                 X
INTRAWARE INC COM                            COMMON STOCK       46118M103         1       900   SHARES                         X
INTUIT INC COM                               COMMON STOCK       461202103        54      1200   SHARES                 X
INTUIT INC COM                               COMMON STOCK       461202103       413      9255   SHARES                         X
INVACARE CORP COM                            COMMON STOCK       461203101        18       400   SHARES                         X
INVESTORS FINANCIAL SERVICES CORP            COMMON STOCK       461915100        21       498   SHARES                 X
INVESTORS FINANCIAL SERVICES CORP            COMMON STOCK       461915100       221      5350   SHARES                         X
INVESTORS REAL ESTATE TRUST                  COMMON STOCK       461730103        18      1870   SHARES                 X
INVITROGEN CORP COM                          COMMON STOCK       46185R100        44       620   SHARES                 X
INVITROGEN CORP COM                          COMMON STOCK       46185R100       246      3430   SHARES                         X
IONICS COM                                   COMMON STOCK       462218108        77      2695   SHARES                         X
IRIS INTERNATIONAL INC                       COMMON STOCK       46270W105         3       450   SHARES                 X
IRON MTN INC PA COM                          COMMON STOCK       462846106       339      7600   SHARES                         X
IRWIN FINANCIAL CORPORATION                  COMMON STOCK       464119106         5       200   SHARES                         X
ISHARES LEHMAN 710 YRS TREAS                 COMMON STOCK       464287440        13       150   SHARES                         X
ISHARES MSCI JAPAN INDEX FD                  COMMON STOCK       464286848        27      2500   SHARES                 X
ISHARES RUSSELL 2000 VALUE                   COMMON STOCK       464287630        17       100   SHARES                 X
ISHARES TRUST DOW JONES                      COMMON STOCK       464287721       961     20247   SHARES           X
ISIS PHARMACEUTICALS COM                     COMMON STOCK       464330109         3       350   SHARES                 X
Isis Pharmaceuticals, Inc.                   COMMON STOCK       464330109       767     98800   SHARES                 X
ISLE OF CAPRI CASINOS INC                    COMMON STOCK       464592104        45      1800   SHARES                         X
ISTAR                                        COMMON STOCK       45031U101      1603     37895   SHARES           X
ITLA Capital Corp.                           COMMON STOCK       450565106       361      7300   SHARES                 X
ITRON INC COM                                COMMON STOCK       465741106       109      5865   SHARES                         X
ITT EDUCATIONAL SERVICES INC COM             COMMON STOCK       45068B109        53      1700   SHARES                         X
ITT INDUSTRIES INC                           COMMON STOCK       450911102       160      2096   SHARES                 X
ITT INDUSTRIES INC                           COMMON STOCK       450911102       364      4764   SHARES                         X
ITT Industries, Inc.                         COMMON STOCK       450911102       473      6200   SHARES                 X
IVAX CORP                                    COMMON STOCK       465823102         9       375   SHARES                 X
IVAX CORP                                    COMMON STOCK       465823102       701     30800   SHARES                         X
J B HUNT TRANSPORT SERVICES INC              COMMON STOCK       445658107       507     18000   SHARES                         X
J P MORGAN CHASE & CO                        COMMON STOCK       46625H100     10934    260641   SHARES                 X
J P MORGAN CHASE & CO                        COMMON STOCK       46625H100     11303    269440   SHARES                         X
JABIL CIRCUIT INC                            COMMON STOCK       466313103      2154     73203   SHARES                 X
JABIL CIRCUIT INC                            COMMON STOCK       466313103      1176     39960   SHARES                         X
JACOBS ENGINEERING GROUP INC COM             COMMON STOCK       469814107        90      2023   SHARES                 X
JACOBS ENGINEERING GROUP INC COM             COMMON STOCK       469814107       185      4150   SHARES                         X
Jacobs Engineering Group, Inc.               COMMON STOCK       469814107       570     12771   SHARES                 X
JANUS CAPITAL GROUP INC                      COMMON STOCK       47102X105       701     42800   SHARES                         X
JARDEN CORPORATION                           COMMON STOCK       471109108        97      2725   SHARES                         X
JDA SOFTWARE GROUP INC                       COMMON STOCK       46612K108        74      5100   SHARES                         X
JDS UNIPHASE CORP COM                        COMMON STOCK       46612J101        15      3686   SHARES                 X
JDS UNIPHASE CORP COM                        COMMON STOCK       46612J101         1       300   SHARES                         X
JDS UNIPHASE CORPORATION                     COMMON STOCK       46612J101        41     10150   SHARES           X
JEFFERIES GROUP INC                          COMMON STOCK       472319102        65      1830   SHARES                         X
JEFFERSON PILOT CORP COM                     COMMON STOCK       475070108         6       100   SHARES                 X
JEFFERSON PILOT CORP COM                     COMMON STOCK       475070108      1448     26329   SHARES                 X
JEFFERSON PILOT CORP COM                     COMMON STOCK       475070108      1303     23689   SHARES                         X
JEFFERSONVILLE BANCORP COM                   COMMON STOCK       47559A103        10       600   SHARES                         X
JETBLUE AIRWAYS CORPORATION                  COMMON STOCK       477143101        25      1000   SHARES                         X
JLG INDUSTRIES INC                           COMMON STOCK       466210101        13       900   SHARES                 X


INTERNATIONAL SPEEDWAY CORP CL A                1         3700      0        0
INTERNATIONAL SPEEDWAY CORP CL A                1          120      0        0
International Speedway Corp., Class A           3        24000      0        0
INTERNET CAP GROUP INC                          1           50      0        0
INTERPHARM HOLDINGS INC                         1         1000      0        0
INTERPORE INTERNATIONAL COM                     1            0      0     1000
INTERPUBLIC GROUP COS INC COM                   1          174      0        0
INTERPUBLIC GROUP COS INC COM                   1          200      0     6500
INTERSIL CORP CL A                              1         4567      0        0
INTERSIL CORP CL A                              1          400      0        0
Interstate Bakeries Corp.                       3        31900      0        0
INTERSTATE BAKERIES CORPORATION                 1            0      0     1690
INTERTEL INCORPORATED                           1            0      0     4235
INTL FLAVORS & FRAGRANCES INC COM               1         2100      0        0
INTRAWARE INC COM                               1          900      0        0
INTUIT INC COM                                  1         1200      0        0
INTUIT INC COM                                  1            0      0     9255
INVACARE CORP COM                               1          400      0        0
INVESTORS FINANCIAL SERVICES CORP               1          498      0        0
INVESTORS FINANCIAL SERVICES CORP               1            0      0     5350
INVESTORS REAL ESTATE TRUST                     1         1870      0        0
INVITROGEN CORP COM                             1          620      0        0
INVITROGEN CORP COM                             1         1200      0     2230
IONICS COM                                      1            0      0     2695
IRIS INTERNATIONAL INC                          1          450      0        0
IRON MTN INC PA COM                             1            0      0     7600
IRWIN FINANCIAL CORPORATION                     1            0      0      200
ISHARES LEHMAN 710 YRS TREAS                    1            0      0      150
ISHARES MSCI JAPAN INDEX FD                     1         2500      0        0
ISHARES RUSSELL 2000 VALUE                      1          100      0        0
ISHARES TRUST DOW JONES                         2        20247      0        0
ISIS PHARMACEUTICALS COM                        1          350      0        0
Isis Pharmaceuticals, Inc.                      3        98800      0        0
ISLE OF CAPRI CASINOS INC                       1            0      0     1800
ISTAR                                           2        37895      0        0
ITLA Capital Corp.                              3         7300      0        0
ITRON INC COM                                   1            0      0     5865
ITT EDUCATIONAL SERVICES INC COM                1         1700      0        0
ITT INDUSTRIES INC                              1         2016      0       80
ITT INDUSTRIES INC                              1         1864      0     2900
ITT Industries, Inc.                            3         6200      0        0
IVAX CORP                                       1          375      0        0
IVAX CORP                                       1            0      0    30800
J B HUNT TRANSPORT SERVICES INC                 1            0      0    18000
J P MORGAN CHASE & CO                           1       260141      0      500
J P MORGAN CHASE & CO                           1       139421      0   130019
JABIL CIRCUIT INC                               1        72328      0      875
JABIL CIRCUIT INC                               1        17080      0    22880
JACOBS ENGINEERING GROUP INC COM                1         2023      0        0
JACOBS ENGINEERING GROUP INC COM                1          350      0     3800
Jacobs Engineering Group, Inc.                  3        12771      0        0
JANUS CAPITAL GROUP INC                         1        42800      0        0
JARDEN CORPORATION                              1            0      0     2725
JDA SOFTWARE GROUP INC                          1            0      0     5100
JDS UNIPHASE CORP COM                           1         3686      0        0
JDS UNIPHASE CORP COM                           1          300      0        0
JDS UNIPHASE CORPORATION                        2        10150      0        0
JEFFERIES GROUP INC                             1            0      0     1830
JEFFERSON PILOT CORP COM                        3          100      0        0
JEFFERSON PILOT CORP COM                        1        23481      0     2848
JEFFERSON PILOT CORP COM                        1        17089      0     6600
JEFFERSONVILLE BANCORP COM                      1            0      0      600
JETBLUE AIRWAYS CORPORATION                     1            0      0     1000
JLG INDUSTRIES INC                              1          900      0        0

                                    26 OF 64                           5/14/2004




                                                                                                 
JLG INDUSTRIES INC                           COMMON STOCK       466210101        70      4900   SHARES                         X
JM SMUCKER CO                                COMMON STOCK       832696405      1060     20091   SHARES                 X
JM SMUCKER CO                                COMMON STOCK       832696405       971     18397   SHARES                         X
JMAR TECHNOLOGIES INC                        COMMON STOCK       466212107         2      1000   SHARES                 X
JOHN HANCOCK FINL SVCS INC COM               COMMON STOCK       41014S106        46      1062   SHARES                 X
JOHN HANCOCK FINL SVCS INC COM               COMMON STOCK       41014S106        46      1045   SHARES                         X
JOHN WILEY & SONSINC                         COMMON STOCK       968223206        51      1700   SHARES                         X
Johnson & Johnson                            COMMON STOCK       478160104      9570    188675   SHARES                 X
JOHNSON & JOHNSON                            COMMON STOCK       478160104      1138     22441   SHARES           X
JOHNSON & JOHNSON COM                        COMMON STOCK       478160104     26560    523660   SHARES                 X
JOHNSON & JOHNSON COM                        COMMON STOCK       478160104     33304    656617   SHARES                         X
JOHNSON CONTROLS INC COM                     COMMON STOCK       478366107       819     13840   SHARES                 X
JOHNSON CONTROLS INC COM                     COMMON STOCK       478366107       706     11930   SHARES                         X
JONES APPAREL GROUP INC COM                  COMMON STOCK       480074103        11       300   SHARES                 X
JONES APPAREL GROUP INC COM                  COMMON STOCK       480074103      1286     35575   SHARES                         X
JOS A BANK CLOTHIERS INC                     COMMON STOCK       480838101        73      2020   SHARES                 X
JOURNAL COMMUNICATIONS INC                   COMMON STOCK       481130102        86      4300   SHARES                         X
Journal Communications, Inc., Class A        COMMON STOCK       481130102       338     16900   SHARES                 X
JOURNAL REGISTER CO                          COMMON STOCK       481138105       136      6500   SHARES                         X
JOY GLOBAL INCORPORATED                      COMMON STOCK       481165108       123      4400   SHARES                         X
JP MORGAN CHASE & COMPANY                    COMMON STOCK       46625H100      3150     75082   SHARES           X
JUNIPER NETWORKS INC COM                     COMMON STOCK       48203R104       123      4715   SHARES                 X
JUNIPER NETWORKS INC COM                     COMMON STOCK       48203R104       532     20430   SHARES                         X
Juniper Networks, Inc.                       COMMON STOCK       48203R104       765     29400   SHARES                 X
K C S ENERGY INC COM                         COMMON STOCK       482434206        27      2500   SHARES                 X
K C S ENERGY INC COM                         COMMON STOCK       482434206        40      3760   SHARES                         X
K V PHARMACEUTICAL CO CL A                   COMMON STOCK       482740206        48      1950   SHARES                         X
KANA SOFTWARE INC                            COMMON STOCK       483600300        17      3761   SHARES                         X
KANSAS CITY SOUTHERN                         COMMON STOCK       485170302        94      6750   SHARES                         X
KANSAS LIFE INS CO COM                       COMMON STOCK       484836101       171      4000   SHARES                         X
KAYDON CORP                                  COMMON STOCK       486587108        17       600   SHARES                 X
KB HOME COM                                  COMMON STOCK       48666K109        63       781   SHARES                 X
KB HOME COM                                  COMMON STOCK       48666K109       194      2400   SHARES                         X
KEANE, INC.                                  COMMON STOCK       486665102       387     24600   SHARES                         X
KELLOGG CO COM                               COMMON STOCK       487836108      1424     36291   SHARES                 X
KELLOGG CO COM                               COMMON STOCK       487836108       849     21647   SHARES                         X
KENDLE INTERNATIONAL INCORPORATED            COMMON STOCK       48880L107        65      7250   SHARES                         X
Kenneth Cole Productions, Inc., Class A      COMMON STOCK       193294105       941     27600   SHARES                 X
KENSEY NASH CORP COM                         COMMON STOCK       490057106        66      2700   SHARES                         X
KERR MCGEE CORP                              COMMON STOCK       492386107        66      1283   SHARES                 X
KERR MCGEE CORP                              COMMON STOCK       492386107       175      3400   SHARES                         X
Key Energy Group, Inc.                       COMMON STOCK       492914106       136     12400   SHARES                 X
KEY ENERGY SVCS INC COM                      COMMON STOCK       492914106        57      5140   SHARES                 X
KEY ENERGY SVCS INC COM                      COMMON STOCK       492914106       238     21600   SHARES                         X
KeyCorp                                      COMMON STOCK       493267108       960     31700   SHARES                 X
KEYCORP NEW COM                              COMMON STOCK       493267108      1128     37225   SHARES                 X
KEYCORP NEW COM                              COMMON STOCK       493267108       770     25417   SHARES                         X
KEYCORP-NEW                                  COMMON STOCK       493267108       415     13700   SHARES           X
KEYNOTE SYS INC COM                          COMMON STOCK       493308100        26      2000   SHARES                         X
KEYSPAN CORP COM                             COMMON STOCK       49337W100       135      3524   SHARES                 X
KEYSPAN CORP COM                             COMMON STOCK       49337W100       765     20027   SHARES                         X
KEYSTONE AUTOMOTIVE INDUSTRIES, INC.         COMMON STOCK       49338N109       178      6500   SHARES                 X
KILROY REALTY CORP (REIT)                    COMMON STOCK       49427F108        90      2528   SHARES                         X
KIMBERLY CLARK CORP                          COMMON STOCK       494368103       863     13675   SHARES                 X
KIMBERLY CLARK CORP                          COMMON STOCK       494368103      8490    134555   SHARES                 X
KIMBERLY CLARK CORP                          COMMON STOCK       494368103      5979     94750   SHARES                         X
KIMBERLY CLARK CORPORATION                   COMMON STOCK       494368103       442      7000   SHARES           X
KIMCO REALTY CORP (REIT)                     COMMON STOCK       49446R109       222      4356   SHARES                         X
KINDER MORGAN ENERGY PARTNERS LP             COMMON STOCK       494550106       193      4280   SHARES                 X
KINDER MORGAN ENERGY PARTNERS LP             COMMON STOCK       494550106       356      7900   SHARES                         X
KINDER MORGAN INC COM                        COMMON STOCK       49455P101        95      1500   SHARES                 X
KINDER MORGAN INC COM                        COMMON STOCK       49455P101        88      1400   SHARES                         X
KINDER MORGAN MANAGEMENT LLC                 COMMON STOCK       49455U100        72      1702   SHARES                 X
KINDRED HEALTHCARE INC                       COMMON STOCK       494580103       309      6150   SHARES                         X


JLG INDUSTRIES INC                              1            0      0     4900
JM SMUCKER CO                                   1        20091      0        0
JM SMUCKER CO                                   1        10959      0     7438
JMAR TECHNOLOGIES INC                           1         1000      0        0
JOHN HANCOCK FINL SVCS INC COM                  1         1062      0        0
JOHN HANCOCK FINL SVCS INC COM                  1         1045      0        0
JOHN WILEY & SONSINC                            1            0      0     1700
Johnson & Johnson                               3       188675      0        0
JOHNSON & JOHNSON                               2        22441      0        0
JOHNSON & JOHNSON COM                           1       520355      0     3305
JOHNSON & JOHNSON COM                           1       524732      0   131885
JOHNSON CONTROLS INC COM                        1        13840      0        0
JOHNSON CONTROLS INC COM                        1         3510      0     8420
JONES APPAREL GROUP INC COM                     1          300      0        0
JONES APPAREL GROUP INC COM                     1        12775      0    22800
JOS A BANK CLOTHIERS INC                        1          360      0     1660
JOURNAL COMMUNICATIONS INC                      1            0      0     4300
Journal Communications, Inc., Class A           3        16900      0        0
JOURNAL REGISTER CO                             1            0      0     6500
JOY GLOBAL INCORPORATED                         1            0      0     4400
JP MORGAN CHASE & COMPANY                       2        75082      0        0
JUNIPER NETWORKS INC COM                        1         4215      0      500
JUNIPER NETWORKS INC COM                        1            0      0    20430
Juniper Networks, Inc.                          3        29400      0        0
K C S ENERGY INC COM                            1            0      0     2500
K C S ENERGY INC COM                            1            0      0     3760
K V PHARMACEUTICAL CO CL A                      1            0      0     1950
KANA SOFTWARE INC                               1            0      0     3761
KANSAS CITY SOUTHERN                            1            0      0     6750
KANSAS LIFE INS CO COM                          1         4000      0        0
KAYDON CORP                                     1          600      0        0
KB HOME COM                                     1          781      0        0
KB HOME COM                                     1            0      0     2400
KEANE, INC.                                     1            0      0    24600
KELLOGG CO COM                                  1        36291      0        0
KELLOGG CO COM                                  1        19250      0     2397
KENDLE INTERNATIONAL INCORPORATED               1            0      0     7250
Kenneth Cole Productions, Inc., Class A         3        27600      0        0
KENSEY NASH CORP COM                            1            0      0     2700
KERR MCGEE CORP                                 1          483      0      800
KERR MCGEE CORP                                 1          500      0     2900
Key Energy Group, Inc.                          3        12400      0        0
KEY ENERGY SVCS INC COM                         1            0      0     5140
KEY ENERGY SVCS INC COM                         1            0      0    21600
KeyCorp                                         3        31700      0        0
KEYCORP NEW COM                                 1        37225      0        0
KEYCORP NEW COM                                 1        11367      0    14050
KEYCORP-NEW                                     2        13700      0        0
KEYNOTE SYS INC COM                             1            0      0     2000
KEYSPAN CORP COM                                1         2224      0     1300
KEYSPAN CORP COM                                1         4027      0    16000
KEYSTONE AUTOMOTIVE INDUSTRIES, INC.            1            0      0     6500
KILROY REALTY CORP (REIT)                       1            0      0     2528
KIMBERLY CLARK CORP                             3        13675      0        0
KIMBERLY CLARK CORP                             1       134415      0      140
KIMBERLY CLARK CORP                             1        55145      0    39605
KIMBERLY CLARK CORPORATION                      2         7000      0        0
KIMCO REALTY CORP (REIT)                        1          450      0     3906
KINDER MORGAN ENERGY PARTNERS LP                1         4280      0        0
KINDER MORGAN ENERGY PARTNERS LP                1         3800      0     4100
KINDER MORGAN INC COM                           1          500      0     1000
KINDER MORGAN INC COM                           1         1400      0        0
KINDER MORGAN MANAGEMENT LLC                    1            0      0     1702
KINDRED HEALTHCARE INC                          1            0      0     6150

                                    27 OF 64                           5/14/2004




                                                                                                 
KING PHARMACEUTICALS INC COM                 COMMON STOCK       495582108        22      1300   SHARES                 X
KLA TENCOR CORP COM                          COMMON STOCK       482480100        10       200   SHARES                 X
KLA TENCOR CORP COM                          COMMON STOCK       482480100       154      3060   SHARES                         X
KNBT BANCORP INC                             COMMON STOCK       482921103       120      6800   SHARES                         X
KNIGHT RIDDER INC                            COMMON STOCK       499040103        29       400   SHARES                 X
KNIGHT RIDDER INC                            COMMON STOCK       499040103       147      2000   SHARES                         X
KNIGHT TRADING GROUP INC COM                 COMMON STOCK       499063105        92      7300   SHARES                         X
Knight Trading Group, Inc.                   COMMON STOCK       499063105       471     37200   SHARES                 X
KNIGHT TRANSPORTATION INC                    COMMON STOCK       499064103        57      2400   SHARES                         X
KOHLS CORP COM                               COMMON STOCK       500255104       938     19413   SHARES                 X
KOHLS CORP COM                               COMMON STOCK       500255104      1077     22280   SHARES                         X
Kohl's Corp.                                 COMMON STOCK       500255104      1783     36900   SHARES                 X
Komag, Inc.                                  COMMON STOCK       500453204       489     26600   SHARES                 X
KORN/FERRY INTL                              COMMON STOCK       500643200       576     36000   SHARES                         X
Kosan Biosciences, Inc.                      COMMON STOCK       50064W107       145     13700   SHARES                 X
KRAFT FOODS INC CL A                         COMMON STOCK       50075N104      3076     96085   SHARES                 X
KRAFT FOODS INC CL A                         COMMON STOCK       50075N104      1096     34245   SHARES                         X
KRAMONT REALTY TRUST (REIT)                  COMMON STOCK       50075Q107       170      9000   SHARES                         X
KRISPY KREME DOUGHNUTS INC COM               COMMON STOCK       501014104         3       100   SHARES                 X
KRISPY KREME DOUGHNUTS INC COM               COMMON STOCK       501014104       155      4500   SHARES                         X
KROGER CO                                    COMMON STOCK       501044101         5       325   SHARES                 X
KROGER CO                                    COMMON STOCK       501044101       821     49367   SHARES                 X
KROGER CO                                    COMMON STOCK       501044101      1194     71725   SHARES                         X
KROLL INC                                    COMMON STOCK       501049100       145      5400   SHARES                 X
KROLL INC                                    COMMON STOCK       501049100       121      4500   SHARES                         X
Kroll, Inc.                                  COMMON STOCK       501049100       781     29100   SHARES                 X
KRONOS INCORPORATED                          COMMON STOCK       501052104        10       300   SHARES                 X
KRONOS INCORPORATED                          COMMON STOCK       501052104        41      1250   SHARES                         X
KSWISS INC CL A                              COMMON STOCK       482686102        58      2370   SHARES                         X
KULICKE & SOFFA INDUSTRIES INC               COMMON STOCK       501242101        26      2250   SHARES                         X
KVH INDUSTRIES INCORPORATED                  COMMON STOCK       482738101        17      1175   SHARES                         X
L 3 COMMUNICATIONS CORP COM                  COMMON STOCK       502424104       158      2660   SHARES                 X
L 3 COMMUNICATIONS CORP COM                  COMMON STOCK       502424104       511      8595   SHARES                         X
La Jolla Pharmaceutical Co.                  COMMON STOCK       503459109       302    109600   SHARES                 X
LA QUINTA CORPPAIRED (REIT)                  COMMON STOCK       50419U202       145     19200   SHARES                         X
LABARGE INC                                  COMMON STOCK       502470107        23      3000   SHARES                         X
LABONE INC                                   COMMON STOCK       50540L105        89      2910   SHARES                         X
LABOR READY INC                              COMMON STOCK       505401208        22      1650   SHARES                         X
Labor Ready, Inc.                            COMMON STOCK       505401208       277     20500   SHARES                 X
LABORATORY CORPORATION OF AMER HLDGS         COMMON STOCK       50540R409      2015     51340   SHARES           X
LABORATORY CRP OF AMER HLDGS COM NEW         COMMON STOCK       50540R409       186      4750   SHARES                 X
LABORATORY CRP OF AMER HLDGS COM NEW         COMMON STOCK       50540R409      1401     35700   SHARES                         X
LABRANCHE & CO INC                           COMMON STOCK       505447102        39      3450   SHARES                         X
LAFARGE NORTH AMER INC                       COMMON STOCK       505862102        61      1500   SHARES                         X
LAIDLAW INTERNATIONAL INC                    COMMON STOCK       50730R102       217     14910   SHARES                         X
LAKELAND INDUSTRIES INC                      COMMON STOCK       511795106         3       200   SHARES                         X
LAM RESH CORP                                COMMON STOCK       512807108       126      5000   SHARES                         X
LAMAR ADVERTISING CO COM                     COMMON STOCK       512815101         8       200   SHARES                         X
LANCASTER COLONY CORP                        COMMON STOCK       513847103       343      8500   SHARES                         X
LANCE INC                                    COMMON STOCK       514606102         2       120   SHARES                         X
LandAmerica Financial Group, Inc.            COMMON STOCK       514936103       747     16500   SHARES                 X
LANDAUER INC COM                             COMMON STOCK       51476K103        58      1375   SHARES                         X
LANDRYS RESTAURANTS INC COM                  COMMON STOCK       51508L103        25       850   SHARES                         X
Landrys Seafood Restaurants, Inc.            COMMON STOCK       51508L103       802     26900   SHARES                 X
LANDSTAR SYSTEMS INC                         COMMON STOCK       515098101       410     10000   SHARES                         X
LARGE SCALE BIOLOGY CORP COM                 COMMON STOCK       517053104         3      2000   SHARES                 X
LASALLE HOTEL PROP REIT                      COMMON STOCK       517942108        85      3600   SHARES                         X
LATTICE SEMICONDUCTOR CORP COM               COMMON STOCK       518415104        17      2000   SHARES                         X
Lattice Semiconductor Corp.                  COMMON STOCK       518415104      2798    320500   SHARES                 X
LAUDER ESTEE CO CL A                         COMMON STOCK       518439104      5656    127563   SHARES                 X
LAUDER ESTEE CO CL A                         COMMON STOCK       518439104       546     12315   SHARES                         X
LAUREL CAPITAL GROUP INCORPORATED            COMMON STOCK       518629100       208      8750   SHARES                         X
LEADING BRANDS INC                           COMMON STOCK       52170U108         0       425   SHARES                 X
LEAPFROG ENTERPRISES INC                     COMMON STOCK       52186N106       381     19700   SHARES                         X


KING PHARMACEUTICALS INC COM                    1         1300      0        0
KLA TENCOR CORP COM                             1            0      0      200
KLA TENCOR CORP COM                             1            0      0     3060
KNBT BANCORP INC                                1            0      0     6800
KNIGHT RIDDER INC                               1          400      0        0
KNIGHT RIDDER INC                               1            0      0     2000
KNIGHT TRADING GROUP INC COM                    1            0      0     7300
Knight Trading Group, Inc.                      3        37200      0        0
KNIGHT TRANSPORTATION INC                       1            0      0     2400
KOHLS CORP COM                                  1        19413      0        0
KOHLS CORP COM                                  1         2310      0    19970
Kohl's Corp.                                    3        36900      0        0
Komag, Inc.                                     3        26600      0        0
KORN/FERRY INTL                                 1            0      0    36000
Kosan Biosciences, Inc.                         3        13700      0        0
KRAFT FOODS INC CL A                            1        95825      0      260
KRAFT FOODS INC CL A                            1        18688      0    15557
KRAMONT REALTY TRUST (REIT)                     1         9000      0        0
KRISPY KREME DOUGHNUTS INC COM                  1          100      0        0
KRISPY KREME DOUGHNUTS INC COM                  1            0      0     4500
KROGER CO                                       3          325      0        0
KROGER CO                                       1        49367      0        0
KROGER CO                                       1         6350      0    65375
KROLL INC                                       1         5400      0        0
KROLL INC                                       1            0      0     4500
Kroll, Inc.                                     3        29100      0        0
KRONOS INCORPORATED                             1          300      0        0
KRONOS INCORPORATED                             1            0      0     1250
KSWISS INC CL A                                 1            0      0     2370
KULICKE & SOFFA INDUSTRIES INC                  1            0      0     2250
KVH INDUSTRIES INCORPORATED                     1            0      0     1175
L 3 COMMUNICATIONS CORP COM                     1         2660      0        0
L 3 COMMUNICATIONS CORP COM                     1         1350      0     7245
La Jolla Pharmaceutical Co.                     3       109600      0        0
LA QUINTA CORPPAIRED (REIT)                     1            0      0    19200
LABARGE INC                                     1            0      0     3000
LABONE INC                                      1            0      0     2910
LABOR READY INC                                 1            0      0     1650
Labor Ready, Inc.                               3        20500      0        0
LABORATORY CORPORATION OF AMER HLDGS            2        51340      0        0
LABORATORY CRP OF AMER HLDGS COM NEW            1          850      0     3900
LABORATORY CRP OF AMER HLDGS COM NEW            1         7300      0    28400
LABRANCHE & CO INC                              1            0      0     3450
LAFARGE NORTH AMER INC                          1            0      0     1500
LAIDLAW INTERNATIONAL INC                       1         6300      0     8610
LAKELAND INDUSTRIES INC                         1            0      0      200
LAM RESH CORP                                   1            0      0     5000
LAMAR ADVERTISING CO COM                        1          200      0        0
LANCASTER COLONY CORP                           1            0      0     8500
LANCE INC                                       1          120      0        0
LandAmerica Financial Group, Inc.               3        16500      0        0
LANDAUER INC COM                                1            0      0     1375
LANDRYS RESTAURANTS INC COM                     1            0      0      850
Landrys Seafood Restaurants, Inc.               3        26900      0        0
LANDSTAR SYSTEMS INC                            1            0      0    10000
LARGE SCALE BIOLOGY CORP COM                    1         2000      0        0
LASALLE HOTEL PROP REIT                         1            0      0     3600
LATTICE SEMICONDUCTOR CORP COM                  1            0      0     2000
Lattice Semiconductor Corp.                     3       320500      0        0
LAUDER ESTEE CO CL A                            1       126518      0     1045
LAUDER ESTEE CO CL A                            1         2565      0     9750
LAUREL CAPITAL GROUP INCORPORATED               1          900      0     7850
LEADING BRANDS INC                              1          425      0        0
LEAPFROG ENTERPRISES INC                        1            0      0    19700

                                    28 OF 64                           5/14/2004




                                                                                                 
LEAR CORP                                    COMMON STOCK       521865105      4740     76484   SHARES                 X
LEAR CORP                                    COMMON STOCK       521865105      6901    111382   SHARES                 X
LEAR CORP                                    COMMON STOCK       521865105      1598     25785   SHARES                         X
LEATHER FACTORY INCORPORATED                 COMMON STOCK       522126101         2       385   SHARES                 X
LECG CORPORATION                             COMMON STOCK       523234102       124      6400   SHARES                         X
LEE ENTERPRISES INC                          COMMON STOCK       523768109        18       400   SHARES                         X
LEESPORT FINANCIAL CORP                      COMMON STOCK       524477106        77      2896   SHARES                 X
LEESPORT FINANCIAL CORP                      COMMON STOCK       524477106        68      2560   SHARES                         X
LEGG MASON INC                               COMMON STOCK       524901105       260      2800   SHARES                 X
LEGG MASON INC                               COMMON STOCK       524901105        30       325   SHARES                         X
LEGGETT & PLATT INC                          COMMON STOCK       524660107       678     28600   SHARES                         X
LEHMAN BROTHERS HLDGS INC COM                COMMON STOCK       524908100       720      8694   SHARES                 X
LEHMAN BROTHERS HLDGS INC COM                COMMON STOCK       524908100       610      7360   SHARES                         X
LENNAR CORP CL A                             COMMON STOCK       526057104       200      3710   SHARES                         X
LEUCADIA NATL CORP COM                       COMMON STOCK       527288104       506      9500   SHARES                         X
LEVEL 3 COMMUNICATIONS INC                   COMMON STOCK       52729N100        20      5000   SHARES                 X
Levitt Corp.                                 COMMON STOCK       52742P108       329     13425   SHARES                 X
LEXAR MEDIA INC                              COMMON STOCK       52886P104        96      5775   SHARES                         X
Lexicon Genetics, Inc.                       COMMON STOCK       528872104       198     31600   SHARES                 X
LEXINGTON CORP PROPERTIES TR (REIT)          COMMON STOCK       529043101        15       700   SHARES                 X
LEXINGTON CORP PROPERTIES TR (REIT)          COMMON STOCK       529043101        27      1257   SHARES                         X
LEXMARK INTL INC CL A                        COMMON STOCK       529771107        31       340   SHARES                 X
LEXMARK INTL INC CL A                        COMMON STOCK       529771107       332      3610   SHARES                         X
LIBERTY MEDIA CORP B                         COMMON STOCK       530718204       306     26000   SHARES                         X
LIBERTY MEDIA CORP CL A                      COMMON STOCK       530718105      8716    795924   SHARES                 X
LIBERTY MEDIA CORP CL A                      COMMON STOCK       530718105      5791    528827   SHARES                 X
LIBERTY MEDIA CORP CL A                      COMMON STOCK       530718105      1958    178780   SHARES                         X
LIBERTY PROPERTY TRUST (REIT)                COMMON STOCK       531172104        36       800   SHARES                         X
LifePoint Hospitals, Inc.                    COMMON STOCK       53219L109       110      3400   SHARES                 X
LIFEPOINT HOSPS INC COM                      COMMON STOCK       53219L109       327     10100   SHARES                         X
LIGAND PHARMACEUTICALS INC CL B              COMMON STOCK       53220K207        59      2940   SHARES                         X
Lilly (Eli) & Co.                            COMMON STOCK       532457108      1358     20300   SHARES                 X
LILLY ELI & CO                               COMMON STOCK       532457108      8502    127078   SHARES                 X
LILLY ELI & CO                               COMMON STOCK       532457108     10181    152181   SHARES                         X
LIMITED BRANDS, INC COM                      COMMON STOCK       532716107        10       500   SHARES                 X
LIMITED BRANDS, INC COM                      COMMON STOCK       532716107       137      6859   SHARES                         X
LINCARE HOLDINGS INC COM                     COMMON STOCK       532791100       173      5510   SHARES                         X
LINCOLN BANCORP COM                          COMMON STOCK       532879103        20      1000   SHARES                         X
LINCOLN ELECTRIC HLDGS COM                   COMMON STOCK       533900106        29      1040   SHARES                         X
Lincoln National Corp.                       COMMON STOCK       534187109      9584    202545   SHARES                 X
LINCOLN NATL CORP IND                        COMMON STOCK       534187109      5128    108372   SHARES                 X
LINCOLN NATL CORP IND                        COMMON STOCK       534187109      1154     24395   SHARES                         X
LINEAR TECHNOLOGY CORP COM                   COMMON STOCK       535678106       337      9093   SHARES                 X
LINEAR TECHNOLOGY CORP COM                   COMMON STOCK       535678106       716     19295   SHARES                         X
LINENS N THINGS INC COM                      COMMON STOCK       535679104        53      1490   SHARES                 X
LINENS N THINGS INC COM                      COMMON STOCK       535679104       245      6925   SHARES                         X
LIONBRIDGE TECHNOLOGIES INC                  COMMON STOCK       536252109       135     13900   SHARES                         X
Lionbridge Technologies, Inc.                COMMON STOCK       536252109       409     42000   SHARES                 X
LivePerson, Inc.                             COMMON STOCK       538146101       223     42100   SHARES                 X
LIZ CLAIBORNE INC                            COMMON STOCK       539320101         4       100   SHARES                 X
LIZ CLAIBORNE INC                            COMMON STOCK       539320101        88      2400   SHARES                         X
LOCAL FINL CORP COM                          COMMON STOCK       539553107         8       350   SHARES                         X
Lockheed Martin Corp.                        COMMON STOCK       539830109      6305    138150   SHARES                 X
LOCKHEED MARTIN CORPORATION COM              COMMON STOCK       539830109      6677    146288   SHARES                 X
LOCKHEED MARTIN CORPORATION COM              COMMON STOCK       539830109       753     16504   SHARES                         X
LODGENET ENTERTAINMENT CORP                  COMMON STOCK       540211109        17       900   SHARES                         X
LOEWS CORP COM                               COMMON STOCK       540424108        41       700   SHARES                         X
LOEWS CORPCAROLINA GROUP                     COMMON STOCK       540424207        82      3000   SHARES                 X
Lone Star Steakhouse & Saloon                COMMON STOCK       542307103      1106     37900   SHARES                 X
LONE STAR STEAKHOUSE & SALOON INC            COMMON STOCK       542307103        74      2520   SHARES                         X
Lone Star Technologies, Inc.                 COMMON STOCK       542312103       108      6100   SHARES                 X
LONG ISLAND FINANCIAL CORP COM               COMMON STOCK       542669106        16       400   SHARES                         X
LOUISIANA PAC CORP                           COMMON STOCK       546347105       328     12704   SHARES                         X
LOWES COS INC COM                            COMMON STOCK       548661107      3274     58336   SHARES                 X


LEAR CORP                                       3        76484      0        0
LEAR CORP                                       1       111167      0      215
LEAR CORP                                       1        19135      0     6650
LEATHER FACTORY INCORPORATED                    1          385      0        0
LECG CORPORATION                                1            0      0     6400
LEE ENTERPRISES INC                             1            0      0      400
LEESPORT FINANCIAL CORP                         1         2896      0        0
LEESPORT FINANCIAL CORP                         1            0      0     2560
LEGG MASON INC                                  1         2800      0        0
LEGG MASON INC                                  1          325      0        0
LEGGETT & PLATT INC                             1            0      0    28600
LEHMAN BROTHERS HLDGS INC COM                   1         8694      0        0
LEHMAN BROTHERS HLDGS INC COM                   1         3160      0     4200
LENNAR CORP CL A                                1            0      0     3710
LEUCADIA NATL CORP COM                          1            0      0     9500
LEVEL 3 COMMUNICATIONS INC                      1         5000      0        0
Levitt Corp.                                    3        13425      0        0
LEXAR MEDIA INC                                 1            0      0     5775
Lexicon Genetics, Inc.                          3        31600      0        0
LEXINGTON CORP PROPERTIES TR (REIT)             1          700      0        0
LEXINGTON CORP PROPERTIES TR (REIT)             1         1257      0        0
LEXMARK INTL INC CL A                           1          340      0        0
LEXMARK INTL INC CL A                           1          100      0     3510
LIBERTY MEDIA CORP B                            1        26000      0        0
LIBERTY MEDIA CORP CL A                         3       795924      0        0
LIBERTY MEDIA CORP CL A                         1       528107      0      720
LIBERTY MEDIA CORP CL A                         1       112710      0    66070
LIBERTY PROPERTY TRUST (REIT)                   1          800      0        0
LifePoint Hospitals, Inc.                       3         3400      0        0
LIFEPOINT HOSPS INC COM                         1            0      0    10100
LIGAND PHARMACEUTICALS INC CL B                 1            0      0     2940
Lilly (Eli) & Co.                               3        20300      0        0
LILLY ELI & CO                                  1       126953      0      125
LILLY ELI & CO                                  1       138081      0    14100
LIMITED BRANDS, INC COM                         1          500      0        0
LIMITED BRANDS, INC COM                         1            0      0     6859
LINCARE HOLDINGS INC COM                        1          100      0     5410
LINCOLN BANCORP COM                             1            0      0     1000
LINCOLN ELECTRIC HLDGS COM                      1            0      0     1040
Lincoln National Corp.                          3       202545      0        0
LINCOLN NATL CORP IND                           1       108217      0      155
LINCOLN NATL CORP IND                           1        17130      0     7265
LINEAR TECHNOLOGY CORP COM                      1         9093      0        0
LINEAR TECHNOLOGY CORP COM                      1            0      0    19295
LINENS N THINGS INC COM                         1            0      0     1490
LINENS N THINGS INC COM                         1            0      0     6925
LIONBRIDGE TECHNOLOGIES INC                     1            0      0    13900
Lionbridge Technologies, Inc.                   3        42000      0        0
LivePerson, Inc.                                3        42100      0        0
LIZ CLAIBORNE INC                               1          100      0        0
LIZ CLAIBORNE INC                               1          200      0     2200
LOCAL FINL CORP COM                             1            0      0      350
Lockheed Martin Corp.                           3       138150      0        0
LOCKHEED MARTIN CORPORATION COM                 1       145613      0      675
LOCKHEED MARTIN CORPORATION COM                 1        11079      0     5425
LODGENET ENTERTAINMENT CORP                     1            0      0      900
LOEWS CORP COM                                  1          400      0      300
LOEWS CORPCAROLINA GROUP                        1         3000      0        0
Lone Star Steakhouse & Saloon                   3        37900      0        0
LONE STAR STEAKHOUSE & SALOON INC               1            0      0     2520
Lone Star Technologies, Inc.                    3         6100      0        0
LONG ISLAND FINANCIAL CORP COM                  1            0      0      400
LOUISIANA PAC CORP                              1            0      0    12704
LOWES COS INC COM                               1        58336      0        0

                                    29 OF 64                           5/14/2004




                                                                                                 
LOWES COS INC COM                            COMMON STOCK       548661107      3902     69515   SHARES                         X
Lowe's Cos., Inc.                            COMMON STOCK       548661107       466      8300   SHARES                 X
LOWRANCE ELECTRONICS INCORPORATED            COMMON STOCK       548900109        46      2100   SHARES                         X
LSI LOGIC CORP COM                           COMMON STOCK       502161102       129     13825   SHARES                         X
LTX CORPORATION                              COMMON STOCK       502392103        51      3400   SHARES                         X
LUBRIZOL CORP                                COMMON STOCK       549271104       104      3300   SHARES                 X
LUBRIZOL CORP                                COMMON STOCK       549271104       723     22965   SHARES                         X
Lubrizol Corp.                               COMMON STOCK       549271104       605     19200   SHARES                 X
LUCENT TECHNOLOGIES INC COM                  COMMON STOCK       549463107       971    236185   SHARES                 X
LUCENT TECHNOLOGIES INC COM                  COMMON STOCK       549463107       551    133951   SHARES                         X
LUCENT TECHNOLOGIES INCORPORATED             COMMON STOCK       549463107       216     52458   SHARES           X
Lucent Technologies, Inc.                    COMMON STOCK       549463107      1518    369580   SHARES                 X
LYNCH CORP COM                               COMMON STOCK       551137102        14       838   SHARES                         X
LYNCH INTERACTIVE CORP COM                   COMMON STOCK       551146103        56      1676   SHARES                         X
LYONDELL CHEMICAL COMPANY COM                COMMON STOCK       552078107         4       250   SHARES                 X
LYONDELL CHEMICAL COMPANY COM                COMMON STOCK       552078107       475     32000   SHARES                         X
M & T BANK CORP COM                          COMMON STOCK       55261F104     59209    658981   SHARES                 X
M & T BANK CORP COM                          COMMON STOCK       55261F104     23751    264338   SHARES                         X
M.D.C. Holdings, Inc.                        COMMON STOCK       552676108      1031     14641   SHARES                 X
M/I Schottenstein Homes, Inc.                COMMON STOCK       55305B101      1106     23400   SHARES                 X
MACROMEDIA INC COM                           COMMON STOCK       556100105         1        45   SHARES                 X
MACROVISION CORP COM                         COMMON STOCK       555904101       242     12800   SHARES                         X
Macrovision Corp.                            COMMON STOCK       555904101       712     38100   SHARES                 X
MAF BANCORP INC COM                          COMMON STOCK       55261R108        79      1821   SHARES                 X
MAGELAN MIDSTREAM PARTNERS LP                COMMON STOCK       559080106       346      6300   SHARES           X
MAGMA DESIGN AUTOMATION INC                  COMMON STOCK       559181102        63      3021   SHARES                         X
Magna International, Inc., Class A           COMMON STOCK       559222401      1806     22800   SHARES                 X
MAGNUM HUNTER RESOURCES INCORPORATED         COMMON STOCK       55972F203        10      1000   SHARES                 X
MAGNUM HUNTER RESOURCES INCORPORATED         COMMON STOCK       55972F203        30      3000   SHARES                         X
MAIN STREET & MAIN INCORPORATED              COMMON STOCK       560345308        42     17300   SHARES                         X
MANATRON INCORPORATED                        COMMON STOCK       562048108         3       400   SHARES                         X
MANITOWOC CO INC COM                         COMMON STOCK       563571108       248      8400   SHARES                         X
MANOR CARE INC COM                           COMMON STOCK       564055101       743     21060   SHARES                         X
MANPOWER INC WIS                             COMMON STOCK       56418H100       339      7300   SHARES                         X
MAPICS INCORPORATED                          COMMON STOCK       564910107         7       850   SHARES                         X
MARATHON OIL CORP                            COMMON STOCK       565849106        10       310   SHARES                 X
MARATHON OIL CORP                            COMMON STOCK       565849106      1444     42885   SHARES                 X
MARATHON OIL CORP                            COMMON STOCK       565849106      2897     86030   SHARES                         X
MARKEL CORP COM                              COMMON STOCK       570535104        29       100   SHARES                 X
Marriott International, Inc., Class A        COMMON STOCK       571903202       987     23200   SHARES                 X
MARRIOTT INTL INC CL A                       COMMON STOCK       571903202        55      1295   SHARES                 X
MARRIOTT INTL INC CL A                       COMMON STOCK       571903202       502     11800   SHARES                         X
MARSH & MCLENNAN COMPANIES INC               COMMON STOCK       571748102      1174     25350   SHARES           X
MARSH & MCLENNAN COS INC COM                 COMMON STOCK       571748102      1854     40046   SHARES                 X
MARSH & MCLENNAN COS INC COM                 COMMON STOCK       571748102      3009     64999   SHARES                         X
Marsh & McLennan Cos., Inc.                  COMMON STOCK       571748102       449      9700   SHARES                 X
MARSHALL & ILSLEY CO COM                     COMMON STOCK       571834100       374      9900   SHARES                 X
MARSHALL & ILSLEY CO COM                     COMMON STOCK       571834100       499     13200   SHARES                         X
MARTEK BIOSCIENCES CORP                      COMMON STOCK       572901106        53       925   SHARES                         X
MARTHA STEWART LIVINGCL A                    COMMON STOCK       573083102         0         1   SHARES                 X
MARTHA STEWART LIVINGCL A                    COMMON STOCK       573083102         3       300   SHARES                         X
MARTIN MARIETTA MATERIALS INC                COMMON STOCK       573284106        25       550   SHARES                 X
MARTIN MARIETTA MATERIALS INC                COMMON STOCK       573284106      1032     22350   SHARES                         X
MARVEL ENTERPRISES                           COMMON STOCK       57383M108        50      2625   SHARES                         X
Marvel Enterprises, Inc.                     COMMON STOCK       57383M108       604     31500   SHARES                 X
MASCO CORP                                   COMMON STOCK       574599106       552     18135   SHARES                 X
MASCO CORP                                   COMMON STOCK       574599106      1604     52685   SHARES                         X
Masco Corp.                                  COMMON STOCK       574599106       581     19100   SHARES                 X
MASSEY ENERGY CO COM                         COMMON STOCK       576206106        49      2200   SHARES                 X
MASSEY ENERGY CO COM                         COMMON STOCK       576206106       223     10100   SHARES                         X
Mastec, Inc.                                 COMMON STOCK       576323109       811     85600   SHARES                 X
MATERIAL SCIENCES CORP                       COMMON STOCK       576674105         1       100   SHARES                 X
MATRIA HEALTHCARE INCORPORATED               COMMON STOCK       576817209         3       100   SHARES                 X
MATRIX SERVICE COMPANY                       COMMON STOCK       576853105        10       750   SHARES                         X


LOWES COS INC COM                               1         9585      0    59930
Lowe's Cos., Inc.                               3         8300      0        0
LOWRANCE ELECTRONICS INCORPORATED               1            0      0     2100
LSI LOGIC CORP COM                              1          200      0    13625
LTX CORPORATION                                 1            0      0     3400
LUBRIZOL CORP                                   1         3300      0        0
LUBRIZOL CORP                                   1        21165      0     1800
Lubrizol Corp.                                  3        19200      0        0
LUCENT TECHNOLOGIES INC COM                     1       230469    188     5528
LUCENT TECHNOLOGIES INC COM                     1        77811      0    56140
LUCENT TECHNOLOGIES INCORPORATED                2        52458      0        0
Lucent Technologies, Inc.                       3       369580      0        0
LYNCH CORP COM                                  1            0      0      838
LYNCH INTERACTIVE CORP COM                      1            0      0     1676
LYONDELL CHEMICAL COMPANY COM                   1          250      0        0
LYONDELL CHEMICAL COMPANY COM                   1            0      0    32000
M & T BANK CORP COM                             1       658731      0      250
M & T BANK CORP COM                             1        40442      0   223896
M.D.C. Holdings, Inc.                           3        14641      0        0
M/I Schottenstein Homes, Inc.                   3        23400      0        0
MACROMEDIA INC COM                              1           45      0        0
MACROVISION CORP COM                            1            0      0    12800
Macrovision Corp.                               3        38100      0        0
MAF BANCORP INC COM                             1         1821      0        0
MAGELAN MIDSTREAM PARTNERS LP                   2         6300      0        0
MAGMA DESIGN AUTOMATION INC                     1            0      0     3021
Magna International, Inc., Class A              3        22800      0        0
MAGNUM HUNTER RESOURCES INCORPORATED            1         1000      0        0
MAGNUM HUNTER RESOURCES INCORPORATED            1            0      0     3000
MAIN STREET & MAIN INCORPORATED                 1            0      0    17300
MANATRON INCORPORATED                           1            0      0      400
MANITOWOC CO INC COM                            1            0      0     8400
MANOR CARE INC COM                              1         8300      0    12760
MANPOWER INC WIS                                1            0      0     7300
MAPICS INCORPORATED                             1            0      0      850
MARATHON OIL CORP                               3          310      0        0
MARATHON OIL CORP                               1        42885      0        0
MARATHON OIL CORP                               1        10805      0    75225
MARKEL CORP COM                                 1          100      0        0
Marriott International, Inc., Class A           3        23200      0        0
MARRIOTT INTL INC CL A                          1         1295      0        0
MARRIOTT INTL INC CL A                          1            0      0    11800
MARSH & MCLENNAN COMPANIES INC                  2        25350      0        0
MARSH & MCLENNAN COS INC COM                    1        39596      0      450
MARSH & MCLENNAN COS INC COM                    1        43994      0    21005
Marsh & McLennan Cos., Inc.                     3         9700      0        0
MARSHALL & ILSLEY CO COM                        1         9900      0        0
MARSHALL & ILSLEY CO COM                        1         8800      0     4400
MARTEK BIOSCIENCES CORP                         1            0      0      925
MARTHA STEWART LIVINGCL A                       1            1      0        0
MARTHA STEWART LIVINGCL A                       1          300      0        0
MARTIN MARIETTA MATERIALS INC                   1          550      0        0
MARTIN MARIETTA MATERIALS INC                   1            0      0    22350
MARVEL ENTERPRISES                              1            0      0     2625
Marvel Enterprises, Inc.                        3        31500      0        0
MASCO CORP                                      1        18135      0        0
MASCO CORP                                      1        16175      0    36510
Masco Corp.                                     3        19100      0        0
MASSEY ENERGY CO COM                            1         2200      0        0
MASSEY ENERGY CO COM                            1         1800      0     8300
Mastec, Inc.                                    3        85600      0        0
MATERIAL SCIENCES CORP                          1          100      0        0
MATRIA HEALTHCARE INCORPORATED                  1          100      0        0
MATRIX SERVICE COMPANY                          1            0      0      750

                                    30 OF 64                           5/14/2004




                                                                                                 
MATTEL INC                                   COMMON STOCK       577081102      6430    348763   SHARES                 X
MATTEL INC                                   COMMON STOCK       577081102      4935    267633   SHARES                 X
MATTEL INC                                   COMMON STOCK       577081102       948     51423   SHARES                         X
MATTHEWS INTL CORP CL A                      COMMON STOCK       577128101        10       300   SHARES                 X
MATTHEWS INTL CORP CL A                      COMMON STOCK       577128101        78      2350   SHARES                         X
MAVERICK TUBE CORP                           COMMON STOCK       577914104        85      3600   SHARES                         X
MAXIM INTEGRATED PRODS INC COM               COMMON STOCK       57772K101        16       341   SHARES                 X
MAXIM INTEGRATED PRODS INC COM               COMMON STOCK       57772K101       778     16560   SHARES                         X
Maxim Integrated Products, Inc.              COMMON STOCK       57772K101      1059     22500   SHARES                 X
MAXIM PHARMACEUTICALS INC                    COMMON STOCK       57772M107        17      1940   SHARES                         X
MAXTOR CORP COM NEW                          COMMON STOCK       577729205       275     33760   SHARES                         X
Maxtor Corp.                                 COMMON STOCK       577729205       891    109300   SHARES                 X
MAY DEPT STORES & CO COM                     COMMON STOCK       577778103       533     15422   SHARES                 X
MAY DEPT STORES & CO COM                     COMMON STOCK       577778103       642     18567   SHARES                         X
Maytag Corp.                                 COMMON STOCK       578592107      2058     65200   SHARES                 X
MAYTAG CORPORATION                           COMMON STOCK       578592107       452     14332   SHARES                 X
MAYTAG CORPORATION                           COMMON STOCK       578592107      1285     40710   SHARES                         X
MB FINANCIAL INCORPORATED                    COMMON STOCK       55264U108        36       925   SHARES                         X
MBIA INC COM                                 COMMON STOCK       55262C100       586      9350   SHARES                 X
MBIA INC COM                                 COMMON STOCK       55262C100       458      7300   SHARES                         X
MBNA CORP COM                                COMMON STOCK       55262L100      1531     55397   SHARES                 X
MBNA CORP COM                                COMMON STOCK       55262L100      3202    115875   SHARES                         X
MC GRAW HILL COMPANIES INC                   COMMON STOCK       580645109       701      9210   SHARES                 X
MC GRAW HILL COMPANIES INC                   COMMON STOCK       580645109      1999     26255   SHARES                         X
MCCLATCHY CO                                 COMMON STOCK       579489105        32       450   SHARES                 X
MCCLATCHY CO                                 COMMON STOCK       579489105       661      9300   SHARES                         X
MCCORMICK & CO INC                           COMMON STOCK       579780107         9       262   SHARES                 X
MCCORMICK & CONON VTG SHS                    COMMON STOCK       579780206       911     27174   SHARES                 X
MCCORMICK & CONON VTG SHS                    COMMON STOCK       579780206       241      7200   SHARES                         X
MCDATA CORP                                  COMMON STOCK       580031201        11      1501   SHARES                 X
MCDATA CORP                                  COMMON STOCK       580031201         5       729   SHARES                         X
MCDONALDS CORP COM                           COMMON STOCK       580135101      1838     64328   SHARES                 X
MCDONALDS CORP COM                           COMMON STOCK       580135101      2830     99064   SHARES                         X
MCG CAPITAL CORPORATION                      COMMON STOCK       58047P107        20      1000   SHARES                         X
McGraw-Hill Cos., Inc.                       COMMON STOCK       580645109      1492     19600   SHARES                 X
MCKESSON CORPORATION COM                     COMMON STOCK       58155Q103       108      3600   SHARES                 X
MCKESSON CORPORATION COM                     COMMON STOCK       58155Q103       563     18700   SHARES                         X
MCMORAN EXPLORATION CO                       COMMON STOCK       582411104         2       125   SHARES                 X
MCMORAN EXPLORATION CO                       COMMON STOCK       582411104         2       125   SHARES                         X
MEADWESTVACO CORP                            COMMON STOCK       583334107       112      3965   SHARES                 X
MEADWESTVACO CORP                            COMMON STOCK       583334107       154      5428   SHARES                         X
MECHANICAL TECHNOLOGY INC COM                COMMON STOCK       583538103         4       800   SHARES                 X
Medarex, Inc.                                COMMON STOCK       583916101       823     91700   SHARES                 X
MEDCO HEALTH SOLUTIONS INC                   COMMON STOCK       58405U102       959     28199   SHARES                 X
MEDCO HEALTH SOLUTIONS INC                   COMMON STOCK       58405U102      1705     50135   SHARES                         X
MEDCO HEALTH SOLUTIONS INC                   COMMON STOCK       58405u102         1        18   SHARES                 X
MEDIA GEN INC CL A                           COMMON STOCK       584404107       222      3300   SHARES                         X
MEDICAL ACTION INDUSTRIES INC                COMMON STOCK       58449L100       168      8200   SHARES                         X
Medicines Co.                                COMMON STOCK       584688105       747     23200   SHARES                 X
MEDIMMUNE INC COM                            COMMON STOCK       584699102       530     22970   SHARES                 X
MEDIMMUNE INC COM                            COMMON STOCK       584699102        79      3403   SHARES                         X
MEDSOURCE TECHNOLOGIES INC                   COMMON STOCK       58505Y103        14      2400   SHARES                         X
MEDTRONIC INC                                COMMON STOCK       585055106     10967    229666   SHARES                 X
MEDTRONIC INC                                COMMON STOCK       585055106     12093    253267   SHARES                 X
MEDTRONIC INC                                COMMON STOCK       585055106      5593    117122   SHARES                         X
MEDTRONIC INCORPORATED                       COMMON STOCK       585055106      8231    172378   SHARES           X
MELLON FINANCIAL CORP                        COMMON STOCK       58551A108      2227     71173   SHARES                 X
MELLON FINANCIAL CORP                        COMMON STOCK       58551A108       929     29702   SHARES                         X
MemberWorks, Inc.                            COMMON STOCK       586002107       876     25100   SHARES                 X
MENTOR CORP MINN COM                         COMMON STOCK       587188103        57      1900   SHARES                 X
MENTOR CORP MINN COM                         COMMON STOCK       587188103       334     11100   SHARES                         X
MENTOR GRAPHICS CORP COM                     COMMON STOCK       587200106       552     31000   SHARES                         X
Mentor Graphics Corp.                        COMMON STOCK       587200106       392     22000   SHARES                 X
MERCANTILE BANK CORP                         COMMON STOCK       587376104        18       500   SHARES                         X


MATTEL INC                                      3       348763      0        0
MATTEL INC                                      1       265639      0     1994
MATTEL INC                                      1        43661      0     7762
MATTHEWS INTL CORP CL A                         1          300      0        0
MATTHEWS INTL CORP CL A                         1            0      0     2350
MAVERICK TUBE CORP                              1            0      0     3600
MAXIM INTEGRATED PRODS INC COM                  1          341      0        0
MAXIM INTEGRATED PRODS INC COM                  1            0      0    16560
Maxim Integrated Products, Inc.                 3        22500      0        0
MAXIM PHARMACEUTICALS INC                       1            0      0     1940
MAXTOR CORP COM NEW                             1          760      0    33000
Maxtor Corp.                                    3       109300      0        0
MAY DEPT STORES & CO COM                        1        15422      0        0
MAY DEPT STORES & CO COM                        1         4717      0    13850
Maytag Corp.                                    3        65200      0        0
MAYTAG CORPORATION                              1        14332      0        0
MAYTAG CORPORATION                              1         1310      0    39400
MB FINANCIAL INCORPORATED                       1            0      0      925
MBIA INC COM                                    1          300      0     9050
MBIA INC COM                                    1            0      0     7300
MBNA CORP COM                                   1        54697      0      700
MBNA CORP COM                                   1        36980      0    78895
MC GRAW HILL COMPANIES INC                      1         9210      0        0
MC GRAW HILL COMPANIES INC                      1        12555      0    13700
MCCLATCHY CO                                    1            0      0      450
MCCLATCHY CO                                    1            0      0     9300
MCCORMICK & CO INC                              1          262      0        0
MCCORMICK & CONON VTG SHS                       1        26324      0      850
MCCORMICK & CONON VTG SHS                       1         6200      0     1000
MCDATA CORP                                     1         1501      0        0
MCDATA CORP                                     1          729      0        0
MCDONALDS CORP COM                              1        64328      0        0
MCDONALDS CORP COM                              1        42856      0    56208
MCG CAPITAL CORPORATION                         1         1000      0        0
McGraw-Hill Cos., Inc.                          3        19600      0        0
MCKESSON CORPORATION COM                        1         3600      0        0
MCKESSON CORPORATION COM                        1        10600      0     8100
MCMORAN EXPLORATION CO                          1          125      0        0
MCMORAN EXPLORATION CO                          1          125      0        0
MEADWESTVACO CORP                               1         3965      0        0
MEADWESTVACO CORP                               1            0      0     5428
MECHANICAL TECHNOLOGY INC COM                   1          800      0        0
Medarex, Inc.                                   3        91700      0        0
MEDCO HEALTH SOLUTIONS INC                      1        28199      0        0
MEDCO HEALTH SOLUTIONS INC                      1        32028      0    18107
MEDCO HEALTH SOLUTIONS INC                      3           18      0        0
MEDIA GEN INC CL A                              1            0      0     3300
MEDICAL ACTION INDUSTRIES INC                   1            0      0     8200
Medicines Co.                                   3        23200      0        0
MEDIMMUNE INC COM                               1        22970      0        0
MEDIMMUNE INC COM                               1            0      0     3403
MEDSOURCE TECHNOLOGIES INC                      1            0      0     2400
MEDTRONIC INC                                   3       229666      0        0
MEDTRONIC INC                                   1       249998      0     3269
MEDTRONIC INC                                   1        41419      0    75703
MEDTRONIC INCORPORATED                          2       172378      0        0
MELLON FINANCIAL CORP                           1        71133      0       40
MELLON FINANCIAL CORP                           1        18072      0    11630
MemberWorks, Inc.                               3        25100      0        0
MENTOR CORP MINN COM                            1         1900      0        0
MENTOR CORP MINN COM                            1            0      0    11100
MENTOR GRAPHICS CORP COM                        1            0      0    31000
Mentor Graphics Corp.                           3        22000      0        0
MERCANTILE BANK CORP                            1            0      0      500

                                    31 OF 64                           5/14/2004




                                                                                                 
MERCANTILE BANKSHARES CORP                   COMMON STOCK       587405101      1013     23585   SHARES                 X
MERCANTILE BANKSHARES CORP                   COMMON STOCK       587405101      3656     85161   SHARES                         X
MERCHANTS BANCSHARES INC                     COMMON STOCK       588448100         3       112   SHARES                         X
MERCK & CO INC COM                           COMMON STOCK       589331107      5115    115764   SHARES                 X
MERCK & CO INC COM                           COMMON STOCK       589331107     21403    484330   SHARES                 X
MERCK & CO INC COM                           COMMON STOCK       589331107     20809    470906   SHARES                         X
MERCK & COMPANY INCORPORATED                 COMMON STOCK       589331107       549     12423   SHARES           X
MERCURY INTERACTIVE CORP COM                 COMMON STOCK       589405109       288      6438   SHARES                 X
MERCURY INTERACTIVE CORP COM                 COMMON STOCK       589405109       278      6200   SHARES                         X
Mercury Interactive Corp.                    COMMON STOCK       589405109      1819     40600   SHARES                 X
MEREDITH CORP COM                            COMMON STOCK       589433101       121      2400   SHARES                 X
Meredith Corp.                               COMMON STOCK       589433101       875     17300   SHARES                 X
MERIDIAN GOLD INCORPORATED                   COMMON STOCK       589975101         3       250   SHARES                 X
MERISTAR HOSPITALITY CORP (REIT)             COMMON STOCK       58984Y103        39      5630   SHARES                         X
Meritage Corp.                               COMMON STOCK       59001A102       601      8100   SHARES                 X
MERIX CORP                                   COMMON STOCK       590049102        29      1550   SHARES                 X
MERRILL LYNCH & CO INC                       COMMON STOCK       590188108         3        50   SHARES                 X
MERRILL LYNCH & CO INC                       COMMON STOCK       590188108      2974     49940   SHARES                 X
MERRILL LYNCH & CO INC                       COMMON STOCK       590188108      4391     73722   SHARES                         X
MERRILL LYNCH & COMPANY INCORPORATED         COMMON STOCK       590188108       560      9400   SHARES           X
METAL MANAGEMENT INCORPORATED                COMMON STOCK       591097209        37      1000   SHARES                         X
Methode Electronics, Inc., Class A           COMMON STOCK       591520200       777     60200   SHARES                 X
METLIFE INC COM                              COMMON STOCK       59156R108        24       682   SHARES                 X
METLIFE INC COM                              COMMON STOCK       59156R108       229      6413   SHARES                         X
MFA MORTGAGE INVESTMENTS INC                 COMMON STOCK       55272X102        10      1000   SHARES                 X
MGE ENERGY INC                               COMMON STOCK       55277P104         2        52   SHARES                 X
MGI PHARMA INC COM                           COMMON STOCK       552880106        64      1050   SHARES                 X
MGI PHARMA INCORPORATED                      COMMON STOCK       552880106       417      6800   SHARES           X
MGIC INVT CORP WIS                           COMMON STOCK       552848103       106      1650   SHARES                         X
MGM MIRAGE                                   COMMON STOCK       552953101       118      2600   SHARES                         X
MICREL INC COM                               COMMON STOCK       594793101        27      2000   SHARES                         X
MICROCHIP TECHNOLOGY INC COM                 COMMON STOCK       595017104        26      1000   SHARES                         X
MICRON TECHNOLOGY INC COM                    COMMON STOCK       595112103       234     14000   SHARES                         X
MICROS SYSTEMS INC                           COMMON STOCK       594901100        30       675   SHARES                         X
MICROSOFT CORP                               COMMON STOCK       594918104     12578    503723   SHARES                 X
MICROSOFT CORP                               COMMON STOCK       594918104     24485    982169   SHARES                 X
MICROSOFT CORP                               COMMON STOCK       594918104     14777    592750   SHARES                         X
MICROSOFT CORPORATION                        COMMON STOCK       594918104      2419     97040   SHARES           X
MICROSTRATEGY INC                            COMMON STOCK       594972408         1        23   SHARES                         X
MID PENN BANCORP INCORPORATED                COMMON STOCK       59540G107        84      3008   SHARES                         X
MIDCAP SPDR TRUST SERIES 1 S&P 400           COMMON STOCK       595635103      2098     18982   SHARES                 X
MIDCAP SPDR TRUST SERIES 1 S&P 400           COMMON STOCK       595635103       664      6010   SHARES                         X
MIDLAND CO                                   COMMON STOCK       597486109       152      6100   SHARES                         X
MIDWEST BANC HOLDINGS INC                    COMMON STOCK       598251106         5       200   SHARES                         X
MILACRON INC                                 COMMON STOCK       598709103         6      1792   SHARES                 X
MILLENIUM CHEMICALS INC COM                  COMMON STOCK       599903101       747     50000   SHARES                         X
MILLENNIUM PHARMACEUTICALS COM               COMMON STOCK       599902103        12       730   SHARES                 X
MILLENNIUM PHARMACEUTICALS COM               COMMON STOCK       599902103        17      1000   SHARES                         X
MILLER HERMAN INC                            COMMON STOCK       600544100        32      1200   SHARES                         X
MILLIPORE CORP COM                           COMMON STOCK       601073109       360      7000   SHARES                         X
MILLS CORP COM                               COMMON STOCK       601148109        35       650   SHARES                 X
MILLS CORP COM                               COMMON STOCK       601148109       101      1900   SHARES                         X
MILLS CORPORATION                            COMMON STOCK       601148109       826     15500   SHARES           X
MIM CORP                                     COMMON STOCK       553044108        44      5800   SHARES                         X
MIM Corp.                                    COMMON STOCK       553044108       119     15700   SHARES                 X
MINDSPEED TECHNOLOGIES INC                   COMMON STOCK       602682106         4       672   SHARES                 X
MINDSPEED TECHNOLOGIES INC                   COMMON STOCK       602682106         5       730   SHARES                         X
MINERAL TECH INC COM                         COMMON STOCK       603158106       774     13550   SHARES                         X
MIPS TECHNOLOGIES INC COM                    COMMON STOCK       604567107         7      1150   SHARES                         X
Mission West Properties, Inc.                COMMON STOCK       605203108       429     32400   SHARES                 X
MKS INSTRUMENTS INC                          COMMON STOCK       55306N104       123      5140   SHARES                 X
MOBILITY ELECTRONICS INC                     COMMON STOCK       60741U101        29      3230   SHARES                         X
MODINE MFG CO COM                            COMMON STOCK       607828100       130      5000   SHARES                         X
MOHAWK INDUSTRIES INC COM                    COMMON STOCK       608190104       561      6810   SHARES                         X


MERCANTILE BANKSHARES CORP                      1        23585      0        0
MERCANTILE BANKSHARES CORP                      1        70757      0    14404
MERCHANTS BANCSHARES INC                        1          112      0        0
MERCK & CO INC COM                              3       115764      0        0
MERCK & CO INC COM                              1       482699      0     1631
MERCK & CO INC COM                              1       368417      0   102489
MERCK & COMPANY INCORPORATED                    2        12423      0        0
MERCURY INTERACTIVE CORP COM                    1         6438      0        0
MERCURY INTERACTIVE CORP COM                    1            0      0     6200
Mercury Interactive Corp.                       3        40600      0        0
MEREDITH CORP COM                               1         2400      0        0
Meredith Corp.                                  3        17300      0        0
MERIDIAN GOLD INCORPORATED                      1          250      0        0
MERISTAR HOSPITALITY CORP (REIT)                1            0      0     5630
Meritage Corp.                                  3         8100      0        0
MERIX CORP                                      1            0      0     1550
MERRILL LYNCH & CO INC                          3           50      0        0
MERRILL LYNCH & CO INC                          1        48790      0     1150
MERRILL LYNCH & CO INC                          1        21984      0    51738
MERRILL LYNCH & COMPANY INCORPORATED            2         9400      0        0
METAL MANAGEMENT INCORPORATED                   1         1000      0        0
Methode Electronics, Inc., Class A              3        60200      0        0
METLIFE INC COM                                 1          682      0        0
METLIFE INC COM                                 1          913      0     5500
MFA MORTGAGE INVESTMENTS INC                    1         1000      0        0
MGE ENERGY INC                                  1           52      0        0
MGI PHARMA INC COM                              1            0      0     1050
MGI PHARMA INCORPORATED                         2         6800      0        0
MGIC INVT CORP WIS                              1            0      0     1650
MGM MIRAGE                                      1            0      0     2600
MICREL INC COM                                  1            0      0     2000
MICROCHIP TECHNOLOGY INC COM                    1            0      0     1000
MICRON TECHNOLOGY INC COM                       1         4600      0     9400
MICROS SYSTEMS INC                              1            0      0      675
MICROSOFT CORP                                  3       503723      0        0
MICROSOFT CORP                                  1       976289      0     5880
MICROSOFT CORP                                  1       304785   1600   286365
MICROSOFT CORPORATION                           2        97040      0        0
MICROSTRATEGY INC                               1            0      0       23
MID PENN BANCORP INCORPORATED                   1         1851      0     1157
MIDCAP SPDR TRUST SERIES 1 S&P 400              1        18982      0        0
MIDCAP SPDR TRUST SERIES 1 S&P 400              1         4010      0     2000
MIDLAND CO                                      1         6100      0        0
MIDWEST BANC HOLDINGS INC                       1            0      0      200
MILACRON INC                                    1         1792      0        0
MILLENIUM CHEMICALS INC COM                     1            0      0    50000
MILLENNIUM PHARMACEUTICALS COM                  1          730      0        0
MILLENNIUM PHARMACEUTICALS COM                  1            0      0     1000
MILLER HERMAN INC                               1            0      0     1200
MILLIPORE CORP COM                              1            0      0     7000
MILLS CORP COM                                  1          650      0        0
MILLS CORP COM                                  1            0      0     1900
MILLS CORPORATION                               2        15500      0        0
MIM CORP                                        1            0      0     5800
MIM Corp.                                       3        15700      0        0
MINDSPEED TECHNOLOGIES INC                      1          672      0        0
MINDSPEED TECHNOLOGIES INC                      1          730      0        0
MINERAL TECH INC COM                            1            0      0    13550
MIPS TECHNOLOGIES INC COM                       1            0      0     1150
Mission West Properties, Inc.                   3        32400      0        0
MKS INSTRUMENTS INC                             1         3500      0     1640
MOBILITY ELECTRONICS INC                        1            0      0     3230
MODINE MFG CO COM                               1            0      0     5000
MOHAWK INDUSTRIES INC COM                       1            0      0     6810

                                    32 OF 64                           5/14/2004




                                                                                                 
MOLEX INC CL A                               COMMON STOCK       608554200         8       303   SHARES                 X
MOLEX INC CL A                               COMMON STOCK       608554200       149      5725   SHARES                         X
MOLEX INC COM                                COMMON STOCK       608554101       289      9495   SHARES                         X
MONACO COACH CORP COM                        COMMON STOCK       60886R103        88      3300   SHARES                         X
MONDAVI ROBERT CORP                          COMMON STOCK       609200100       106      2800   SHARES                         X
MONSANTO COMPANY                             COMMON STOCK       61166W101       165      4498   SHARES                 X
MONSANTO COMPANY                             COMMON STOCK       61166W101       805     21948   SHARES                         X
MONSTER WORLDWIDE INCORPORATED               COMMON STOCK       611742107       304     11600   SHARES                         X
MONTEREY PASTA CO                            COMMON STOCK       612570101        10      3000   SHARES                         X
MONY GROUP INC COM                           COMMON STOCK       615337102         0        11   SHARES                 X
MOODYS CORP                                  COMMON STOCK       615369105       205      2900   SHARES                 X
MOODYS CORP                                  COMMON STOCK       615369105       584      8249   SHARES                         X
MOOG INC CL A                                COMMON STOCK       615394202       154      4500   SHARES                         X
Morgan Stanley                               COMMON STOCK       617446448     10529    183752   SHARES                 X
MORGAN STANLEY                               COMMON STOCK       617446448     12398    216366   SHARES                 X
MORGAN STANLEY                               COMMON STOCK       617446448      4002     69839   SHARES                         X
MOSSIMO INC                                  COMMON STOCK       619696107         5      1250   SHARES                         X
MOTOROLA INC                                 COMMON STOCK       620076109      3331    189275   SHARES                 X
MOTOROLA INC                                 COMMON STOCK       620076109      2452    139337   SHARES                         X
MOTOROLA INCORPORATED                        COMMON STOCK       620076109       568     32300   SHARES           X
Motorola, Inc.                               COMMON STOCK       620076109       915     52000   SHARES                 X
MOVIE STAR INC                               COMMON STOCK       624591103         1       700   SHARES                 X
MPS GROUP INC                                COMMON STOCK       553409103       310     27900   SHARES                         X
MSC SOFTWARE CORP COM                        COMMON STOCK       553531104        19      2210   SHARES                         X
MUELLER INDS INC COM                         COMMON STOCK       624756102         3       100   SHARES                 X
MUELLER INDS INC COM                         COMMON STOCK       624756102       731     21500   SHARES                         X
MULTIMEDIA GAMES INC                         COMMON STOCK       625453105        71      2850   SHARES                         X
MUNICIPAL MTG & EQ LLC                       COMMON STOCK       62624B101        32      1250   SHARES                         X
MURPHY OIL CORP                              COMMON STOCK       626717102       340      5401   SHARES                 X
MURPHY OIL CORP                              COMMON STOCK       626717102       214      3400   SHARES                         X
Murphy Oil Corp.                             COMMON STOCK       626717102      2273     36100   SHARES                 X
MYKROLIS CORP                                COMMON STOCK       62852P103        31      2148   SHARES                         X
Mykrolis Corp.                               COMMON STOCK       62852P103       599     42000   SHARES                 X
MYLAN LABORATORIES INC                       COMMON STOCK       628530107       131      5752   SHARES                 X
MYLAN LABORATORIES INC                       COMMON STOCK       628530107        78      3419   SHARES                         X
MYRIAD GENETICS INC COM                      COMMON STOCK       62855J104         2       150   SHARES                 X
MYRIAD GENETICS INC COM                      COMMON STOCK       62855J104        15       900   SHARES                         X
N Y TIMES CL A                               COMMON STOCK       650111107        88      1995   SHARES                 X
N Y TIMES CL A                               COMMON STOCK       650111107       152      3450   SHARES                         X
Nabi Biopharmaceuticals                      COMMON STOCK       629519109       799     51400   SHARES                 X
NABI BIOPHARMACEUTICALS                      COMMON STOCK       629519109       124      8000   SHARES                 X
NABI BIOPHARMACEUTICALS                      COMMON STOCK       629519109       734     47200   SHARES                         X
Nabors Industries Ltd.                       COMMON STOCK       G6359F103      6739    147300   SHARES                 X
NACCO INDS INC CL A                          COMMON STOCK       629579103        16       200   SHARES                         X
NANOPHASE TECHNOLOGIES CORP COM              COMMON STOCK       630079101        12      1175   SHARES                         X
NASDAQ100 SHARES                             COMMON STOCK       631100104     11152    311167   SHARES                 X
NASDAQ100 SHARES                             COMMON STOCK       631100104       122      3417   SHARES                         X
NATIONAL CITY CORP COM                       COMMON STOCK       635405103      1158     32557   SHARES                 X
NATIONAL CITY CORP COM                       COMMON STOCK       635405103       472     13278   SHARES                         X
NATIONAL COMMERCE FINL CORP COM              COMMON STOCK       63545P104         9       300   SHARES                 X
NATIONAL COMMERCE FINL CORP COM              COMMON STOCK       63545P104        74      2600   SHARES                         X
NATIONAL HOME HEALTH CARE CORP               COMMON STOCK       636380107        16      1500   SHARES                         X
NATIONAL OILWELL INC COM                     COMMON STOCK       637071101       202      7150   SHARES                         X
NATIONAL PENN BANCSHARES INC                 COMMON STOCK       637138108       134      4248   SHARES                 X
NATIONAL PENN BANCSHARES INC                 COMMON STOCK       637138108       205      6516   SHARES                         X
NATIONAL SEMICONDUCTOR CORP COM              COMMON STOCK       637640103        57      1275   SHARES                 X
NATIONAL SEMICONDUCTOR CORP COM              COMMON STOCK       637640103       240      5395   SHARES                         X
NATIONAL WESTERN LIFE INS CO CL A            COMMON STOCK       638522102       150      1000   SHARES                 X
NATIONWIDE FINL SVCS INC                     COMMON STOCK       638612101        95      2624   SHARES                 X
NATIONWIDE HEALTH PROPERTIES (REIT)          COMMON STOCK       638620104        38      1699   SHARES                         X
NATL FUEL GAS CO                             COMMON STOCK       636180101       116      4729   SHARES                         X
NAVARRE CORPORATION                          COMMON STOCK       639208107        23      3900   SHARES                         X
NAVIGANT CONSULTING INC                      COMMON STOCK       63935N107       157      7750   SHARES                         X
NAVISTAR INTERNATIONAL CORP                  COMMON STOCK       63934E108         5       100   SHARES                 X


MOLEX INC CL A                                  1          303      0        0
MOLEX INC CL A                                  1            0      0     5725
MOLEX INC COM                                   1         9495      0        0
MONACO COACH CORP COM                           1            0      0     3300
MONDAVI ROBERT CORP                             1            0      0     2800
MONSANTO COMPANY                                1         4498      0        0
MONSANTO COMPANY                                1         8907      0    13041
MONSTER WORLDWIDE INCORPORATED                  1            0      0    11600
MONTEREY PASTA CO                               1            0      0     3000
MONY GROUP INC COM                              1           11      0        0
MOODYS CORP                                     1         2900      0        0
MOODYS CORP                                     1         2849      0     5400
MOOG INC CL A                                   1            0      0     4500
Morgan Stanley                                  3       183752      0        0
MORGAN STANLEY                                  1       215797      0      569
MORGAN STANLEY                                  1        38517      0    31322
MOSSIMO INC                                     1            0      0     1250
MOTOROLA INC                                    1       189025      0      250
MOTOROLA INC                                    1        83639      0    55698
MOTOROLA INCORPORATED                           2        32300      0        0
Motorola, Inc.                                  3        52000      0        0
MOVIE STAR INC                                  1          700      0        0
MPS GROUP INC                                   1            0      0    27900
MSC SOFTWARE CORP COM                           1            0      0     2210
MUELLER INDS INC COM                            1          100      0        0
MUELLER INDS INC COM                            1            0      0    21500
MULTIMEDIA GAMES INC                            1            0      0     2850
MUNICIPAL MTG & EQ LLC                          1         1250      0        0
MURPHY OIL CORP                                 1         5401      0        0
MURPHY OIL CORP                                 1            0      0     3400
Murphy Oil Corp.                                3        36100      0        0
MYKROLIS CORP                                   1            0      0     2148
Mykrolis Corp.                                  3        42000      0        0
MYLAN LABORATORIES INC                          1         5752      0        0
MYLAN LABORATORIES INC                          1         2294      0     1125
MYRIAD GENETICS INC COM                         1          150      0        0
MYRIAD GENETICS INC COM                         1            0      0      900
N Y TIMES CL A                                  1         1995      0        0
N Y TIMES CL A                                  1          550      0     2900
Nabi Biopharmaceuticals                         3        51400      0        0
NABI BIOPHARMACEUTICALS                         1         8000      0        0
NABI BIOPHARMACEUTICALS                         1        36000      0    11200
Nabors Industries Ltd.                          3       147300      0        0
NACCO INDS INC CL A                             1            0      0      200
NANOPHASE TECHNOLOGIES CORP COM                 1            0      0     1175
NASDAQ100 SHARES                                1       311167      0        0
NASDAQ100 SHARES                                1          617    800     2000
NATIONAL CITY CORP COM                          1        32557      0        0
NATIONAL CITY CORP COM                          1         1148      0    12130
NATIONAL COMMERCE FINL CORP COM                 1          300      0        0
NATIONAL COMMERCE FINL CORP COM                 1         2600      0        0
NATIONAL HOME HEALTH CARE CORP                  1            0      0     1500
NATIONAL OILWELL INC COM                        1         6050      0     1100
NATIONAL PENN BANCSHARES INC                    1         4248      0        0
NATIONAL PENN BANCSHARES INC                    1         4248      0     2268
NATIONAL SEMICONDUCTOR CORP COM                 1         1275      0        0
NATIONAL SEMICONDUCTOR CORP COM                 1         2195      0     3200
NATIONAL WESTERN LIFE INS CO CL A               1            0      0     1000
NATIONWIDE FINL SVCS INC                        1         2624      0        0
NATIONWIDE HEALTH PROPERTIES (REIT)             1            0      0     1699
NATL FUEL GAS CO                                1         3113      0     1616
NAVARRE CORPORATION                             1            0      0     3900
NAVIGANT CONSULTING INC                         1            0      0     7750
NAVISTAR INTERNATIONAL CORP                     1          100      0        0

                                    33 OF 64                           5/14/2004




                                                                                                 
NAVISTAR INTERNATIONAL CORP                  COMMON STOCK       63934E108       504     11000   SHARES                         X
NBT BANCORP INC. COM                         COMMON STOCK       628778102         5       210   SHARES                         X
NBT Bancorp, Inc.                            COMMON STOCK       628778102       718     31900   SHARES                 X
NBTY INC COM                                 COMMON STOCK       628782104       358      9640   SHARES                         X
NCO GROUP INC COM                            COMMON STOCK       628858102       280     12000   SHARES                         X
NCR CORP COM                                 COMMON STOCK       62886E108         6       138   SHARES                 X
NCR CORP COM                                 COMMON STOCK       62886E108       405      9200   SHARES                         X
NDCHEALTH CORP                               COMMON STOCK       639480102       307     11300   SHARES                         X
NEIGHBORCARE INC                             COMMON STOCK       64015Y104       116      4775   SHARES                         X
NEIMAN MARCUS GROUP INC CL B                 COMMON STOCK       640204301       201      4000   SHARES                         X
NEKTAR THERAPEUTICS                          COMMON STOCK       640268108        92      4285   SHARES                         X
NEOGEN CORPORATION                           COMMON STOCK       640491106        21      1125   SHARES                         X
NEOPHARM INC COM                             COMMON STOCK       640919106       105      5583   SHARES                         X
NET.B@NK INC                                 COMMON STOCK       640933107       173     14200   SHARES                         X
Net.B@nk, Inc.                               COMMON STOCK       640933107       252     20600   SHARES                 X
NETGEAR INC                                  COMMON STOCK       64111Q104        38      2790   SHARES                 X
NETIQ CORP COM                               COMMON STOCK       64115P102        95      6800   SHARES                         X
NETOPIA INC                                  COMMON STOCK       64114K104         1       100   SHARES                         X
NETSCREEN TECHNOLOGIES INC                   COMMON STOCK       64117V107        22       600   SHARES                         X
NetSolve Inc.                                COMMON STOCK       64115J106        87      8224   SHARES           X
NETWORK APPLIANCE INC COM                    COMMON STOCK       64120L104        16       750   SHARES                 X
NETWORK APPLIANCE INCORPORATED               COMMON STOCK       64120L104       332      4000   SHARES           X
NETWORKS ASSOCIATES INC                      COMMON STOCK       640938106         3       150   SHARES                 X
NETWORKS ASSOCIATES INC                      COMMON STOCK       640938106       242     13425   SHARES                         X
NEUROCRINE BIOSCIENCES INC                   COMMON STOCK       64125C109        43       725   SHARES                         X
NEVADA GOLD & CASINOS INC                    COMMON STOCK       64126Q206         4       200   SHARES                 X
NEW CENTY FINL CORP                          COMMON STOCK       64352D101       102      2100   SHARES                         X
New England Business Service, Inc.           COMMON STOCK       643872104       589     17400   SHARES                 X
New Milford Bancorp                          COMMON STOCK       651633109       372     13000   SHARES           X
NEW PLAN EXCEL REALTY TR (REIT)              COMMON STOCK       648053106       229      8390   SHARES                 X
NEW PLAN EXCEL REALTY TR (REIT)              COMMON STOCK       648053106       164      5980   SHARES                         X
NEW PLAN EXCEL REALTY TRUST INC              COMMON STOCK       648053106       867     31700   SHARES           X
NEW YORK COMMUNITY BANCORP INC COM           COMMON STOCK       649445103       196      5714   SHARES                         X
NEWELL RUBBERMAID INC COM                    COMMON STOCK       651229106      4719    203405   SHARES                 X
NEWELL RUBBERMAID INC COM                    COMMON STOCK       651229106      4383    188915   SHARES                 X
NEWELL RUBBERMAID INC COM                    COMMON STOCK       651229106      1164     50163   SHARES                         X
NEWFIELD EXPLORATION CO                      COMMON STOCK       651290108       187      3900   SHARES                 X
Newfield Exploration Co.                     COMMON STOCK       651290108      1352     28200   SHARES                 X
NEWMONT MINING                               COMMON STOCK       651639106       163      3500   SHARES                 X
NEWMONT MINING                               COMMON STOCK       651639106       881     18897   SHARES                         X
NEXTEL COMMUNICATION INC COM                 COMMON STOCK       65332V103       162      6582   SHARES                 X
NEXTEL COMMUNICATION INC COM                 COMMON STOCK       65332V103       225      9125   SHARES                         X
NEXTEL COMMUNICATIONS INC CLASS A            COMMON STOCK       65332V103      1751     71000   SHARES           X
NIC, Inc.                                    COMMON STOCK       62914B100        52      8600   SHARES                 X
NICOR INC                                    COMMON STOCK       654086107        21       600   SHARES                 X
NICOR INC                                    COMMON STOCK       654086107        39      1100   SHARES                         X
NICOR, Inc.                                  COMMON STOCK       654086107       370     10500   SHARES                 X
NII HOLDINGS INCCL B                         COMMON STOCK       62913F201        58      1660   SHARES                         X
NIKE INC CL B                                COMMON STOCK       654106103       490      6290   SHARES                 X
NIKE INC CL B                                COMMON STOCK       654106103      1253     16097   SHARES                         X
Nike, Inc., Class B                          COMMON STOCK       654106103      2975     38200   SHARES                 X
NISOURCE INC                                 COMMON STOCK       65473P105        61      2853   SHARES                 X
NISOURCE INC                                 COMMON STOCK       65473P105       345     16252   SHARES                         X
NITROMED INC                                 COMMON STOCK       654798503         4       550   SHARES                         X
NOBLE ENERGY INC                             COMMON STOCK       655044105       139      2959   SHARES                 X
NORDSTROM INC COM                            COMMON STOCK       655664100       116      2900   SHARES                 X
Nordstrom, Inc.                              COMMON STOCK       655664100       830     20800   SHARES                 X
Norfolk Southern Corp.                       COMMON STOCK       655844108       382     17300   SHARES                 X
NORFOLK SOUTHN CORP                          COMMON STOCK       655844108       739     33465   SHARES                 X
NORFOLK SOUTHN CORP                          COMMON STOCK       655844108      1203     54475   SHARES                         X
Nortel Networks Corp.                        COMMON STOCK       656568102      1404    236305   SHARES                 X
NORTEL NETWORKS CORPORATION                  COMMON STOCK       656568102        74     12406   SHARES           X
NORTH AMERICAN SCIENTIFIC INC COM            COMMON STOCK       65715D100        48      4800   SHARES                         X
NORTH CENTRAL BANCSHARES INC COM             COMMON STOCK       658418108        38      1000   SHARES                         X


NAVISTAR INTERNATIONAL CORP                     1            0      0    11000
NBT BANCORP INC. COM                            1            0      0      210
NBT Bancorp, Inc.                               3        31900      0        0
NBTY INC COM                                    1            0      0     9640
NCO GROUP INC COM                               1            0      0    12000
NCR CORP COM                                    1          138      0        0
NCR CORP COM                                    1          646      0     8554
NDCHEALTH CORP                                  1            0      0    11300
NEIGHBORCARE INC                                1            0      0     4775
NEIMAN MARCUS GROUP INC CL B                    1            0      0     4000
NEKTAR THERAPEUTICS                             1            0      0     4285
NEOGEN CORPORATION                              1            0      0     1125
NEOPHARM INC COM                                1            0      0     5583
NET.B@NK INC                                    1            0      0    14200
Net.B@nk, Inc.                                  3        20600      0        0
NETGEAR INC                                     1            0      0     2790
NETIQ CORP COM                                  1            0      0     6800
NETOPIA INC                                     1          100      0        0
NETSCREEN TECHNOLOGIES INC                      1            0      0      600
NetSolve Inc.                                             8224      0        0
NETWORK APPLIANCE INC COM                       1          750      0        0
NETWORK APPLIANCE INCORPORATED                  2         4000      0        0
NETWORKS ASSOCIATES INC                         1          150      0        0
NETWORKS ASSOCIATES INC                         1            0      0    13425
NEUROCRINE BIOSCIENCES INC                      1            0      0      725
NEVADA GOLD & CASINOS INC                       1          200      0        0
NEW CENTY FINL CORP                             1            0      0     2100
New England Business Service, Inc.              3        17400      0        0
New Milford Bancorp                                      13000      0        0
NEW PLAN EXCEL REALTY TR (REIT)                 1         8390      0        0
NEW PLAN EXCEL REALTY TR (REIT)                 1         5980      0        0
NEW PLAN EXCEL REALTY TRUST INC                 2        31700      0        0
NEW YORK COMMUNITY BANCORP INC COM              1            0      0     5714
NEWELL RUBBERMAID INC COM                       3       203405      0        0
NEWELL RUBBERMAID INC COM                       1       188610      0      305
NEWELL RUBBERMAID INC COM                       1        39348      0    10815
NEWFIELD EXPLORATION CO                         1         3900      0        0
Newfield Exploration Co.                        3        28200      0        0
NEWMONT MINING                                  1         2400      0     1100
NEWMONT MINING                                  1         8839      0    10058
NEXTEL COMMUNICATION INC COM                    1         6257      0      325
NEXTEL COMMUNICATION INC COM                    1         2100      0     7025
NEXTEL COMMUNICATIONS INC CLASS A               2        71000      0        0
NIC, Inc.                                       3         8600      0        0
NICOR INC                                       1          600      0        0
NICOR INC                                       1            0      0     1100
NICOR, Inc.                                     3        10500      0        0
NII HOLDINGS INCCL B                            1            0      0     1660
NIKE INC CL B                                   1         6290      0        0
NIKE INC CL B                                   1          400      0    15697
Nike, Inc., Class B                             3        38200      0        0
NISOURCE INC                                    1         2853      0        0
NISOURCE INC                                    1         4252      0    12000
NITROMED INC                                    1            0      0      550
NOBLE ENERGY INC                                1         2959      0        0
NORDSTROM INC COM                               1         2900      0        0
Nordstrom, Inc.                                 3        20800      0        0
Norfolk Southern Corp.                          3        17300      0        0
NORFOLK SOUTHN CORP                             1        33465      0        0
NORFOLK SOUTHN CORP                             1        42175      0    12300
Nortel Networks Corp.                           3       236305      0        0
NORTEL NETWORKS CORPORATION                     2        12406      0        0
NORTH AMERICAN SCIENTIFIC INC COM               1            0      0     4800
NORTH CENTRAL BANCSHARES INC COM                1            0      0     1000

                                    34 OF 64                           5/14/2004




                                                                                                 
NORTH FORK BANCORPORATION COM                COMMON STOCK       659424105       127      3000   SHARES                 X
NORTH FORK BANCORPORATION COM                COMMON STOCK       659424105       137      3240   SHARES                         X
NORTHEAST PENNSYLVANIA FINL CORP COM         COMMON STOCK       663905107        18      1000   SHARES                         X
NORTHEAST UTILITIES COM                      COMMON STOCK       664397106         2       101   SHARES                 X
NORTHEAST UTILITIES COM                      COMMON STOCK       664397106       237     12700   SHARES                         X
NORTHERN TR CORP COM                         COMMON STOCK       665859104       275      5897   SHARES                 X
NORTHERN TR CORP COM                         COMMON STOCK       665859104       763     16375   SHARES                         X
Northern Trust Corp.                         COMMON STOCK       665859104       685     14700   SHARES                 X
NORTHROP GRUMMAN CORP                        COMMON STOCK       666807102      2670     27133   SHARES                 X
NORTHROP GRUMMAN CORP                        COMMON STOCK       666807102       553      5614   SHARES                         X
NORTHWEST AIRLINES CORP CL A                 COMMON STOCK       667280101        58      5700   SHARES                 X
Northwest Airlines Corp., Class A            COMMON STOCK       667280101       364     36000   SHARES                 X
NORTHWEST NATURAL GAS COMPANY                COMMON STOCK       667655104       109      3500   SHARES                 X
NORTHWEST NATURAL GAS COMPANY                COMMON STOCK       667655104        49      1575   SHARES                         X
Novastar Financial, Inc.                     COMMON STOCK       669947400      1398     21200   SHARES                 X
NOVELL INC                                   COMMON STOCK       670006105      9659    848750   SHARES                 X
NOVELL INC                                   COMMON STOCK       670006105      6179    543007   SHARES                 X
NOVELL INC                                   COMMON STOCK       670006105       260     22850   SHARES                         X
NOVELLUS SYS INC COM                         COMMON STOCK       670008101       313      9898   SHARES                 X
NOVELLUS SYS INC COM                         COMMON STOCK       670008101       117      3700   SHARES                         X
Novellus Systems, Inc.                       COMMON STOCK       670008101      1984     62400   SHARES                 X
NOVEN PHARMACEUTICALS INC                    COMMON STOCK       670009109       290     13500   SHARES                         X
NPTest Holding Corp.                         COMMON STOCK       67019A105       431     28500   SHARES                 X
NS GROUP, INC.                               COMMON STOCK       628916108        25      1900   SHARES                         X
NSTAR COM                                    COMMON STOCK       67019E107        12       234   SHARES                 X
NSTAR COM                                    COMMON STOCK       67019E107       355      7000   SHARES                         X
NU SKIN ENTERPRISES INC                      COMMON STOCK       67018T105       413     20498   SHARES                         X
NUCOR CORP                                   COMMON STOCK       670346105        14       225   SHARES                         X
NUTRACEUTICAL INTERNATIONAL CORP             COMMON STOCK       67060Y101       160      7400   SHARES                         X
NUVELO INC                                   COMMON STOCK       67072M301        15      1175   SHARES                         X
Nuvelo, Inc.                                 COMMON STOCK       67072M301       107      8501   SHARES                 X
NVIDIA CORP COM                              COMMON STOCK       67066G104       317     12000   SHARES                         X
NYER MEDICAL GROUP INCORPORATED              COMMON STOCK       670711100         2       825   SHARES                 X
OAKLEY INC COM                               COMMON STOCK       673662102       172     11600   SHARES                         X
OCCIDENTAL PETE CORP COM                     COMMON STOCK       674599105       286      6200   SHARES                 X
OCCIDENTAL PETE CORP COM                     COMMON STOCK       674599105       617     13400   SHARES                         X
OCEAN BIO CHEM INCORPORATED                  COMMON STOCK       674631106         2       900   SHARES                 X
OCEANEERING INTL INC COM                     COMMON STOCK       675232102        12       400   SHARES                 X
OCEANFIRST FINL CORP COM                     COMMON STOCK       675234108        74      3000   SHARES                         X
O'CHARLEYS INC                               COMMON STOCK       670823103       150      8200   SHARES                         X
OCWEN FINL CORP                              COMMON STOCK       675746101        64      6592   SHARES                         X
ODYSSEY RE HLDGS CORP COM                    COMMON STOCK       67612W108        59      2200   SHARES                 X
ODYSSEY RE HLDGS CORP COM                    COMMON STOCK       67612W108       713     26420   SHARES                         X
OFFICE DEPOT INC                             COMMON STOCK       676220106        43      2300   SHARES                 X
OFFICE DEPOT INC                             COMMON STOCK       676220106      1236     65700   SHARES                         X
Offshore Logistics, Inc.                     COMMON STOCK       676255102       313     13600   SHARES                 X
OGE ENERGY CORP COM                          COMMON STOCK       670837103       126      4760   SHARES                 X
OGE ENERGY CORP COM                          COMMON STOCK       670837103       145      5486   SHARES                         X
OHIO CAS CORP                                COMMON STOCK       677240103        65      3275   SHARES                         X
OIL SERVICE HOLDERS TRUST                    COMMON STOCK       678002106         7       100   SHARES                 X
OIL STATES INTL INC                          COMMON STOCK       678026105       102      7610   SHARES                         X
OLD NATIONAL BANCORP COM                     COMMON STOCK       680033107       136      6006   SHARES                 X
Old Republic International Corp.             COMMON STOCK       680223104      2089     85050   SHARES                 X
OLD REPUBLIC INTL CORP COM                   COMMON STOCK       680223104       418     17008   SHARES                 X
OLD REPUBLIC INTL CORP COM                   COMMON STOCK       680223104       291     11850   SHARES                         X
OLIN CORP COM                                COMMON STOCK       680665205       273     15300   SHARES                         X
OMEGA FINANCIAL CORP                         COMMON STOCK       682092101        47      1276   SHARES                 X
OMEGA FINANCIAL CORP                         COMMON STOCK       682092101       561     15334   SHARES                         X
OMNI ENERGY SERVICES CORP                    COMMON STOCK       68210T208        35      4500   SHARES                 X
OMNICARE INC COM                             COMMON STOCK       681904108        69      1550   SHARES                 X
OMNICARE INC COM                             COMMON STOCK       681904108       503     11350   SHARES                         X
OMNICOM GROUP INC COM                        COMMON STOCK       681919106      1101     13725   SHARES                 X
OMNICOM GROUP INC COM                        COMMON STOCK       681919106       998     12430   SHARES                         X
Omnicom Group, Inc.                          COMMON STOCK       681919106      2801     34900   SHARES                 X


NORTH FORK BANCORPORATION COM                   1            0      0     3000
NORTH FORK BANCORPORATION COM                   1            0      0     3240
NORTHEAST PENNSYLVANIA FINL CORP COM            1            0      0     1000
NORTHEAST UTILITIES COM                         1          101      0        0
NORTHEAST UTILITIES COM                         1            0      0    12700
NORTHERN TR CORP COM                            1         2422      0     3475
NORTHERN TR CORP COM                            1          225      0    16150
Northern Trust Corp.                            3        14700      0        0
NORTHROP GRUMMAN CORP                           1        27133      0        0
NORTHROP GRUMMAN CORP                           1         3374      0     2240
NORTHWEST AIRLINES CORP CL A                    1         5700      0        0
Northwest Airlines Corp., Class A               3        36000      0        0
NORTHWEST NATURAL GAS COMPANY                   1         3500      0        0
NORTHWEST NATURAL GAS COMPANY                   1         1575      0        0
Novastar Financial, Inc.                        3        21200      0        0
NOVELL INC                                      3       848750      0        0
NOVELL INC                                      1       539432      0     3575
NOVELL INC                                      1        16825      0     6025
NOVELLUS SYS INC COM                            1         9898      0        0
NOVELLUS SYS INC COM                            1          900      0     2800
Novellus Systems, Inc.                          3        62400      0        0
NOVEN PHARMACEUTICALS INC                       1            0      0    13500
NPTest Holding Corp.                            3        28500      0        0
NS GROUP, INC.                                  1            0      0     1900
NSTAR COM                                       1          234      0        0
NSTAR COM                                       1            0      0     7000
NU SKIN ENTERPRISES INC                         1            0      0    20498
NUCOR CORP                                      1          225      0        0
NUTRACEUTICAL INTERNATIONAL CORP                1         7400      0        0
NUVELO INC                                      1            0      0     1175
Nuvelo, Inc.                                    3         8501      0        0
NVIDIA CORP COM                                 1            0      0    12000
NYER MEDICAL GROUP INCORPORATED                 1          825      0        0
OAKLEY INC COM                                  1            0      0    11600
OCCIDENTAL PETE CORP COM                        1         5200      0     1000
OCCIDENTAL PETE CORP COM                        1            0      0    13400
OCEAN BIO CHEM INCORPORATED                     1          900      0        0
OCEANEERING INTL INC COM                        1          400      0        0
OCEANFIRST FINL CORP COM                        1            0      0     3000
O'CHARLEYS INC                                  1            0      0     8200
OCWEN FINL CORP                                 1            0      0     6592
ODYSSEY RE HLDGS CORP COM                       1         2200      0        0
ODYSSEY RE HLDGS CORP COM                       1            0      0    26420
OFFICE DEPOT INC                                1         2300      0        0
OFFICE DEPOT INC                                1          300      0    65400
Offshore Logistics, Inc.                        3        13600      0        0
OGE ENERGY CORP COM                             1         4760      0        0
OGE ENERGY CORP COM                             1         4486      0     1000
OHIO CAS CORP                                   1            0      0     3275
OIL SERVICE HOLDERS TRUST                       1          100      0        0
OIL STATES INTL INC                             1            0      0     7610
OLD NATIONAL BANCORP COM                        1         6006      0        0
Old Republic International Corp.                3        85050      0        0
OLD REPUBLIC INTL CORP COM                      1        17008      0        0
OLD REPUBLIC INTL CORP COM                      1            0      0    11850
OLIN CORP COM                                   1            0      0    15300
OMEGA FINANCIAL CORP                            1         1276      0        0
OMEGA FINANCIAL CORP                            1        11000      0     4334
OMNI ENERGY SERVICES CORP                       1         4500      0        0
OMNICARE INC COM                                1         1550      0        0
OMNICARE INC COM                                1         4900      0     6450
OMNICOM GROUP INC COM                           1        13300      0      425
OMNICOM GROUP INC COM                           1         3105    300     9025
Omnicom Group, Inc.                             3        34900      0        0

                                    35 OF 64                           5/14/2204




                                                                                                 
ON SEMICONDUCTOR CORPORATION                 COMMON STOCK       682189105        12      1650   SHARES                 X
ON SEMICONDUCTOR CORPORATION                 COMMON STOCK       682189105        47      6200   SHARES                         X
ONEIDA FINL CORP COM                         COMMON STOCK       682478102        32      2250   SHARES                         X
ONEIDA LTD                                   COMMON STOCK       682505102         0       150   SHARES                 X
ONEOK INC                                    COMMON STOCK       682680103        47      2100   SHARES                 X
ONEOK INC                                    COMMON STOCK       682680103        27      1200   SHARES                         X
ONEOK, Inc.                                  COMMON STOCK       682680103       424     18800   SHARES                 X
ONYX Software Corp.                          COMMON STOCK       683402200        95     30550   SHARES                 X
Open Solutions, Inc.                         COMMON STOCK       68371P102       124      5600   SHARES                 X
OPENTV CORPORATION CLASS A                   COMMON STOCK       G67543101        10      3000   SHARES                 X
OPSWARE, INC.                                COMMON STOCK       68383A101        73      9700   SHARES                 X
OPSWARE, INC.                                COMMON STOCK       68383A101        59      7750   SHARES                         X
Oracle Corp.                                 COMMON STOCK       68389X105       736     61300   SHARES                 X
ORACLE CORPORATION                           COMMON STOCK       68389X105       840     69966   SHARES           X
ORACLE CORPORATION COM                       COMMON STOCK       68389X105      2280    190015   SHARES                 X
ORACLE CORPORATION COM                       COMMON STOCK       68389X105      1605    133720   SHARES                         X
OraSure Technologies, Inc.                   COMMON STOCK       68554V108       213     20600   SHARES                 X
O'REILLY AUTOMOTIVE INC COM                  COMMON STOCK       686091109       200      5000   SHARES                 X
ORTHODONTIC CENTERS OF AMER INC COM          COMMON STOCK       68750P103        51      6440   SHARES                 X
ORTHODONTIC CENTERS OF AMER INC COM          COMMON STOCK       68750P103       134     17000   SHARES                         X
Orthodontic Centers of America, Inc.         COMMON STOCK       68750P103       216     27400   SHARES                 X
ORTHOFIX INTERNATIONAL NV                    COMMON STOCK       N6748L102        50      1000   SHARES                 X
ORTHOFIX INTERNATIONAL NV                    COMMON STOCK       N6748L102        82      1650   SHARES                         X
OSHKOSH TRUCK CORP                           COMMON STOCK       688239201         3        50   SHARES                 X
OSHKOSH TRUCK CORP                           COMMON STOCK       688239201        93      1675   SHARES                         X
OSI SYS INC                                  COMMON STOCK       671044105        62      3100   SHARES                         X
OSTEOTECH INCORPORATED                       COMMON STOCK       688582105         1       200   SHARES                         X
OTTER TAIL CORPORATION                       COMMON STOCK       689648103         6       240   SHARES                         X
OUTBACK STEAKHOUSE INC COM                   COMMON STOCK       689899102      1656     34000   SHARES                         X
OVERLAND STORAGE INC                         COMMON STOCK       690310107        83      4881   SHARES                         X
OVERNITE CORPORATION                         COMMON STOCK       690322102        69      3000   SHARES                         X
OWENS & MINOR INC NEW COM                    COMMON STOCK       690732102       395     15600   SHARES                         X
OWENS ILL INC COM NEW                        COMMON STOCK       690768403       229     16300   SHARES                         X
OXFORD HEALTH PLANS INC                      COMMON STOCK       691471106       182      3731   SHARES                 X
OXFORD HEALTH PLANS INC                      COMMON STOCK       691471106       738     15100   SHARES                         X
P F CHANG'S CHINA BISTRO INC                 COMMON STOCK       69333Y108       297      5900   SHARES                         X
P G & E CORP                                 COMMON STOCK       69331C108         5       168   SHARES                 X
P G & E CORP                                 COMMON STOCK       69331C108        81      2780   SHARES                         X
PACCAR INC                                   COMMON STOCK       693718108       346      6170   SHARES                         X
PACIFIC CAPITAL BANCORP NEW                  COMMON STOCK       69404P101        47      1179   SHARES                         X
PACIFIC SUNWEAR OF CALIFORNIA                COMMON STOCK       694873100        51      2060   SHARES                 X
PACIFICARE HEALTH SYS INC DEL                COMMON STOCK       695112102       301      7604   SHARES                 X
PACIFICARE HEALTH SYS INC DEL                COMMON STOCK       695112102       498     12600   SHARES                         X
PacifiCare Health Systems, Inc.              COMMON STOCK       695112102      2958     74800   SHARES                 X
PACKAGING CORP OF AMER COM                   COMMON STOCK       695156109       279     12375   SHARES                         X
PACTIV CORP COM                              COMMON STOCK       695257105         9       415   SHARES                 X
PACTIV CORP COM                              COMMON STOCK       695257105       169      7600   SHARES                         X
PALL CORP COM                                COMMON STOCK       696429307        73      3228   SHARES                 X
PALL CORP COM                                COMMON STOCK       696429307        59      2600   SHARES                         X
Pall Corp.                                   COMMON STOCK       696429307       590     26000   SHARES                 X
PALMONE INC                                  COMMON STOCK       69713P107         1        67   SHARES                 X
PALMONE INC                                  COMMON STOCK       69713P107         8       351   SHARES                         X
PALMSOURCE INC                               COMMON STOCK       697154102         0        18   SHARES                 X
PALMSOURCE INC                               COMMON STOCK       697154102         2       107   SHARES                         X
PAN PACIFIC RETAIL PROP (REIT)               COMMON STOCK       69806L104       224      4300   SHARES                         X
PANAMSAT CORPORATION NEW                     COMMON STOCK       697933109       212      8650   SHARES           X
Paradigm Genetics, Inc.                      COMMON STOCK       69900R106       275    218000   SHARES                 X
PARAGON TECHNOLOGIES INC                     COMMON STOCK       69912T108        28      2725   SHARES                         X
PARAMETRIC TECHNOLOGY CORP COM               COMMON STOCK       699173100       358     79275   SHARES                         X
PARK ELECTROCHEMICAL CORPORATION             COMMON STOCK       700416209       195      7700   SHARES                         X
PARK NATIONAL CORP COM                       COMMON STOCK       700658107         8        71   SHARES                         X
PARKER HANNIFIN CORP                         COMMON STOCK       701094104       404      7150   SHARES                 X
PARKER HANNIFIN CORP                         COMMON STOCK       701094104       728     12892   SHARES                         X
PARKVALE FINANCIAL CORP                      COMMON STOCK       701492100        44      1525   SHARES                 X


ON SEMICONDUCTOR CORPORATION                    1         1650      0        0
ON SEMICONDUCTOR CORPORATION                    1            0      0     6200
ONEIDA FINL CORP COM                            1            0      0     2250
ONEIDA LTD                                      1          150      0        0
ONEOK INC                                       1         2100      0        0
ONEOK INC                                       1         1200      0        0
ONEOK, Inc.                                     3        18800      0        0
ONYX Software Corp.                             3        30550      0        0
Open Solutions, Inc.                            3         5600      0        0
OPENTV CORPORATION CLASS A                      1         3000      0        0
OPSWARE, INC.                                   1         9700      0        0
OPSWARE, INC.                                   1            0      0     7750
Oracle Corp.                                    3        61300      0        0
ORACLE CORPORATION                              2        69966      0        0
ORACLE CORPORATION COM                          1       190015      0        0
ORACLE CORPORATION COM                          1        36560      0    97160
OraSure Technologies, Inc.                      3        20600      0        0
O'REILLY AUTOMOTIVE INC COM                     1            0      0     5000
ORTHODONTIC CENTERS OF AMER INC COM             1            0      0     6440
ORTHODONTIC CENTERS OF AMER INC COM             1            0      0    17000
Orthodontic Centers of America, Inc.            3        27400      0        0
ORTHOFIX INTERNATIONAL NV                       1         1000      0        0
ORTHOFIX INTERNATIONAL NV                       1            0      0     1650
OSHKOSH TRUCK CORP                              1           50      0        0
OSHKOSH TRUCK CORP                              1            0      0     1675
OSI SYS INC                                     1            0      0     3100
OSTEOTECH INCORPORATED                          1            0      0      200
OTTER TAIL CORPORATION                          1          240      0        0
OUTBACK STEAKHOUSE INC COM                      1            0      0    34000
OVERLAND STORAGE INC                            1            0      0     4881
OVERNITE CORPORATION                            1            0      0     3000
OWENS & MINOR INC NEW COM                       1            0      0    15600
OWENS ILL INC COM NEW                           1            0      0    16300
OXFORD HEALTH PLANS INC                         1          731      0     3000
OXFORD HEALTH PLANS INC                         1            0      0    15100
P F CHANG'S CHINA BISTRO INC                    1            0      0     5900
P G & E CORP                                    1          168      0        0
P G & E CORP                                    1         1280      0     1500
PACCAR INC                                      1            0      0     6170
PACIFIC CAPITAL BANCORP NEW                     1            0      0     1179
PACIFIC SUNWEAR OF CALIFORNIA                   1            0      0     2060
PACIFICARE HEALTH SYS INC DEL                   1         7604      0        0
PACIFICARE HEALTH SYS INC DEL                   1         4200      0     8400
PacifiCare Health Systems, Inc.                 3        74800      0        0
PACKAGING CORP OF AMER COM                      1            0      0    12375
PACTIV CORP COM                                 1          415      0        0
PACTIV CORP COM                                 1            0      0     7600
PALL CORP COM                                   1         3228      0        0
PALL CORP COM                                   1         2000      0      600
Pall Corp.                                      3        26000      0        0
PALMONE INC                                     1           67      0        0
PALMONE INC                                     1          101      0      250
PALMSOURCE INC                                  1           18      0        0
PALMSOURCE INC                                  1           30      0       77
PAN PACIFIC RETAIL PROP (REIT)                  1            0      0     4300
PANAMSAT CORPORATION NEW                        2         8650      0        0
Paradigm Genetics, Inc.                         3       218000      0        0
PARAGON TECHNOLOGIES INC                        1         2725      0        0
PARAMETRIC TECHNOLOGY CORP COM                  1        31175      0    48100
PARK ELECTROCHEMICAL CORPORATION                1            0      0     7700
PARK NATIONAL CORP COM                          1            0      0       71
PARKER HANNIFIN CORP                            1         7150      0        0
PARKER HANNIFIN CORP                            1         2896      0     9996
PARKVALE FINANCIAL CORP                         1         1525      0        0

                                    36 OF 64                           5/14/2004




                                                                                                 
PartnerRe Ltd.                               COMMON STOCK       G6852T105       706     12500   SHARES                 X
PATINA OIL & GAS CORP                        COMMON STOCK       703224105        16       600   SHARES                 X
PATINA OIL & GAS CORP                        COMMON STOCK       703224105       116      4400   SHARES                         X
PATRIOT BANK CORP PA                         COMMON STOCK       70335P103       759     25881   SHARES                         X
PATRIOT NATL BANCORP INC COM                 COMMON STOCK       70336F104         8       500   SHARES                         X
PATTERSON DENTAL CO COM                      COMMON STOCK       703412106        27       400   SHARES                 X
PATTERSON DENTAL CO COM                      COMMON STOCK       703412106       312      4550   SHARES                         X
PATTERSONUTI ENERGY INC                      COMMON STOCK       703481101        18       500   SHARES                         X
PAXAR CORP COM                               COMMON STOCK       704227107       130      8800   SHARES                         X
PAYCHEX INC COM                              COMMON STOCK       704326107       808     22709   SHARES                 X
PAYCHEX INC COM                              COMMON STOCK       704326107       419     11774   SHARES                         X
Paychex, Inc.                                COMMON STOCK       704326107      1164     32700   SHARES                 X
PAYLESS SHOESOURCE INC COM                   COMMON STOCK       704379106       260     18600   SHARES                         X
PDI, Inc.                                    COMMON STOCK       69329V100       154      6100   SHARES                 X
PEABODY ENERGY CORP COM                      COMMON STOCK       704549104       837     18000   SHARES                         X
PEERLESS SYSTEMS CORPORATION                 COMMON STOCK       705536100        21     10550   SHARES                         X
PEETS COFFEE & TEA INC COM                   COMMON STOCK       705560100         8       375   SHARES                 X
PENN ESTATE INV TR (REIT)                    COMMON STOCK       709102107        45      1200   SHARES                 X
PENN ESTATE INV TR (REIT)                    COMMON STOCK       709102107        72      1900   SHARES                         X
PENN NATL GAMING INC                         COMMON STOCK       707569109        75      2600   SHARES                 X
PENN VIRGINIA CORPORATION                    COMMON STOCK       707882106        30       500   SHARES                         X
PENNEY J C CO INC                            COMMON STOCK       708160106        89      2564   SHARES                 X
PENNEY J C CO INC                            COMMON STOCK       708160106       143      4108   SHARES                         X
PENNICHUCK CORPORATION NEW                   COMMON STOCK       708254206        19       667   SHARES                 X
Pennrock Financial Services Corp.            COMMON STOCK       708352109       239      8400   SHARES           X
PENNROCK FINL SVCS CORP COM                  COMMON STOCK       708352109         7       254   SHARES                         X
PENNS WOODS BANCORP INC.                     COMMON STOCK       708430103        14       300   SHARES                 X
PENNS WOODS BANCORP INC.                     COMMON STOCK       708430103        71      1584   SHARES                         X
PENNSYLVANIA COMMERCE BANCORP INC            COMMON STOCK       708677109       504     10030   SHARES                 X
PENTAIR INC COM                              COMMON STOCK       709631105        24       400   SHARES                 X
PENTAIR INC COM                              COMMON STOCK       709631105       820     13900   SHARES                         X
PEOPLES BK BRIDGEPORT CONN COM               COMMON STOCK       710198102       101      2180   SHARES                         X
PEOPLESOFT INC COM                           COMMON STOCK       712713106        43      2300   SHARES                 X
PEOPLESOFT INC COM                           COMMON STOCK       712713106       352     19055   SHARES                         X
PEPCO HOLDINGS INC                           COMMON STOCK       713291102      1044     51052   SHARES                 X
PEPCO HOLDINGS INC                           COMMON STOCK       713291102       642     31386   SHARES                         X
Pepco Holdings, Inc.                         COMMON STOCK       713291102       578     28282   SHARES                 X
PEPSIAMERICAS INC COM                        COMMON STOCK       71343P200       216     10600   SHARES                         X
PEPSICO INC COM                              COMMON STOCK       713448108      7474    138800   SHARES                 X
PEPSICO INC COM                              COMMON STOCK       713448108     26161    485810   SHARES                 X
PEPSICO INC COM                              COMMON STOCK       713448108     19971    370867   SHARES                         X
PEPSICO INCORPORATED                         COMMON STOCK       713448108       431      8005   SHARES           X
PERFORMANCE FOOD GROUP CO                    COMMON STOCK       713755106      9678    281740   SHARES                 X
PERFORMANCE FOOD GROUP CO                    COMMON STOCK       713755106      5551    161588   SHARES                 X
PERFORMANCE FOOD GROUP CO                    COMMON STOCK       713755106       237      6900   SHARES                         X
PERKINELMER INC COM                          COMMON STOCK       714046109        79      3820   SHARES                 X
PERKINELMER INC COM                          COMMON STOCK       714046109       592     28600   SHARES                         X
PerkinElmer, Inc.                            COMMON STOCK       714046109      1055     51000   SHARES                 X
PEROT SYS CORP CL A                          COMMON STOCK       714265105         1        50   SHARES                 X
PEROT SYS CORP CL A                          COMMON STOCK       714265105       329     24709   SHARES                         X
PETROQUEST ENERGY INCORPORATED               COMMON STOCK       716748108        51     14200   SHARES                         X
PETSMART INC                                 COMMON STOCK       716768106        32      1200   SHARES                         X
PFF BANCORP INC COMMON                       COMMON STOCK       69331W104        53      1395   SHARES                         X
PFIZER INC                                   COMMON STOCK       717081103     20637    588769   SHARES                 X
PFIZER INC                                   COMMON STOCK       717081103     44120   1258778   SHARES                 X
PFIZER INC                                   COMMON STOCK       717081103     32390    924115   SHARES                         X
PFIZER INCORPORATED                          COMMON STOCK       717081103      6305    179877   SHARES           X
PFS BANCORP INC                              COMMON STOCK       69335R101        20      1000   SHARES                         X
PHARMACEUTIAL PRODUCT DEVEL INC COM          COMMON STOCK       717124101       104      3500   SHARES                         X
PHARMACEUTICAL RES INC COM                   COMMON STOCK       717125108         0         6   SHARES                         X
PHARMACOPEIA INC COM                         COMMON STOCK       71713B104       523     26000   SHARES                         X
PHELPS DODGE CORP                            COMMON STOCK       717265102        16       200   SHARES                 X
PHILADELPHIA CONS HLDG CORP                  COMMON STOCK       717528103       374      6451   SHARES                         X
Phillips Van Heusen Corp.                    COMMON STOCK       718592108       651     35200   SHARES                 X


PartnerRe Ltd.                                  3        12500      0        0
PATINA OIL & GAS CORP                           1          600      0        0
PATINA OIL & GAS CORP                           1            0      0     4400
PATRIOT BANK CORP PA                            1        15658      0    10223
PATRIOT NATL BANCORP INC COM                    1            0      0      500
PATTERSON DENTAL CO COM                         1            0      0      400
PATTERSON DENTAL CO COM                         1          550      0     4000
PATTERSONUTI ENERGY INC                         1          500      0        0
PAXAR CORP COM                                  1            0      0     8800
PAYCHEX INC COM                                 1        12584      0    10125
PAYCHEX INC COM                                 1         1224      0    10550
Paychex, Inc.                                   3        32700      0        0
PAYLESS SHOESOURCE INC COM                      1            0      0    18600
PDI, Inc.                                       3         6100      0        0
PEABODY ENERGY CORP COM                         1            0      0    18000
PEERLESS SYSTEMS CORPORATION                    1            0      0    10550
PEETS COFFEE & TEA INC COM                      1          375      0        0
PENN ESTATE INV TR (REIT)                       1         1200      0        0
PENN ESTATE INV TR (REIT)                       1            0      0     1900
PENN NATL GAMING INC                            1          600      0     2000
PENN VIRGINIA CORPORATION                       1          500      0        0
PENNEY J C CO INC                               1         2564      0        0
PENNEY J C CO INC                               1         4108      0        0
PENNICHUCK CORPORATION NEW                      1          667      0        0
Pennrock Financial Services Corp.                         8400      0        0
PENNROCK FINL SVCS CORP COM                     1            0      0      254
PENNS WOODS BANCORP INC.                        1          300      0        0
PENNS WOODS BANCORP INC.                        1          121      0     1463
PENNSYLVANIA COMMERCE BANCORP INC               1        10030      0        0
PENTAIR INC COM                                 1          400      0        0
PENTAIR INC COM                                 1         6625      0     7275
PEOPLES BK BRIDGEPORT CONN COM                  1            0      0     2180
PEOPLESOFT INC COM                              1         2300      0        0
PEOPLESOFT INC COM                              1            0      0    19055
PEPCO HOLDINGS INC                              1        49852      0     1200
PEPCO HOLDINGS INC                              1        28254      0     3132
Pepco Holdings, Inc.                            3        28282      0        0
PEPSIAMERICAS INC COM                           1          600      0    10000
PEPSICO INC COM                                 3       138800      0        0
PEPSICO INC COM                                 1       483495      0     2315
PEPSICO INC COM                                 1       296540      0    74327
PEPSICO INCORPORATED                            2         8005      0        0
PERFORMANCE FOOD GROUP CO                       3       281740      0        0
PERFORMANCE FOOD GROUP CO                       1       155528      0     6060
PERFORMANCE FOOD GROUP CO                       1         1225      0     5675
PERKINELMER INC COM                             1            0      0     3820
PERKINELMER INC COM                             1         4000      0    24600
PerkinElmer, Inc.                               3        51000      0        0
PEROT SYS CORP CL A                             1           50      0        0
PEROT SYS CORP CL A                             1          709      0    24000
PETROQUEST ENERGY INCORPORATED                  1            0      0    14200
PETSMART INC                                    1          200      0     1000
PFF BANCORP INC COMMON                          1            0      0     1395
PFIZER INC                                      3       588769      0        0
PFIZER INC                                      1      1237180      0    21598
PFIZER INC                                      1       657220      0   266895
PFIZER INCORPORATED                             2       179877      0        0
PFS BANCORP INC                                 1            0      0     1000
PHARMACEUTIAL PRODUCT DEVEL INC COM             1            0      0     3500
PHARMACEUTICAL RES INC COM                      1            6      0        0
PHARMACOPEIA INC COM                            1            0      0    26000
PHELPS DODGE CORP                               1          200      0        0
PHILADELPHIA CONS HLDG CORP                     1            0      0     6451
Phillips Van Heusen Corp.                       3        35200      0        0

                                    37 OF 64                           5/14/2004




                                                                                                 
PHOENIX COS INC COM                          COMMON STOCK       71902E109        18      1375   SHARES                 X
PHOENIX COS INC COM                          COMMON STOCK       71902E109        17      1256   SHARES                         X
PHOTON DYNAMICS INC COM                      COMMON STOCK       719364101       211      6480   SHARES                         X
PHOTRONIC LABS INC COM                       COMMON STOCK       719405102       154      8690   SHARES                         X
PHSB FIN CORP                                COMMON STOCK       69335T107        23      1000   SHARES                         X
PICO HOLDINGS INC COM                        COMMON STOCK       693366205       406     24704   SHARES                 X
PIEDMONT NAT GAS INC                         COMMON STOCK       720186105        14       339   SHARES                         X
PIER 1 INC COM                               COMMON STOCK       720279108        23       960   SHARES                 X
PIER 1 INC COM                               COMMON STOCK       720279108       364     15375   SHARES                         X
PINNACLE AIRLINES CORP                       COMMON STOCK       723443107       134     10100   SHARES                         X
PINNACLE SYSTEMS INC COM                     COMMON STOCK       723481107        92     10300   SHARES                         X
Pinnacle Systems, Inc.                       COMMON STOCK       723481107      1553    172000   SHARES                 X
PINNACLE WEST CAPITAL CORP                   COMMON STOCK       723484101       114      2900   SHARES                         X
PIONEER NATURAL RESOURCES CO                 COMMON STOCK       723787107       207      6400   SHARES                         X
PIONEER RAILCORP                             COMMON STOCK       723839106         2      1000   SHARES                         X
PIPER JAFFRAY COMPANIES INC                  COMMON STOCK       724078100         0         3   SHARES                 X
PIPER JAFFRAY COMPANIES INC                  COMMON STOCK       724078100        54       994   SHARES                 X
PIPER JAFFRAY COMPANIES INC                  COMMON STOCK       724078100       198      3657   SHARES                         X
PITNEY BOWES INC COM                         COMMON STOCK       724479100       598     14025   SHARES                 X
PITNEY BOWES INC COM                         COMMON STOCK       724479100      1811     42500   SHARES                         X
Pixelworks, Inc.                             COMMON STOCK       72581M107      3202    186900   SHARES                 X
PLAINS ALL AMERICAN PIPELINE L P             COMMON STOCK       726503105       920     26350   SHARES           X
PLAINS EXPLORATION & PRODUCT COMPANY         COMMON STOCK       726505100       110      5900   SHARES                         X
PLANAR SYSTEMS INC.                          COMMON STOCK       726900103       134      9375   SHARES                         X
PLANTRONICS INC COM NEW                      COMMON STOCK       727493108        88      2400   SHARES                         X
PLATO LEARNING, INC.                         COMMON STOCK       72764Y100        15      1500   SHARES                         X
PLUG POWER INC COM                           COMMON STOCK       72919P103         1       100   SHARES                 X
PLX Technology, Inc.                         COMMON STOCK       693417107       228     21200   SHARES                 X
PMA CAP CORP                                 COMMON STOCK       693419202        42      6950   SHARES                         X
PMC SIERRA INC                               COMMON STOCK       69344F106       108      6390   SHARES                         X
PMI Group, Inc.                              COMMON STOCK       69344M101      1046     28000   SHARES                 X
PNC FINL SVCS GROUP COM                      COMMON STOCK       693475105     10798    194844   SHARES                 X
PNC FINL SVCS GROUP COM                      COMMON STOCK       693475105      5207     93958   SHARES                         X
PNM RESOURCES INC                            COMMON STOCK       69349H107       144      4800   SHARES                         X
POGO PRODUCING CO                            COMMON STOCK       730448107         7       150   SHARES                 X
POLARIS INDUSTRIES INC                       COMMON STOCK       731068102        45      1000   SHARES                 X
POLARIS INDUSTRIES INC                       COMMON STOCK       731068102       116      2550   SHARES                         X
Polaris Industries, Inc.                     COMMON STOCK       731068102       982     21600   SHARES                 X
POLO RALPH LAUREN CORPORATION                COMMON STOCK       731572103        34      1000   SHARES                 X
Polycom, Inc.                                COMMON STOCK       73172K104      2231    105100   SHARES                 X
POLYMEDICA INDS INC COM                      COMMON STOCK       731738100       181      6750   SHARES                         X
PolyMedica Industries, Inc.                  COMMON STOCK       731738100       558     20800   SHARES                 X
POORE BROTHERS INC                           COMMON STOCK       732813100        19      6100   SHARES                         X
POPE & TALBOT INC                            COMMON STOCK       732827100        49      2865   SHARES                         X
POST PROPERTIES INCORPORATED                 COMMON STOCK       737464107       331     11500   SHARES           X
POWER INTEGRATIONS INC COM                   COMMON STOCK       739276103       339     11600   SHARES                         X
POWERWAVE TECHNOLOGIES INC                   COMMON STOCK       739363109        75      9657   SHARES                         X
PPG INDS INC                                 COMMON STOCK       693506107      1111     19058   SHARES                 X
PPG INDS INC                                 COMMON STOCK       693506107      3015     51721   SHARES                         X
PPL CORP COM                                 COMMON STOCK       69351T106      6474    141980   SHARES                 X
PPL CORP COM                                 COMMON STOCK       69351T106      1867     40940   SHARES                         X
PPL Corp.                                    COMMON STOCK       69351T106       341      7466   SHARES                 X
PRAXAIR INC COM                              COMMON STOCK       74005P104        62      1672   SHARES                 X
PRAXAIR INC COM                              COMMON STOCK       74005P104      1898     51130   SHARES                         X
PRECISION CASTPARTS CORP COM                 COMMON STOCK       740189105       284      6443   SHARES                 X
PRECISION CASTPARTS CORP COM                 COMMON STOCK       740189105      1854     42100   SHARES                         X
Precision Castparts Corp.                    COMMON STOCK       740189105      1902     43200   SHARES                 X
Presidential Life Corp.                      COMMON STOCK       740884101       165     11000   SHARES                 X
PRICE T ROWE GROUP INC COM                   COMMON STOCK       74144T108      1558     28950   SHARES                 X
PRICE T ROWE GROUP INC COM                   COMMON STOCK       74144T108      1983     36833   SHARES                         X
PRIMEDIA INC COM                             COMMON STOCK       74157K101        10      3675   SHARES                         X
Princeton Review (The), Inc.                 COMMON STOCK       742352107       350     40500   SHARES                 X
Principal Financial Group                    COMMON STOCK       74251V102      1169     32800   SHARES                 X
PRINCIPAL FINL GROUP INC                     COMMON STOCK       74251V102       303      8495   SHARES                 X


PHOENIX COS INC COM                             1         1375      0        0
PHOENIX COS INC COM                             1         1256      0        0
PHOTON DYNAMICS INC COM                         1            0      0     6480
PHOTRONIC LABS INC COM                          1            0      0     8690
PHSB FIN CORP                                   1            0      0     1000
PICO HOLDINGS INC COM                           1            0      0    24704
PIEDMONT NAT GAS INC                            1          139      0      200
PIER 1 INC COM                                  1          960      0        0
PIER 1 INC COM                                  1          675      0    14700
PINNACLE AIRLINES CORP                          1            0      0    10100
PINNACLE SYSTEMS INC COM                        1            0      0    10300
Pinnacle Systems, Inc.                          3       172000      0        0
PINNACLE WEST CAPITAL CORP                      1            0      0     2900
PIONEER NATURAL RESOURCES CO                    1            0      0     6400
PIONEER RAILCORP                                1            0      0     1000
PIPER JAFFRAY COMPANIES INC                     3            3      0        0
PIPER JAFFRAY COMPANIES INC                     1          994      0        0
PIPER JAFFRAY COMPANIES INC                     1          192      0     3465
PITNEY BOWES INC COM                            1        14025      0        0
PITNEY BOWES INC COM                            1        28400      0    14100
Pixelworks, Inc.                                3       186900      0        0
PLAINS ALL AMERICAN PIPELINE L P                2        26350      0        0
PLAINS EXPLORATION & PRODUCT COMPANY            1         5900      0        0
PLANAR SYSTEMS INC.                             1            0      0     9375
PLANTRONICS INC COM NEW                         1            0      0     2400
PLATO LEARNING, INC.                            1            0      0     1500
PLUG POWER INC COM                              1          100      0        0
PLX Technology, Inc.                            3        21200      0        0
PMA CAP CORP                                    1            0      0     6950
PMC SIERRA INC                                  1            0      0     6390
PMI Group, Inc.                                 3        28000      0        0
PNC FINL SVCS GROUP COM                         1       187839      0     7005
PNC FINL SVCS GROUP COM                         1        63412      0    30546
PNM RESOURCES INC                               1            0      0     4800
POGO PRODUCING CO                               1          150      0        0
POLARIS INDUSTRIES INC                          1         1000      0        0
POLARIS INDUSTRIES INC                          1            0      0     2550
Polaris Industries, Inc.                        3        21600      0        0
POLO RALPH LAUREN CORPORATION                   1         1000      0        0
Polycom, Inc.                                   3       105100      0        0
POLYMEDICA INDS INC COM                         1            0      0     6750
PolyMedica Industries, Inc.                     3        20800      0        0
POORE BROTHERS INC                              1            0      0     6100
POPE & TALBOT INC                               1            0      0     2865
POST PROPERTIES INCORPORATED                    2        11500      0        0
POWER INTEGRATIONS INC COM                      1            0      0    11600
POWERWAVE TECHNOLOGIES INC                      1            0      0     9657
PPG INDS INC                                    1        19058      0        0
PPG INDS INC                                    1        42061      0     9660
PPL CORP COM                                    1       140880      0     1100
PPL CORP COM                                    1        31734      0     9206
PPL Corp.                                       3         7466      0        0
PRAXAIR INC COM                                 1          172      0     1500
PRAXAIR INC COM                                 1          516      0    50614
PRECISION CASTPARTS CORP COM                    1         6443      0        0
PRECISION CASTPARTS CORP COM                    1            0      0    42100
Precision Castparts Corp.                       3        43200      0        0
Presidential Life Corp.                         3        11000      0        0
PRICE T ROWE GROUP INC COM                      1        22950      0     6000
PRICE T ROWE GROUP INC COM                      1        13208      0    23625
PRIMEDIA INC COM                                1            0      0     3675
Princeton Review (The), Inc.                    3        40500      0        0
Principal Financial Group                       3        32800      0        0
PRINCIPAL FINL GROUP INC                        1         6995      0     1500

                                    38 OF 64                           5/14/2004




                                                                                                 
PRINCIPAL FINL GROUP INC                     COMMON STOCK       74251V102       121      3400   SHARES                         X
PRIORITY HEALTHCARE CORP CL B                COMMON STOCK       74264T102       159      7450   SHARES                         X
PROASSURANCE CORP                            COMMON STOCK       74267C106        58      1670   SHARES                         X
PROCTER & GAMBLE CO COM                      COMMON STOCK       742718109     23828    227196   SHARES                 X
PROCTER & GAMBLE CO COM                      COMMON STOCK       742718109     36337    346466   SHARES                         X
Procter & Gamble Co.                         COMMON STOCK       742718109      2443     23300   SHARES                 X
PROCTER & GAMBLE CORPORATION                 COMMON STOCK       742718109       837      7984   SHARES           X
PRODEX INC                                   COMMON STOCK       74265M106         2       685   SHARES                 X
PROGRESS ENERGY INC COM                      COMMON STOCK       743263105       615     13068   SHARES                 X
PROGRESS ENERGY INC COM                      COMMON STOCK       743263105       885     18795   SHARES                         X
PROGRESSIVE CORP COM                         COMMON STOCK       743315103         5        59   SHARES                 X
PROGRESSIVE CORP COM                         COMMON STOCK       743315103       622      7100   SHARES                         X
PROLOGIS (REIT)                              COMMON STOCK       743410102       498     13871   SHARES                         X
PROQUEST COMPANY                             COMMON STOCK       74346P102       369     12645   SHARES                 X
PROQUEST COMPANY                             COMMON STOCK       74346P102       379     13000   SHARES                         X
PROTECTIVE LIFE CORP COM                     COMMON STOCK       743674103       191      5111   SHARES                 X
Protective Life Corp.                        COMMON STOCK       743674103      1423     38000   SHARES                 X
PROTEIN DESIGN LABS INC                      COMMON STOCK       74369L103       772     32400   SHARES                         X
Provident Bankshares Corp.                   COMMON STOCK       743859100       336     10700   SHARES                 X
PROVIDENT BANKSHARES CORPORATION             COMMON STOCK       743859100        57      1802   SHARES                 X
PROVIDENT BANKSHARES CORPORATION             COMMON STOCK       743859100       482     15361   SHARES                         X
PROVIDENT FINANCIAL GROUP INC                COMMON STOCK       743866105        48      1200   SHARES                         X
Provident Financial Group, Inc.              COMMON STOCK       743866105       987     24572   SHARES                 X
PROVIDENT FINANCIAL HOLDINGS INC COM         COMMON STOCK       743868101        58      2250   SHARES                         X
PROVIDENT FINANCIAL SERVICES INC             COMMON STOCK       74386T105        11       600   SHARES                         X
PROVIDIAN FINANCIAL CORP COM                 COMMON STOCK       74406A102       240     18300   SHARES                 X
PROVIDIAN FINANCIAL CORP COM                 COMMON STOCK       74406A102        34      2600   SHARES                         X
PROVINCE HEALTHCARE CO                       COMMON STOCK       743977100       413     25950   SHARES                         X
PROXYMED INCORPORATED NEW                    COMMON STOCK       744290305        10       500   SHARES                         X
PRUDENTIAL FINANCIAL INC                     COMMON STOCK       744320102       247      5527   SHARES                 X
PRUDENTIAL FINANCIAL INC                     COMMON STOCK       744320102       635     14170   SHARES                         X
PSS WORLD MED INC COM                        COMMON STOCK       69366A100        58      5200   SHARES                 X
PUBLIC SVC ENTERPRISE GROUP INC              COMMON STOCK       744573106       358      7627   SHARES                 X
PUBLIC SVC ENTERPRISE GROUP INC              COMMON STOCK       744573106       333      7098   SHARES                         X
PUGET ENERGY INC COM                         COMMON STOCK       745310102         4       200   SHARES                 X
PUGET ENERGY INC COM                         COMMON STOCK       745310102       228     10200   SHARES                         X
PULITZER INC COM                             COMMON STOCK       745769109        97      2000   SHARES                         X
PULTE HOMES INC COM                          COMMON STOCK       745867101       150      2700   SHARES                         X
QLOGIC CORP COM                              COMMON STOCK       747277101       137      4153   SHARES                 X
QLOGIC CORP COM                              COMMON STOCK       747277101       195      5900   SHARES                         X
Qlogic Corp.                                 COMMON STOCK       747277101       944     28600   SHARES                 X
QLT INC COMMON                               COMMON STOCK       746927102       146      5700   SHARES                         X
QUALCOMM INC COM                             COMMON STOCK       747525103       640      9655   SHARES                 X
QUALCOMM INC COM                             COMMON STOCK       747525103      2655     40055   SHARES                         X
Qualcomm, Inc.                               COMMON STOCK       747525103      2610     39300   SHARES                 X
Quanex Corp.                                 COMMON STOCK       747620102       807     19000   SHARES                 X
QUANTA SERVICES INC COM                      COMMON STOCK       74762E102       311     43945   SHARES                         X
QUANTUM CORP COM                             COMMON STOCK       747906204       236     63900   SHARES                         X
QUEST DIAGNOSTICS INC                        COMMON STOCK       74834L100      1296     15649   SHARES                 X
QUEST DIAGNOSTICS INC                        COMMON STOCK       74834L100       800      9654   SHARES                         X
QUEST SOFTWARE INC COM                       COMMON STOCK       74834T103        49      3010   SHARES                 X
Quest Software, Inc.                         COMMON STOCK       74834T103       144      8800   SHARES                 X
QUESTAR CORP COM                             COMMON STOCK       748356102       306      8400   SHARES                 X
QUESTAR CORP COM                             COMMON STOCK       748356102        58      1600   SHARES                         X
QUICKSILVER RES INC WITH RIGHTS              COMMON STOCK       74837R104        74      1900   SHARES                         X
Quicksilver Resources, Inc.                  COMMON STOCK       74837R104        66      1700   SHARES                 X
QUIKSILVER INC                               COMMON STOCK       74838C106        37      1700   SHARES                         X
Quiksilver, Inc.                             COMMON STOCK       74838C106      1018     46600   SHARES                 X
QUOVADX INCORPORATED                         COMMON STOCK       74913K106         4      1200   SHARES                         X
QWEST COMMUNICATIONS INTL INC                COMMON STOCK       749121109        39      9043   SHARES                 X
QWEST COMMUNICATIONS INTL INC                COMMON STOCK       749121109        64     14869   SHARES                         X
R H DONNELLEY CORP                           COMMON STOCK       74955W307       109      2341   SHARES                         X
RADIAN GROUP INC COM                         COMMON STOCK       750236101       828     19430   SHARES                         X
RADIO ONE INC CL D                           COMMON STOCK       75040P405       198     10700   SHARES                         X


PRINCIPAL FINL GROUP INC                        1            0      0     3400
PRIORITY HEALTHCARE CORP CL B                   1            0      0     7450
PROASSURANCE CORP                               1            0      0     1670
PROCTER & GAMBLE CO COM                         1       225996      0     1200
PROCTER & GAMBLE CO COM                         1       248624      0    97842
Procter & Gamble Co.                            3        23300      0        0
PROCTER & GAMBLE CORPORATION                    2         7984      0        0
PRODEX INC                                      1          685      0        0
PROGRESS ENERGY INC COM                         1        13068      0        0
PROGRESS ENERGY INC COM                         1         9663      0     9132
PROGRESSIVE CORP COM                            1           59      0        0
PROGRESSIVE CORP COM                            1            0      0     7100
PROLOGIS (REIT)                                 1            0      0    13871
PROQUEST COMPANY                                1            0      0    12645
PROQUEST COMPANY                                1            0      0    13000
PROTECTIVE LIFE CORP COM                        1         5111      0        0
Protective Life Corp.                           3        38000      0        0
PROTEIN DESIGN LABS INC                         1          300      0    32100
Provident Bankshares Corp.                      3        10700      0        0
PROVIDENT BANKSHARES CORPORATION                1         1802      0        0
PROVIDENT BANKSHARES CORPORATION                1        10161      0     5200
PROVIDENT FINANCIAL GROUP INC                   1            0      0     1200
Provident Financial Group, Inc.                 3        24572      0        0
PROVIDENT FINANCIAL HOLDINGS INC COM            1            0      0     2250
PROVIDENT FINANCIAL SERVICES INC                1            0      0      600
PROVIDIAN FINANCIAL CORP COM                    1        18300      0        0
PROVIDIAN FINANCIAL CORP COM                    1            0      0     2600
PROVINCE HEALTHCARE CO                          1            0      0    25950
PROXYMED INCORPORATED NEW                       1          500      0        0
PRUDENTIAL FINANCIAL INC                        1         3327      0     2200
PRUDENTIAL FINANCIAL INC                        1          520      0    13650
PSS WORLD MED INC COM                           1            0      0     5200
PUBLIC SVC ENTERPRISE GROUP INC                 1         7627      0        0
PUBLIC SVC ENTERPRISE GROUP INC                 1         6198      0      900
PUGET ENERGY INC COM                            1          200      0        0
PUGET ENERGY INC COM                            1            0      0    10200
PULITZER INC COM                                1            0      0     2000
PULTE HOMES INC COM                             1            0      0     2700
QLOGIC CORP COM                                 1         4153      0        0
QLOGIC CORP COM                                 1            0      0     5900
Qlogic Corp.                                    3        28600      0        0
QLT INC COMMON                                  1            0      0     5700
QUALCOMM INC COM                                1         6655      0     3000
QUALCOMM INC COM                                1         1055      0    39000
Qualcomm, Inc.                                  3        39300      0        0
Quanex Corp.                                    3        19000      0        0
QUANTA SERVICES INC COM                         1            0      0    43945
QUANTUM CORP COM                                1          500      0    63400
QUEST DIAGNOSTICS INC                           1        15649      0        0
QUEST DIAGNOSTICS INC                           1         7104      0     2550
QUEST SOFTWARE INC COM                          1            0      0     3010
Quest Software, Inc.                            3         8800      0        0
QUESTAR CORP COM                                1         8400      0        0
QUESTAR CORP COM                                1         1600      0        0
QUICKSILVER RES INC WITH RIGHTS                 1            0      0     1900
Quicksilver Resources, Inc.                     3         1700      0        0
QUIKSILVER INC                                  1            0      0     1700
Quiksilver, Inc.                                3        46600      0        0
QUOVADX INCORPORATED                            1            0      0     1200
QWEST COMMUNICATIONS INTL INC                   1         9043      0        0
QWEST COMMUNICATIONS INTL INC                   1         4618      0    10251
R H DONNELLEY CORP                              1          311      0     2030
RADIAN GROUP INC COM                            1            0      0    19430
RADIO ONE INC CL D                              1            0      0    10700

                                    39 OF 64                           5/14/2004





                                                                                                 
RADIOSHACK CORP COM                          COMMON STOCK       750438103        66      2000   SHARES                 X
RADIOSHACK CORP COM                          COMMON STOCK       750438103       106      3200   SHARES                         X
RadiSys Corp.                                COMMON STOCK       750459109       560     26800   SHARES                 X
RAILAMERICA INC                              COMMON STOCK       750753105       257     21350   SHARES                         X
RAINIER PACIFIC FINANCIAL GROUP INC          COMMON STOCK       75087U101        87      5400   SHARES                         X
RAIT Investment Trust                        COMMON STOCK       749227104       372     12600   SHARES                 X
RALCORP HOLDINGS INC COM                     COMMON STOCK       751028101       210      6900   SHARES                         X
RANGE RESOURCES CORPORATION                  COMMON STOCK       75281A109        83      6830   SHARES                         X
RARE HOSPITALITY INTL INC COM                COMMON STOCK       753820109       277      9970   SHARES                         X
RAVEN INDUSTRIES INC                         COMMON STOCK       754212108         3       100   SHARES                 X
RAYMOND JAMES FINANCIAL INC                  COMMON STOCK       754730109       175      7050   SHARES                         X
RAYONIER INC COM                             COMMON STOCK       754907103       311      7114   SHARES                 X
RAYONIER INC COM                             COMMON STOCK       754907103         0        11   SHARES                         X
RAYOVAC CORP COM                             COMMON STOCK       755081106       983     34355   SHARES                         X
RAYTHEON CO COM NEW                          COMMON STOCK       755111507      5741    183189   SHARES                 X
RAYTHEON CO COM NEW                          COMMON STOCK       755111507      5279    168443   SHARES                 X
RAYTHEON CO COM NEW                          COMMON STOCK       755111507      1387     44260   SHARES                         X
RCN CORP COM                                 COMMON STOCK       749361101         1      1800   SHARES                 X
READER'S DIGEST ASSN INC                     COMMON STOCK       755267101       313     22200   SHARES                         X
REALTY INCOME CORPORATION                    COMMON STOCK       756109104       246      5500   SHARES           X
RED HAT INC COM                              COMMON STOCK       756577102        58      2500   SHARES                 X
RED HAT INC COM                              COMMON STOCK       756577102       302     13100   SHARES                         X
Red Hat, Inc.                                COMMON STOCK       756577102       558     24400   SHARES                 X
Red Robin Gourmet Burgers                    COMMON STOCK       75689M101       335     11800   SHARES                 X
REEBOK INTERNATIONAL LTD                     COMMON STOCK       758110100       683     16525   SHARES                         X
REGAL BELOIT CORP                            COMMON STOCK       758750103        57      2850   SHARES                 X
REGAL ENTERTAINMENT GROUPA                   COMMON STOCK       758766109        78      3550   SHARES                         X
REGENCY CENTERS CORPORATION (REIT)           COMMON STOCK       758849103       253      5410   SHARES                         X
REGENERATION TECHNOLOGIES INC                COMMON STOCK       75886N100         2       200   SHARES                         X
REGENT COMMUNICATIONS INC DEL                COMMON STOCK       758865109       203     31100   SHARES                         X
REGIONS FINANCIAL CORP COM                   COMMON STOCK       758940100        32       880   SHARES                 X
REGIONS FINANCIAL CORP COM                   COMMON STOCK       758940100       183      5010   SHARES                         X
REHABCARE GROUP INC                          COMMON STOCK       759148109       254     12800   SHARES                         X
RELIANT RESOURCES INC COM                    COMMON STOCK       75952B105        17      2116   SHARES                 X
RELIANT RESOURCES INC COM                    COMMON STOCK       75952B105        21      2523   SHARES                         X
REMEC INC                                    COMMON STOCK       759543101       467     61500   SHARES                         X
REMINGTON OIL & GAS CORP COM NEW             COMMON STOCK       759594302       193      9750   SHARES                         X
RENAISSANCE LEARNING INC                     COMMON STOCK       75968L105        66      2500   SHARES                         X
RENAL CARE GROUP INC COM                     COMMON STOCK       759930100      1016     22200   SHARES                         X
REPUBLIC BANCORP INC                         COMMON STOCK       760282103         0        18   SHARES                         X
Republic Bancorp, Inc.                       COMMON STOCK       760282103       883     62823   SHARES                 X
REPUBLIC SVCS INC COM                        COMMON STOCK       760759100       552     20400   SHARES                         X
RESMED INC                                   COMMON STOCK       761152107        31       675   SHARES                         X
RESPIRONICS INC COM                          COMMON STOCK       761230101        11       200   SHARES                 X
REX STORES CORP COM                          COMMON STOCK       761624105        14       900   SHARES                         X
Rex Stores Corp.                             COMMON STOCK       761624105       516     32800   SHARES                 X
REYNOLDS & REYNOLDS COMPANY CLASS A          COMMON STOCK       761695105       335     11800   SHARES                         X
REYNOLDS R J TOB HLDGS INC                   COMMON STOCK       76182K105        65      1076   SHARES                 X
REYNOLDS R J TOB HLDGS INC                   COMMON STOCK       76182K105        82      1350   SHARES                         X
RF MICRO DEVICES INC COM                     COMMON STOCK       749941100        96     11400   SHARES                 X
RF MICRO DEVICES INC COM                     COMMON STOCK       749941100        12      1400   SHARES                         X
RF Micro Devices, Inc.                       COMMON STOCK       749941100       721     85200   SHARES                 X
RIGEL PHARMACEUTICALS INC                    COMMON STOCK       766559603         1        50   SHARES                         X
RIGGS NATIONAL CORPORATION WASH DC           COMMON STOCK       766570105         1        52   SHARES                         X
RITE AID CORP COM                            COMMON STOCK       767754104        54     10000   SHARES                 X
RLI CORP                                     COMMON STOCK       749607107       301      7800   SHARES                         X
ROBERT HALF INTL INC COM                     COMMON STOCK       770323103        14       600   SHARES                         X
ROCKWELL AUTOMATION INC.                     COMMON STOCK       773903109       470     13547   SHARES                 X
ROCKWELL AUTOMATION INC.                     COMMON STOCK       773903109       139      4017   SHARES                         X
Rockwell Automation, Inc.                    COMMON STOCK       773903109      1151     33200   SHARES                 X
ROCKWELL COLLINS COM                         COMMON STOCK       774341101       131      4140   SHARES                 X
ROCKWELL COLLINS COM                         COMMON STOCK       774341101       227      7167   SHARES                         X
ROHM & HAAS CO                               COMMON STOCK       775371107       286      7182   SHARES                 X
ROHM & HAAS CO                               COMMON STOCK       775371107       767     19255   SHARES                         X


RADIOSHACK CORP COM                             1         2000      0        0
RADIOSHACK CORP COM                             1            0      0     3200
RadiSys Corp.                                   3        26800      0        0
RAILAMERICA INC                                 1            0      0    21350
RAINIER PACIFIC FINANCIAL GROUP INC             1            0      0     5400
RAIT Investment Trust                           3        12600      0        0
RALCORP HOLDINGS INC COM                        1            0      0     6900
RANGE RESOURCES CORPORATION                     1            0      0     6830
RARE HOSPITALITY INTL INC COM                   1            0      0     9970
RAVEN INDUSTRIES INC                            1          100      0        0
RAYMOND JAMES FINANCIAL INC                     1            0      0     7050
RAYONIER INC COM                                1            0      0     7114
RAYONIER INC COM                                1           11      0        0
RAYOVAC CORP COM                                1            0      0    34355
RAYTHEON CO COM NEW                             3       183189      0        0
RAYTHEON CO COM NEW                             1       167243      0     1200
RAYTHEON CO COM NEW                             1        23615      0    20645
RCN CORP COM                                    1         1800      0        0
READER'S DIGEST ASSN INC                        1            0      0    22200
REALTY INCOME CORPORATION                       2         5500      0        0
RED HAT INC COM                                 1         2500      0        0
RED HAT INC COM                                 1          100      0    13000
Red Hat, Inc.                                   3        24400      0        0
Red Robin Gourmet Burgers                       3        11800      0        0
REEBOK INTERNATIONAL LTD                        1            0      0    16525
REGAL BELOIT CORP                               1            0      0     2850
REGAL ENTERTAINMENT GROUPA                      1         3550      0        0
REGENCY CENTERS CORPORATION (REIT)              1            0      0     5410
REGENERATION TECHNOLOGIES INC                   1            0      0      200
REGENT COMMUNICATIONS INC DEL                   1            0      0    31100
REGIONS FINANCIAL CORP COM                      1          880      0        0
REGIONS FINANCIAL CORP COM                      1         5010      0        0
REHABCARE GROUP INC                             1            0      0    12800
RELIANT RESOURCES INC COM                       1         2116      0        0
RELIANT RESOURCES INC COM                       1         2523      0        0
REMEC INC                                       1            0      0    61500
REMINGTON OIL & GAS CORP COM NEW                1            0      0     9750
RENAISSANCE LEARNING INC                        1            0      0     2500
RENAL CARE GROUP INC COM                        1            0      0    22200
REPUBLIC BANCORP INC                            1           18      0        0
Republic Bancorp, Inc.                          3        62823      0        0
REPUBLIC SVCS INC COM                           1            0      0    20400
RESMED INC                                      1            0      0      675
RESPIRONICS INC COM                             1          200      0        0
REX STORES CORP COM                             1            0      0      900
Rex Stores Corp.                                3        32800      0        0
REYNOLDS & REYNOLDS COMPANY CLASS A             1            0      0    11800
REYNOLDS R J TOB HLDGS INC                      1         1076      0        0
REYNOLDS R J TOB HLDGS INC                      1          450      0      900
RF MICRO DEVICES INC COM                        1        11400      0        0
RF MICRO DEVICES INC COM                        1            0      0     1400
RF Micro Devices, Inc.                          3        85200      0        0
RIGEL PHARMACEUTICALS INC                       1            0      0       50
RIGGS NATIONAL CORPORATION WASH DC              1           52      0        0
RITE AID CORP COM                               1        10000      0        0
RLI CORP                                        1            0      0     7800
ROBERT HALF INTL INC COM                        1            0      0      600
ROCKWELL AUTOMATION INC.                        1        13547      0        0
ROCKWELL AUTOMATION INC.                        1         4017      0        0
Rockwell Automation, Inc.                       3        33200      0        0
ROCKWELL COLLINS COM                            1         4140      0        0
ROCKWELL COLLINS COM                            1         3767      0     3400
ROHM & HAAS CO                                  1         7182      0        0
ROHM & HAAS CO                                  1        12596      0     6659

                                    40 OF 64                           5/14/2004




                                                                                                 
Rohm & Haas Co.                              COMMON STOCK       775371107      1179     29600   SHARES                 X
ROLLINS INCORPORATED                         COMMON STOCK       775711104        57      2200   SHARES                         X
ROPER INDUSTRIES INC                         COMMON STOCK       776696106       294      6100   SHARES                         X
ROSS STORES INC COM                          COMMON STOCK       778296103        34      1100   SHARES                 X
ROSS STORES INC COM                          COMMON STOCK       778296103       803     26200   SHARES                         X
ROUSE CORP COM                               COMMON STOCK       779273101       330      6166   SHARES                 X
ROUSE CORP COM                               COMMON STOCK       779273101      1400     26119   SHARES                         X
ROWAN COS INC                                COMMON STOCK       779382100        76      3620   SHARES                         X
ROWE COMPANIES                               COMMON STOCK       779528108       186     43813   SHARES           X
Roxio, Inc.                                  COMMON STOCK       780008108        75     16700   SHARES                 X
ROYCE VALUE TRUST (CE)                       COMMON STOCK       780910105       755     42415   SHARES                         X
RPC INC                                      COMMON STOCK       749660106        14      1300   SHARES                         X
RPM INCORPORATED OHIO                        COMMON STOCK       749685103       303     18300   SHARES           X
RPM INTL INC                                 COMMON STOCK       749685103        10       600   SHARES                 X
RPM INTL INC                                 COMMON STOCK       749685103       172     10375   SHARES                         X
RSA SECURITY INC COM                         COMMON STOCK       749719100        65      3450   SHARES                 X
RSA SECURITY INC COM                         COMMON STOCK       749719100       479     25475   SHARES                         X
RUBY TUESDAY                                 COMMON STOCK       781182100        58      1800   SHARES                 X
RUBY TUESDAY                                 COMMON STOCK       781182100        59      1850   SHARES                         X
Ruddick Corp.                                COMMON STOCK       781258108       526     26000   SHARES                 X
RUDOLPH TECHNOLOGIES INC                     COMMON STOCK       781270103       118      6300   SHARES                         X
Rudolph Technologies, Inc.                   COMMON STOCK       781270103       568     30300   SHARES                 X
RUSSELL CORPORATION                          COMMON STOCK       782352108       119      6500   SHARES                         X
Ryan's Family Steak Houses, Inc.             COMMON STOCK       783519101       567     33150   SHARES                 X
RYDER SYS INC COM                            COMMON STOCK       783549108        62      1610   SHARES                 X
RYDER SYS INC COM                            COMMON STOCK       783549108       188      4850   SHARES                         X
Ryder Systems, Inc.                          COMMON STOCK       783549108       972     25100   SHARES                 X
RYLAND GROUP INC                             COMMON STOCK       783764103       400      4500   SHARES                         X
Ryland Group, Inc.                           COMMON STOCK       783764103      1208     13600   SHARES                 X
S & T BANCORP INC                            COMMON STOCK       783859101        12       400   SHARES                         X
SABRE HOLDINGS CORPORATION COM               COMMON STOCK       785905100        12       467   SHARES                         X
SAFECO CORP COM                              COMMON STOCK       786429100       120      2790   SHARES                 X
SAFECO CORP COM                              COMMON STOCK       786429100       255      5915   SHARES                         X
SAFEGUARD SCIENTIFICS INC COM                COMMON STOCK       786449108         2       500   SHARES                 X
SAFEGUARD SCIENTIFICS INC COM                COMMON STOCK       786449108        19      5000   SHARES                         X
SAFENET INC                                  COMMON STOCK       78645R107        57      1525   SHARES                         X
SAFEWAY INC COM                              COMMON STOCK       786514208        92      4450   SHARES                 X
SAFEWAY INC COM                              COMMON STOCK       786514208       274     13325   SHARES                         X
SAKS INC COM                                 COMMON STOCK       79377W108         4       200   SHARES                 X
Salisbury Bancorp Inc.                       COMMON STOCK       795226109       221      5700   SHARES           X
SALIX PHARMACEUTICALS LTD                    COMMON STOCK       795435106       180      6200   SHARES                         X
Salton, Inc.                                 COMMON STOCK       795757103       260     27700   SHARES                 X
SAN JUAN BASIN ROYALTY TR                    COMMON STOCK       798241105        20      1000   SHARES                 X
SANDERS MORRIS HARRIS GROUP INC              COMMON STOCK       80000Q104        86      7200   SHARES                         X
SANDY SPRING BANCORP INC                     COMMON STOCK       800363103       411     11338   SHARES                 X
SANDY SPRING BANCORP INC                     COMMON STOCK       800363103       352      9700   SHARES                         X
SANMINASCI CORP                              COMMON STOCK       800907107       356     32272   SHARES                 X
SANMINASCI CORP                              COMMON STOCK       800907107       149     13510   SHARES                         X
Sanmina-SCI Corp.                            COMMON STOCK       800907107      2508    227800   SHARES                 X
SARA LEE CORP                                COMMON STOCK       803111103      1706     78022   SHARES                 X
SARA LEE CORP                                COMMON STOCK       803111103      2815    128780   SHARES                         X
Savient Pharmaceuticals, Inc.                COMMON STOCK       80517Q100       313     82800   SHARES                 X
SAVVIS COMMUNICATIONS CORP                   COMMON STOCK       805423100         0       100   SHARES                 X
Saxon Capital, Inc.                          COMMON STOCK       80556P302       423     14900   SHARES                 X
SBC COMMUNICATIONS INC COM                   COMMON STOCK       78387G103      7869    320658   SHARES                 X
SBC COMMUNICATIONS INC COM                   COMMON STOCK       78387G103      7141    290983   SHARES                         X
SBC COMMUNICATIONS INC COM                   COMMON STOCK       78387G103       814     33180   SHARES                 X
SBS TECHNOLOGIES INC COM                     COMMON STOCK       78387P103       217     14050   SHARES                         X
SCANA CORP NEW COM                           COMMON STOCK       80589M102       362     10252   SHARES                 X
SCANA CORP NEW COM                           COMMON STOCK       80589M102       829     23440   SHARES                         X
SCANSOFT INC                                 COMMON STOCK       80603P107       113     20300   SHARES                         X
SCHERING PLOUGH CORP                         COMMON STOCK       806605101      3682    227023   SHARES                 X
SCHERING PLOUGH CORP                         COMMON STOCK       806605101      2958    182375   SHARES                         X
SCHLUMBERGER LTD                             COMMON STOCK       806857108      3030     47465   SHARES                 X


Rohm & Haas Co.                                 3        29600      0        0
ROLLINS INCORPORATED                            1            0      0     2200
ROPER INDUSTRIES INC                            1            0      0     6100
ROSS STORES INC COM                             1            0      0     1100
ROSS STORES INC COM                             1         2200      0    24000
ROUSE CORP COM                                  1         6166      0        0
ROUSE CORP COM                                  1        19049      0     7070
ROWAN COS INC                                   1            0      0     3620
ROWE COMPANIES                                  2        43813      0        0
Roxio, Inc.                                     3        16700      0        0
ROYCE VALUE TRUST (CE)                          1        42415      0        0
RPC INC                                         1            0      0     1300
RPM INCORPORATED OHIO                           2        18300      0        0
RPM INTL INC                                    1          600      0        0
RPM INTL INC                                    1         3400      0     6975
RSA SECURITY INC COM                            1         3450      0        0
RSA SECURITY INC COM                            1            0      0    25475
RUBY TUESDAY                                    1         1800      0        0
RUBY TUESDAY                                    1            0      0     1850
Ruddick Corp.                                   3        26000      0        0
RUDOLPH TECHNOLOGIES INC                        1            0      0     6300
Rudolph Technologies, Inc.                      3        30300      0        0
RUSSELL CORPORATION                             1            0      0     6500
Ryan's Family Steak Houses, Inc.                3        33150      0        0
RYDER SYS INC COM                               1            0      0     1610
RYDER SYS INC COM                               1            0      0     4850
Ryder Systems, Inc.                             3        25100      0        0
RYLAND GROUP INC                                1            0      0     4500
Ryland Group, Inc.                              3        13600      0        0
S & T BANCORP INC                               1          400      0        0
SABRE HOLDINGS CORPORATION COM                  1          467      0        0
SAFECO CORP COM                                 1          490      0     2300
SAFECO CORP COM                                 1            0      0     5915
SAFEGUARD SCIENTIFICS INC COM                   1          500      0        0
SAFEGUARD SCIENTIFICS INC COM                   1            0      0     5000
SAFENET INC                                     1            0      0     1525
SAFEWAY INC COM                                 1         2250      0     2200
SAFEWAY INC COM                                 1         9325      0     4000
SAKS INC COM                                    1          200      0        0
Salisbury Bancorp Inc.                                    5700      0        0
SALIX PHARMACEUTICALS LTD                       1            0      0     6200
Salton, Inc.                                    3        27700      0        0
SAN JUAN BASIN ROYALTY TR                       1         1000      0        0
SANDERS MORRIS HARRIS GROUP INC                 1            0      0     7200
SANDY SPRING BANCORP INC                        1        11338      0        0
SANDY SPRING BANCORP INC                        1         5300      0     4400
SANMINASCI CORP                                 1        32272      0        0
SANMINASCI CORP                                 1            0      0    13510
Sanmina-SCI Corp.                               3       227800      0        0
SARA LEE CORP                                   1        77022      0     1000
SARA LEE CORP                                   1        76913      0    51867
Savient Pharmaceuticals, Inc.                   3        82800      0        0
SAVVIS COMMUNICATIONS CORP                      1          100      0        0
Saxon Capital, Inc.                             3        14900      0        0
SBC COMMUNICATIONS INC COM                      1       320508      0      150
SBC COMMUNICATIONS INC COM                      1       220415      0    70568
SBC COMMUNICATIONS INC COM                      3        33180      0        0
SBS TECHNOLOGIES INC COM                        1            0      0    14050
SCANA CORP NEW COM                              1        10252      0        0
SCANA CORP NEW COM                              1        14963      0     8477
SCANSOFT INC                                    1            0      0    20300
SCHERING PLOUGH CORP                            1       212813      0    14210
SCHERING PLOUGH CORP                            1        84904      0    97471
SCHLUMBERGER LTD                                3        47465      0        0

                                    41 OF 64                           5/14/2004




                                                                                                 
SCHOLASTIC CORP                              COMMON STOCK       807066105        11       400   SHARES                 X
SCHOLASTIC CORP                              COMMON STOCK       807066105        27      1000   SHARES                         X
SCHOOL SPECIALTY INC COM                     COMMON STOCK       807863105       139      3920   SHARES                         X
SCHWAB CHARLES CORP NEW COM                  COMMON STOCK       808513105       189     16286   SHARES                 X
SCIENTIFIC ATLANTA INC                       COMMON STOCK       808655104         3       100   SHARES                 X
SCIENTIFIC ATLANTA INC                       COMMON STOCK       808655104       158      4900   SHARES                         X
SCOTTS CO CL A                               COMMON STOCK       810186106       449      7000   SHARES                 X
SCOTTS CO CL A                               COMMON STOCK       810186106        71      1100   SHARES                         X
SCP POOL CORP COM                            COMMON STOCK       784028102        83      2225   SHARES                         X
SCRIPPS E W CO OHIO CL A                     COMMON STOCK       811054204       263      2600   SHARES                         X
SCS Transportation, Inc.                     COMMON STOCK       81111T102       102      4700   SHARES                 X
SEACHANGE INTL INC COM                       COMMON STOCK       811699107        14       910   SHARES                         X
SEACOR HOLDINGS INC                          COMMON STOCK       811904101       353      8600   SHARES                         X
SEAGATE TECHNOLOGY                           COMMON STOCK       G7945J104       150      9325   SHARES                         X
SEALED AIR CORP NEW COM                      COMMON STOCK       81211K100       144      2900   SHARES                 X
SEALED AIR CORP NEW COM                      COMMON STOCK       81211K100       361      7258   SHARES                         X
SEARS ROEBUCK & CO                           COMMON STOCK       812387108       405      9433   SHARES                 X
SEARS ROEBUCK & CO                           COMMON STOCK       812387108       542     12614   SHARES                         X
Secure Computing Corp.                       COMMON STOCK       813705100       229     14000   SHARES                 X
SEI CORP COM                                 COMMON STOCK       784117103         7       200   SHARES                 X
SEI CORP COM                                 COMMON STOCK       784117103       123      3740   SHARES                         X
SELECT MEDICAL CORP                          COMMON STOCK       816196109        53      3200   SHARES                 X
SELECT MEDICAL CORP                          COMMON STOCK       816196109       595     35600   SHARES                         X
SELECT SECTOR SPDR UTILITIES                 COMMON STOCK       81369Y886         9       350   SHARES                         X
SELECT SECTOR SPDRTECHNOLOGY                 COMMON STOCK       81369Y803         4       200   SHARES                 X
SELECT SECTOR SPDRTECHNOLOGY                 COMMON STOCK       81369Y803        24      1200   SHARES                         X
SELECTIVE INS GROUP INC                      COMMON STOCK       816300107       175      5000   SHARES                 X
SELECTIVE INS GROUP INC                      COMMON STOCK       816300107       117      3350   SHARES                         X
SEMITOOL INC                                 COMMON STOCK       816909105       128     10115   SHARES                         X
Sempra Energy                                COMMON STOCK       816851109      1428     44900   SHARES                 X
SEMPRA ENERGY COM                            COMMON STOCK       816851109       208      6541   SHARES                 X
SEMPRA ENERGY COM                            COMMON STOCK       816851109       360     11332   SHARES                         X
SEMTECH CORP COM                             COMMON STOCK       816850101       511     22400   SHARES                         X
SENIOR HOUSING PROPERTIES TR (REIT)          COMMON STOCK       81721M109         5       260   SHARES                         X
SENSIENT TECHNOLOGIES CORP COM               COMMON STOCK       81725T100       177      9500   SHARES                         X
SEQUA CORP CL A                              COMMON STOCK       817320104       198      4000   SHARES                         X
SEROLOGICALS CORP                            COMMON STOCK       817523103        37      1790   SHARES                 X
SEROLOGICALS CORP                            COMMON STOCK       817523103        70      3435   SHARES                         X
Service Corp. International                  COMMON STOCK       817565104       593     79400   SHARES                 X
SERVICE CORPORATION INTL                     COMMON STOCK       817565104       636     85100   SHARES                         X
SERVICEMASTER CO COM                         COMMON STOCK       81760N109       223     18600   SHARES                         X
SHAW GROUP INC COM                           COMMON STOCK       820280105       154     14200   SHARES                         X
SHERWIN WILLIAMS CO COM                      COMMON STOCK       824348106         4       100   SHARES                 X
SHERWIN WILLIAMS CO COM                      COMMON STOCK       824348106       242      6300   SHARES                         X
SHOE CARNIVAL INC                            COMMON STOCK       824889109        17      1100   SHARES                         X
Shopko Stores, Inc.                          COMMON STOCK       824911101       620     42400   SHARES                 X
SIEBEL SYSTEMS INC COM                       COMMON STOCK       826170102       183     15855   SHARES                 X
SIEBEL SYSTEMS INC COM                       COMMON STOCK       826170102        81      7030   SHARES                         X
SIERRA HEALTH SERVICES INC                   COMMON STOCK       826322109        58      1600   SHARES                         X
SIERRA PAC RES                               COMMON STOCK       826428104       382     51600   SHARES                         X
SIGMA ALDRICH CORP                           COMMON STOCK       826552101        66      1200   SHARES                         X
SIGMATRON INTERNATIONAL INC                  COMMON STOCK       82661L101        86      6919   SHARES                         X
SILGAN HOLDINGS INCORPORATED                 COMMON STOCK       827048109       275      6010   SHARES                         X
SILICON GRAPHICS INC COM                     COMMON STOCK       827056102         1       579   SHARES                 X
SILICON IMAGE INC COM                        COMMON STOCK       82705T102        27      2650   SHARES                         X
SILICON STORAGE TECH INC COM                 COMMON STOCK       827057100         9       700   SHARES                         X
Silicon Valley Bancshares                    COMMON STOCK       827064106       779     24000   SHARES                 X
SILICONIX INC                                COMMON STOCK       827079203         5       100   SHARES                 X
SIMON PROPERTY GROUP INC (REIT)              COMMON STOCK       828806109      1367     23395   SHARES                 X
SIMON PROPERTY GROUP INC (REIT)              COMMON STOCK       828806109      1690     28917   SHARES                         X
SIMON PROPERTY GROUP INCORPORATED            COMMON STOCK       828806109       763     13050   SHARES           X
SIMPSON MANUFACTURING COMPANY INC            COMMON STOCK       829073105        76      1550   SHARES                         X
SINCLAIR BROADCAST GROUP INC CL A            COMMON STOCK       829226109       124      9900   SHARES                         X
SIRENZA MICRODEVICES INCORPORATED            COMMON STOCK       82966T106         1       165   SHARES                         X


SCHOLASTIC CORP                                 1          400      0        0
SCHOLASTIC CORP                                 1            0      0     1000
SCHOOL SPECIALTY INC COM                        1            0      0     3920
SCHWAB CHARLES CORP NEW COM                     1        16286      0        0
SCIENTIFIC ATLANTA INC                          1          100      0        0
SCIENTIFIC ATLANTA INC                          1            0      0     4900
SCOTTS CO CL A                                  1         7000      0        0
SCOTTS CO CL A                                  1            0      0     1100
SCP POOL CORP COM                               1            0      0     2225
SCRIPPS E W CO OHIO CL A                        1            0      0     2600
SCS Transportation, Inc.                        3         4700      0        0
SEACHANGE INTL INC COM                          1          910      0        0
SEACOR HOLDINGS INC                             1            0      0     8600
SEAGATE TECHNOLOGY                              1         9325      0        0
SEALED AIR CORP NEW COM                         1         2400      0      500
SEALED AIR CORP NEW COM                         1            0      0     7258
SEARS ROEBUCK & CO                              1         9433      0        0
SEARS ROEBUCK & CO                              1         6414      0     6200
Secure Computing Corp.                          3        14000      0        0
SEI CORP COM                                    1          200      0        0
SEI CORP COM                                    1          390      0     3350
SELECT MEDICAL CORP                             1         3200      0        0
SELECT MEDICAL CORP                             1            0      0    35600
SELECT SECTOR SPDR UTILITIES                    1            0      0      350
SELECT SECTOR SPDRTECHNOLOGY                    1          200      0        0
SELECT SECTOR SPDRTECHNOLOGY                    1            0      0     1200
SELECTIVE INS GROUP INC                         1         5000      0        0
SELECTIVE INS GROUP INC                         1          500      0     2850
SEMITOOL INC                                    1            0      0    10115
Sempra Energy                                   3        44900      0        0
SEMPRA ENERGY COM                               1         6541      0        0
SEMPRA ENERGY COM                               1          532      0    10800
SEMTECH CORP COM                                1            0      0    22400
SENIOR HOUSING PROPERTIES TR (REIT)             1          160      0      100
SENSIENT TECHNOLOGIES CORP COM                  1            0      0     9500
SEQUA CORP CL A                                 1            0      0     4000
SEROLOGICALS CORP                               1            0      0     1790
SEROLOGICALS CORP                               1            0      0     3435
Service Corp. International                     3        79400      0        0
SERVICE CORPORATION INTL                        1            0      0    85100
SERVICEMASTER CO COM                            1         4100      0    14500
SHAW GROUP INC COM                              1            0      0    14200
SHERWIN WILLIAMS CO COM                         1          100      0        0
SHERWIN WILLIAMS CO COM                         1            0      0     6300
SHOE CARNIVAL INC                               1            0      0     1100
Shopko Stores, Inc.                             3        42400      0        0
SIEBEL SYSTEMS INC COM                          1        15355      0      500
SIEBEL SYSTEMS INC COM                          1            0      0     7030
SIERRA HEALTH SERVICES INC                      1            0      0     1600
SIERRA PAC RES                                  1            0      0    51600
SIGMA ALDRICH CORP                              1            0      0     1200
SIGMATRON INTERNATIONAL INC                     1            0      0     6919
SILGAN HOLDINGS INCORPORATED                    1            0      0     6010
SILICON GRAPHICS INC COM                        1          579      0        0
SILICON IMAGE INC COM                           1            0      0     2650
SILICON STORAGE TECH INC COM                    1            0      0      700
Silicon Valley Bancshares                       3        24000      0        0
SILICONIX INC                                   1          100      0        0
SIMON PROPERTY GROUP INC (REIT)                 1        23295      0      100
SIMON PROPERTY GROUP INC (REIT)                 1        19100      0     9817
SIMON PROPERTY GROUP INCORPORATED               2        13050      0        0
SIMPSON MANUFACTURING COMPANY INC               1            0      0     1550
SINCLAIR BROADCAST GROUP INC CL A               1            0      0     9900
SIRENZA MICRODEVICES INCORPORATED               1          165      0        0

                                    42 OF 64                           5/14/2004




                                                                                                 
SIRIUS SATELLITE RADIO INC COM               COMMON STOCK       82966U103        34      9950   SHARES                 X
SIRIUS SATELLITE RADIO INC COM               COMMON STOCK       82966U103        14      4001   SHARES                         X
Sitel Corp.                                  COMMON STOCK       82980K107       306    121800   SHARES                 X
SIX FLAGS INC COM                            COMMON STOCK       83001P109       152     19400   SHARES                         X
SIZELER PROPERTIES INVESTORS (REIT)          COMMON STOCK       830137105       129     11100   SHARES                         X
SKY FINANCIAL GROUP INC                      COMMON STOCK       83080P103       182      7000   SHARES                         X
Skyworks Solutions, Inc.                     COMMON STOCK       83088M102       705     60500   SHARES                 X
SKYWORKS SOLUTIONSINC                        COMMON STOCK       83088M102         8       708   SHARES                 X
SKYWORKS SOLUTIONSINC                        COMMON STOCK       83088M102       709     60768   SHARES                         X
SL GREEN REALTY CORP (REIT)                  COMMON STOCK       78440X101        24       500   SHARES                         X
SLM CORP COM                                 COMMON STOCK       78442P106        71      1700   SHARES                 X
SLM CORP COM                                 COMMON STOCK       78442P106       121      2900   SHARES                         X
SLM CORP.                                    COMMON STOCK       78442P106      5411    129292   SHARES           X
Smith International, Inc.                    COMMON STOCK       832110100      1985     37100   SHARES                 X
SMITH INTL INC                               COMMON STOCK       832110100      3493     65276   SHARES                 X
SMITH INTL INC                               COMMON STOCK       832110100       314      5860   SHARES                         X
SMITHFIELD FOODS INC                         COMMON STOCK       832248108        98      3600   SHARES                         X
SMURFIT STONE CONTAINER CORP COM             COMMON STOCK       832727101       165      9393   SHARES                 X
SMURFIT STONE CONTAINER CORP COM             COMMON STOCK       832727101       584     33200   SHARES                         X
Smurfit-Stone Container Corp.                COMMON STOCK       832727101      1031     58600   SHARES                 X
SNAP ON INC                                  COMMON STOCK       833034101       121      3730   SHARES                 X
SNAP ON INC                                  COMMON STOCK       833034101       385     11910   SHARES                         X
SOLA INTL INC                                COMMON STOCK       834092108       263     11300   SHARES                         X
SOLECTRON CORP                               COMMON STOCK       834182107      4697    849212   SHARES                 X
SOLECTRON CORP                               COMMON STOCK       834182107      3524    637324   SHARES                 X
SOLECTRON CORP                               COMMON STOCK       834182107       285     51525   SHARES                         X
SOLECTRON CORPORATION                        COMMON STOCK       834182107       271     49000   SHARES           X
SOMANETICS CORPORATION NEW                   COMMON STOCK       834445405        39      3000   SHARES                         X
SONIC AUTOMOTIVE INC COM                     COMMON STOCK       83545G102        32      1275   SHARES                         X
Sonic Automotive, Inc.                       COMMON STOCK       83545G102       336     13400   SHARES                 X
SONIC SOLUTIONS                              COMMON STOCK       835460106        31      1625   SHARES                         X
SONICWALL INC                                COMMON STOCK       835470105        48      5330   SHARES                 X
SONICWALL INC                                COMMON STOCK       835470105       298     33000   SHARES                         X
SONOCO PRODUCTS CO COM                       COMMON STOCK       835495102        49      2000   SHARES                 X
SONOCO PRODUCTS CO COM                       COMMON STOCK       835495102        29      1200   SHARES                         X
SOTHEBY'S HOLDINGSCL A                       COMMON STOCK       835898107       540     42000   SHARES                         X
SOUND FEDERAL BANCORP INC                    COMMON STOCK       83607V104        20      1383   SHARES                         X
SOURCE INTERLINK COMPANIES                   COMMON STOCK       836151209        83      6630   SHARES                         X
SOURCECORP, Inc.                             COMMON STOCK       836167106       800     30200   SHARES                 X
SOUTH FINANCIAL GROUP INCORPORATED           COMMON STOCK       837841105       136      4600   SHARES                         X
SOUTH JERSEY INDUSTRIES INC                  COMMON STOCK       838518108        20       483   SHARES                 X
SOUTH TRUST CORP COM                         COMMON STOCK       844730101       222      6700   SHARES                 X
SOUTH TRUST CORP COM                         COMMON STOCK       844730101        37      1130   SHARES                         X
SOUTHERN CO COM                              COMMON STOCK       842587107       907     29723   SHARES                 X
SOUTHERN CO COM                              COMMON STOCK       842587107       930     30486   SHARES                         X
SOUTHERN UNION CO NEW COM                    COMMON STOCK       844030106         9       476   SHARES                         X
SOUTHSIDE BANCSHARES INC                     COMMON STOCK       84470P109         4       221   SHARES                         X
SouthTrust Corp.                             COMMON STOCK       844730101      1512     45600   SHARES                 X
SOUTHWEST AIRLINES CO COM                    COMMON STOCK       844741108        58      4049   SHARES                 X
SOUTHWEST AIRLINES CO COM                    COMMON STOCK       844741108       464     32635   SHARES                         X
SOUTHWEST BANCORP OF TEXAS INC COM           COMMON STOCK       84476R109       453     12000   SHARES                         X
SOUTHWEST GAS CORP COM                       COMMON STOCK       844895102       140      6000   SHARES                         X
SOUTHWESTERN ENERGY COMPANY                  COMMON STOCK       845467109        37      1550   SHARES                         X
SOVEREIGN BANCORP INC COM                    COMMON STOCK       845905108       661     30860   SHARES                 X
SOVEREIGN BANCORP INC COM                    COMMON STOCK       845905108     18711    873521   SHARES                         X
SOVEREIGN BANCORP INCORPORATED               COMMON STOCK       845905108      1062     49600   SHARES           X
Sovereign Bancorp, Inc.                      COMMON STOCK       845905108         0         0   SHARES                 X
SPANISH BROADCASTING SYS CL A                COMMON STOCK       846425882        47      4540   SHARES                         X
SPARTECH CORP COM                            COMMON STOCK       847220209       443     17800   SHARES                         X
SPDR TRUST SERIES 1 S&P 500 INDEX FD         COMMON STOCK       78462F103      7711     68178   SHARES                 X
SPDR TRUST SERIES 1 S&P 500 INDEX FD         COMMON STOCK       78462F103       236      2084   SHARES                         X
SPEEDWAY MOTORSPORTS INCORPORATED            COMMON STOCK       847788106         3       100   SHARES                         X
SPHERION CORPORATION                         COMMON STOCK       848420105       178     17400   SHARES                         X
SPINNAKER EXPLORATION COMPANY                COMMON STOCK       84855W109       216      6025   SHARES                         X


SIRIUS SATELLITE RADIO INC COM                  1         9950      0        0
SIRIUS SATELLITE RADIO INC COM                  1         4001      0        0
Sitel Corp.                                     3       121800      0        0
SIX FLAGS INC COM                               1            0      0    19400
SIZELER PROPERTIES INVESTORS (REIT)             1            0      0    11100
SKY FINANCIAL GROUP INC                         1            0      0     7000
Skyworks Solutions, Inc.                        3        60500      0        0
SKYWORKS SOLUTIONSINC                           1          708      0        0
SKYWORKS SOLUTIONSINC                           1          768      0    60000
SL GREEN REALTY CORP (REIT)                     1            0      0      500
SLM CORP COM                                    1            0      0     1700
SLM CORP COM                                    1          400      0     2500
SLM CORP.                                       2       129292      0        0
Smith International, Inc.                       3        37100      0        0
SMITH INTL INC                                  1        65276      0        0
SMITH INTL INC                                  1         4700      0     1160
SMITHFIELD FOODS INC                            1         2000      0     1600
SMURFIT STONE CONTAINER CORP COM                1         9393      0        0
SMURFIT STONE CONTAINER CORP COM                1            0      0    33200
Smurfit-Stone Container Corp.                   3        58600      0        0
SNAP ON INC                                     1         3730      0        0
SNAP ON INC                                     1         9950      0     1960
SOLA INTL INC                                   1            0      0    11300
SOLECTRON CORP                                  3       849212      0        0
SOLECTRON CORP                                  1       636078      0     1246
SOLECTRON CORP                                  1        11945      0    39580
SOLECTRON CORPORATION                           2        49000      0        0
SOMANETICS CORPORATION NEW                      1         3000      0        0
SONIC AUTOMOTIVE INC COM                        1            0      0     1275
Sonic Automotive, Inc.                          3        13400      0        0
SONIC SOLUTIONS                                 1            0      0     1625
SONICWALL INC                                   1         1500      0     3830
SONICWALL INC                                   1            0      0    33000
SONOCO PRODUCTS CO COM                          1         2000      0        0
SONOCO PRODUCTS CO COM                          1         1200      0        0
SOTHEBY'S HOLDINGSCL A                          1            0      0    42000
SOUND FEDERAL BANCORP INC                       1            0      0     1383
SOURCE INTERLINK COMPANIES                      1            0      0     6630
SOURCECORP, Inc.                                3        30200      0        0
SOUTH FINANCIAL GROUP INCORPORATED              1            0      0     4600
SOUTH JERSEY INDUSTRIES INC                     1          483      0        0
SOUTH TRUST CORP COM                            1         6700      0        0
SOUTH TRUST CORP COM                            1         1130      0        0
SOUTHERN CO COM                                 1        28723      0     1000
SOUTHERN CO COM                                 1        22721      0     7765
SOUTHERN UNION CO NEW COM                       1          476      0        0
SOUTHSIDE BANCSHARES INC                        1            0      0      221
SouthTrust Corp.                                3        45600      0        0
SOUTHWEST AIRLINES CO COM                       1         4049      0        0
SOUTHWEST AIRLINES CO COM                       1        14000      0    18635
SOUTHWEST BANCORP OF TEXAS INC COM              1            0      0    12000
SOUTHWEST GAS CORP COM                          1         1000      0     5000
SOUTHWESTERN ENERGY COMPANY                     1            0      0     1550
SOVEREIGN BANCORP INC COM                       1        30860      0        0
SOVEREIGN BANCORP INC COM                       1       830227      0    43294
SOVEREIGN BANCORP INCORPORATED                  2        49600      0        0
Sovereign Bancorp, Inc.                         3            0      0        0
SPANISH BROADCASTING SYS CL A                   1            0      0     4540
SPARTECH CORP COM                               1            0      0    17800
SPDR TRUST SERIES 1 S&P 500 INDEX FD            1        68178      0        0
SPDR TRUST SERIES 1 S&P 500 INDEX FD            1         2084      0        0
SPEEDWAY MOTORSPORTS INCORPORATED               1          100      0        0
SPHERION CORPORATION                            1            0      0    17400
SPINNAKER EXPLORATION COMPANY                   1            0      0     6025

                                    43 OF 64                           5/14/2004




                                                                                                 
SPRINT CORP FON GROUP                        COMMON STOCK       852061100       565     30661   SHARES                 X
SPRINT CORP FON GROUP                        COMMON STOCK       852061100       925     50217   SHARES                         X
SPRINT CORP PCS GROUP                        COMMON STOCK       852061506       134     14555   SHARES                 X
SPRINT CORP PCS GROUP                        COMMON STOCK       852061506       135     14713   SHARES                         X
SPX CORP COM                                 COMMON STOCK       784635104      1076     23645   SHARES                 X
SPX CORP COM                                 COMMON STOCK       784635104      1563     34365   SHARES                 X
SPX CORP COM                                 COMMON STOCK       784635104       321      7050   SHARES                         X
SRA INTERNATIONAL INCORPORATED CL A          COMMON STOCK       78464R105       273      7400   SHARES                         X
ST JOE CO COM                                COMMON STOCK       790148100      5367    131900   SHARES                 X
ST JOE CO COM                                COMMON STOCK       790148100      3214     78991   SHARES                 X
ST JOE CO COM                                COMMON STOCK       790148100       955     23458   SHARES                         X
ST JUDE MEDICAL INC COM                      COMMON STOCK       790849103       314      4350   SHARES                 X
ST JUDE MEDICAL INC COM                      COMMON STOCK       790849103       928     12875   SHARES                         X
ST MARY LAND & EXPLORATION COMPANY           COMMON STOCK       792228108       134      4000   SHARES                 X
ST PAUL COMPANIES INC COM                    COMMON STOCK       792860108      6910    172702   SHARES                 X
ST PAUL COMPANIES INC COM                    COMMON STOCK       792860108      5268    131661   SHARES                 X
ST PAUL COMPANIES INC COM                    COMMON STOCK       792860108       899     22476   SHARES                         X
St. Jude Medical, Inc.                       COMMON STOCK       790849103      1601     22200   SHARES                 X
STAGE STORES INCORPORATED NEW                COMMON STOCK       85254C305        35       900   SHARES                         X
StanCorp Financial Group, Inc.               COMMON STOCK       852891100       927     14200   SHARES                 X
STANCORP FINL GROUP INC COM                  COMMON STOCK       852891100       232      3550   SHARES                         X
Standard Commercial Corp.                    COMMON STOCK       853258101       378     20400   SHARES                 X
STANDARD PACIFIC CORP NEW                    COMMON STOCK       85375C101        93      1550   SHARES                         X
STANDEX INTERNATIONAL CORPORATION            COMMON STOCK       854231107        18       670   SHARES                 X
STANLEY WORKS COM                            COMMON STOCK       854616109      1159     27150   SHARES                 X
STANLEY WORKS COM                            COMMON STOCK       854616109       563     13200   SHARES                         X
STAPLES INC COM                              COMMON STOCK       855030102      9203    362477   SHARES                 X
STAPLES INC COM                              COMMON STOCK       855030102      6429    253914   SHARES                 X
STAPLES INC COM                              COMMON STOCK       855030102      1133     44735   SHARES                         X
STAR GAS PARTNERS LP                         COMMON STOCK       85512C105        26      1000   SHARES                 X
STAR GAS PARTNERS LP                         COMMON STOCK       85512C105        26      1000   SHARES                         X
STARBUCKS CORP COM                           COMMON STOCK       855244109       376      9920   SHARES                 X
STARBUCKS CORP COM                           COMMON STOCK       855244109       974     25725   SHARES                         X
STARRETT L S COMPANY CLASS A                 COMMON STOCK       855668109         3       200   SHARES                 X
STARTEK INCORPORATED                         COMMON STOCK       85569C107        54      1475   SHARES                         X
STARWOOD HOTELS & RESORTS                    COMMON STOCK       85590A203         8       200   SHARES                 X
STARWOOD HOTELS & RESORTS                    COMMON STOCK       85590A203       290      7169   SHARES                         X
STATE STREET CORP                            COMMON STOCK       857477103      1667     31982   SHARES                 X
STATE STREET CORP                            COMMON STOCK       857477103      6587    126360   SHARES                         X
State Street Corp.                           COMMON STOCK       857477103      2148     41200   SHARES                 X
STATEN ISLAND BANCORP INC                    COMMON STOCK       857550107        50      2000   SHARES                         X
Staten Island Bancorp, Inc.                  COMMON STOCK       857550107      1174     47200   SHARES                 X
STATION CASINOS INC COM                      COMMON STOCK       857689103       168      3800   SHARES                         X
STEEL DYNAMICS INC                           COMMON STOCK       858119100        38      1550   SHARES                         X
Steel Dynamics, Inc.                         COMMON STOCK       858119100      1075     43400   SHARES                 X
Steel Technologies, Inc.                     COMMON STOCK       858147101       574     29700   SHARES                 X
STEELCASE INC CL A                           COMMON STOCK       858155203        13      1000   SHARES                         X
STERICYCLE INC COM                           COMMON STOCK       858912108        82      1700   SHARES                         X
STERIS CORP                                  COMMON STOCK       859152100        65      2500   SHARES                 X
STERIS CORP                                  COMMON STOCK       859152100       173      6700   SHARES                         X
STERLING BANCORP COM                         COMMON STOCK       859158107       236      8080   SHARES                         X
STERLING BANCSHARES                          COMMON STOCK       858907108         5       350   SHARES                         X
STERLING FINANCIAL CORP                      COMMON STOCK       859317109       874     33983   SHARES                 X
STERLING FINANCIAL CORP                      COMMON STOCK       859317109       205      7987   SHARES                         X
Sterling Financial Corp.                     COMMON STOCK       859319105       271      7350   SHARES                 X
STERLING FINANCIAL CORPORATION               COMMON STOCK       859319105        28       771   SHARES                         X
STEWART & STEVENSON SVCS COM                 COMMON STOCK       860342104       585     40000   SHARES                         X
STONE ENERGY CORP                            COMMON STOCK       861642106       123      2495   SHARES                         X
Stone Energy Corp.                           COMMON STOCK       861642106       960     19400   SHARES                 X
STORAGE TECHNOLOGY CORP                      COMMON STOCK       862111200         3       100   SHARES                 X
STORAGE TECHNOLOGY CORP                      COMMON STOCK       862111200       170      6100   SHARES                         X
Storage Technology Corp.                     COMMON STOCK       862111200       607     21800   SHARES                 X
Strayer Education, Inc.                      COMMON STOCK       863236105       912      7800   SHARES                 X
STRYKER CORP COM                             COMMON STOCK       863667101       538      6075   SHARES                 X


SPRINT CORP FON GROUP                           1        30661      0        0
SPRINT CORP FON GROUP                           1         9627      0    40590
SPRINT CORP PCS GROUP                           1        14555      0        0
SPRINT CORP PCS GROUP                           1         6113      0     8600
SPX CORP COM                                    3        23645      0        0
SPX CORP COM                                    1        33765      0      600
SPX CORP COM                                    1          400      0     6650
SRA INTERNATIONAL INCORPORATED CL A             1            0      0     7400
ST JOE CO COM                                   3       131900      0        0
ST JOE CO COM                                   1        78631      0      360
ST JOE CO COM                                   1        22258      0     1200
ST JUDE MEDICAL INC COM                         1         3850      0      500
ST JUDE MEDICAL INC COM                         1            0      0    12875
ST MARY LAND & EXPLORATION COMPANY              1            0      0     4000
ST PAUL COMPANIES INC COM                       3       172702      0        0
ST PAUL COMPANIES INC COM                       1       131508      0      153
ST PAUL COMPANIES INC COM                       1        17001      0     5475
St. Jude Medical, Inc.                          3        22200      0        0
STAGE STORES INCORPORATED NEW                   1            0      0      900
StanCorp Financial Group, Inc.                  3        14200      0        0
STANCORP FINL GROUP INC COM                     1            0      0     3550
Standard Commercial Corp.                       3        20400      0        0
STANDARD PACIFIC CORP NEW                       1          850      0      700
STANDEX INTERNATIONAL CORPORATION               1          670      0        0
STANLEY WORKS COM                               1        27150      0        0
STANLEY WORKS COM                               1         6400      0     6800
STAPLES INC COM                                 3       362477      0        0
STAPLES INC COM                                 1       252462      0     1452
STAPLES INC COM                                 1        22770      0    21965
STAR GAS PARTNERS LP                            1         1000      0        0
STAR GAS PARTNERS LP                            1         1000      0        0
STARBUCKS CORP COM                              1         9920      0        0
STARBUCKS CORP COM                              1         1200      0    24525
STARRETT L S COMPANY CLASS A                    1          200      0        0
STARTEK INCORPORATED                            1            0      0     1475
STARWOOD HOTELS & RESORTS                       1          200      0        0
STARWOOD HOTELS & RESORTS                       1          162      0     7007
STATE STREET CORP                               1        31032      0      950
STATE STREET CORP                               1        94000      0    32360
State Street Corp.                              3        41200      0        0
STATEN ISLAND BANCORP INC                       1            0      0     2000
Staten Island Bancorp, Inc.                     3        47200      0        0
STATION CASINOS INC COM                         1         3800      0        0
STEEL DYNAMICS INC                              1            0      0     1550
Steel Dynamics, Inc.                            3        43400      0        0
Steel Technologies, Inc.                        3        29700      0        0
STEELCASE INC CL A                              1            0      0     1000
STERICYCLE INC COM                              1            0      0     1700
STERIS CORP                                     1          500      0     2000
STERIS CORP                                     1            0      0     6700
STERLING BANCORP COM                            1            0      0     8080
STERLING BANCSHARES                             1            0      0      350
STERLING FINANCIAL CORP                         1        33983      0        0
STERLING FINANCIAL CORP                         1         3906      0     4081
Sterling Financial Corp.                        3         7350      0        0
STERLING FINANCIAL CORPORATION                  1            0      0      771
STEWART & STEVENSON SVCS COM                    1            0      0    40000
STONE ENERGY CORP                               1            0      0     2495
Stone Energy Corp.                              3        19400      0        0
STORAGE TECHNOLOGY CORP                         1          100      0        0
STORAGE TECHNOLOGY CORP                         1            0      0     6100
Storage Technology Corp.                        3        21800      0        0
Strayer Education, Inc.                         3         7800      0        0
STRYKER CORP COM                                1         6075      0        0

                                    44 OF 64                           5/14/2004




                                                                                                 
STRYKER CORP COM                             COMMON STOCK       863667101      1319     14900   SHARES                         X
STURM RUGER & CO INC COM                     COMMON STOCK       864159108        10       750   SHARES                 X
STURM RUGER & CO INC COM                     COMMON STOCK       864159108        14      1000   SHARES                         X
SUBURBAN PROPANE PARTNERS LP LIMITED         COMMON STOCK       864482104         8       250   SHARES                 X
SUBURBAN PROPANE PARTNERS LP LIMITED         COMMON STOCK       864482104        81      2400   SHARES                         X
SUFFOLK BANCORP                              COMMON STOCK       864739107         7       200   SHARES                         X
SUMMIT PROPERTIES INC (REIT)                 COMMON STOCK       866239106        12       500   SHARES                         X
SUN BANCORP INC COM                          COMMON STOCK       866634108       378     19374   SHARES                         X
SUN COMMUNITIES INC (REIT)                   COMMON STOCK       866674104       220      5144   SHARES                         X
SUN MICROSYSTEMS INC COM                     COMMON STOCK       866810104       243     58165   SHARES                 X
SUN MICROSYSTEMS INC COM                     COMMON STOCK       866810104       192     45999   SHARES                         X
SUN MICROSYSTEMS INCORPORATED                COMMON STOCK       866810104       138     33100   SHARES           X
SUNGARD DATA SYS INC                         COMMON STOCK       867363103        58      2100   SHARES                 X
SUNGARD DATA SYS INC                         COMMON STOCK       867363103      1308     47751   SHARES                         X
SUNOCO INC COM                               COMMON STOCK       86764P109        86      1381   SHARES                 X
SUNOCO INC COM                               COMMON STOCK       86764P109       299      4800   SHARES                         X
SUNOCO LOGISTICS PARTNERS LP                 COMMON STOCK       86764L108        20       500   SHARES                 X
SUNRISE SENIOR LIVING INC                    COMMON STOCK       86768K106         5       150   SHARES                 X
SUNRISE SENIOR LIVING INC                    COMMON STOCK       86768K106        99      2750   SHARES                         X
Sunrise Senior Living, Inc.                  COMMON STOCK       86768K106       402     11200   SHARES                 X
SUNTERRA CORPORATION                         COMMON STOCK       86787D208        21      1550   SHARES                         X
SUNTRUST BKS INC COM                         COMMON STOCK       867914103       577      8281   SHARES                 X
SUNTRUST BKS INC COM                         COMMON STOCK       867914103      5241     75182   SHARES                         X
SUPERIOR ENERGY SERVICES INC COM             COMMON STOCK       868157108       137     13550   SHARES                         X
SUPERIOR IND INTL INC COM                    COMMON STOCK       868168105       163      4600   SHARES                         X
SUPERVALU INC                                COMMON STOCK       868536103        73      2400   SHARES                 X
SUPERVALU INC                                COMMON STOCK       868536103       299      9800   SHARES                         X
SUPREME INDUSTRIES INC CLASS A               COMMON STOCK       868607102       318     45892   SHARES                         X
SUSQUEHANNA BANCSHARES INC PA COM            COMMON STOCK       869099101      1980     77084   SHARES                 X
SUSQUEHANNA BANCSHARES INC PA COM            COMMON STOCK       869099101       120      4675   SHARES                         X
Swift Energy Co.                             COMMON STOCK       870738101       466     24700   SHARES                 X
SWIFT ENERGY COMPANY                         COMMON STOCK       870738101       217     11500   SHARES                         X
SYBASE INC COM                               COMMON STOCK       871130100       332     15800   SHARES                         X
Sybase, Inc.                                 COMMON STOCK       871130100       842     40100   SHARES                 X
SYCAMORE NETWORKS INC COM                    COMMON STOCK       871206108         6      1500   SHARES                         X
SYLVAN LEARNING SYSTEMS INC COM              COMMON STOCK       871399101        19       550   SHARES                 X
SYLVAN LEARNING SYSTEMS INC COM              COMMON STOCK       871399101       232      6600   SHARES                         X
SYMANTEC CORP COM                            COMMON STOCK       871503108       910     19664   SHARES                 X
SYMANTEC CORP COM                            COMMON STOCK       871503108      1276     27560   SHARES                         X
Symantec Corp.                               COMMON STOCK       871503108      1195     25800   SHARES                 X
SYMBOL TECHNOLOGIES INC                      COMMON STOCK       871508107      7501    543538   SHARES                 X
SYMBOL TECHNOLOGIES INC                      COMMON STOCK       871508107      5447    394689   SHARES                 X
SYMBOL TECHNOLOGIES INC                      COMMON STOCK       871508107       423     30665   SHARES                         X
SYMYX TECHNOLOGIES INC COM                   COMMON STOCK       87155S108       103      3600   SHARES                         X
Symyx Technologies, Inc.                     COMMON STOCK       87155S108       831     29000   SHARES                 X
SYNAPTICS INCORPORATED                       COMMON STOCK       87157D109        19      1090   SHARES                         X
SYNOPSYS INC COM                             COMMON STOCK       871607107        17       600   SHARES                 X
SYNOVIS LIFE TECHNOLOGIES INC                COMMON STOCK       87162G105        43      3000   SHARES                         X
SYNOVUS FINL CORP COM                        COMMON STOCK       87161C105        90      3700   SHARES                         X
SYSCO CORP                                   COMMON STOCK       871829107      3489     89335   SHARES                 X
SYSCO CORP                                   COMMON STOCK       871829107     14617    374315   SHARES                         X
TALBOTS INC                                  COMMON STOCK       874161102       147      4100   SHARES                         X
TALK America Holdings, Inc.                  COMMON STOCK       87426R202       564     66600   SHARES                 X
TANGER FACTORY OUTLET CENTERS INC            COMMON STOCK       875465106         5       100   SHARES                         X
TARGET CORP                                  COMMON STOCK       87612E106       558     12400   SHARES           X
TARGET CORP COM                              COMMON STOCK       87612E106      5707    126713   SHARES                 X
TARGET CORP COM                              COMMON STOCK       87612E106      3230     71713   SHARES                         X
TARGETED GENETICS CORP                       COMMON STOCK       87612M108         2      1000   SHARES                 X
TASTY BAKING CO WITH RIGHTS 07/29/13         COMMON STOCK       876553306         6       625   SHARES                         X
TAUBMAN CTRS INC                             COMMON STOCK       876664103       163      6473   SHARES                         X
TCF FINL CORP COM                            COMMON STOCK       872275102         6       125   SHARES                         X
TECH DATA CORP COM                           COMMON STOCK       878237106        86      2100   SHARES                         X
TECHNE CORP                                  COMMON STOCK       878377100       494     12100   SHARES                 X
TECHNE CORP                                  COMMON STOCK       878377100        75      1850   SHARES                         X


STRYKER CORP COM                                1         1500      0    13400
STURM RUGER & CO INC COM                        1          750      0        0
STURM RUGER & CO INC COM                        1         1000      0        0
SUBURBAN PROPANE PARTNERS LP LIMITED            1          250      0        0
SUBURBAN PROPANE PARTNERS LP LIMITED            1         1900      0      500
SUFFOLK BANCORP                                 1            0      0      200
SUMMIT PROPERTIES INC (REIT)                    1          500      0        0
SUN BANCORP INC COM                             1        19174      0      200
SUN COMMUNITIES INC (REIT)                      1            0      0     5144
SUN MICROSYSTEMS INC COM                        1        58165      0        0
SUN MICROSYSTEMS INC COM                        1        39699      0     6300
SUN MICROSYSTEMS INCORPORATED                   2        33100      0        0
SUNGARD DATA SYS INC                            1         2100      0        0
SUNGARD DATA SYS INC                            1         3846      0    43905
SUNOCO INC COM                                  1         1381      0        0
SUNOCO INC COM                                  1            0      0     4800
SUNOCO LOGISTICS PARTNERS LP                    1          500      0        0
SUNRISE SENIOR LIVING INC                       1          150      0        0
SUNRISE SENIOR LIVING INC                       1          550      0     2200
Sunrise Senior Living, Inc.                     3        11200      0        0
SUNTERRA CORPORATION                            1            0      0     1550
SUNTRUST BKS INC COM                            1         7931      0      350
SUNTRUST BKS INC COM                            1        53632      0    21550
SUPERIOR ENERGY SERVICES INC COM                1            0      0    13550
SUPERIOR IND INTL INC COM                       1            0      0     4600
SUPERVALU INC                                   1         2400      0        0
SUPERVALU INC                                   1            0      0     9800
SUPREME INDUSTRIES INC CLASS A                  1        45892      0        0
SUSQUEHANNA BANCSHARES INC PA COM               1        77084      0        0
SUSQUEHANNA BANCSHARES INC PA COM               1         1500      0     3175
Swift Energy Co.                                3        24700      0        0
SWIFT ENERGY COMPANY                            1         5000      0     6500
SYBASE INC COM                                  1            0      0    15800
Sybase, Inc.                                    3        40100      0        0
SYCAMORE NETWORKS INC COM                       1            0      0     1500
SYLVAN LEARNING SYSTEMS INC COM                 1          550      0        0
SYLVAN LEARNING SYSTEMS INC COM                 1            0      0     6600
SYMANTEC CORP COM                               1        19664      0        0
SYMANTEC CORP COM                               1         2700      0    24860
Symantec Corp.                                  3        25800      0        0
SYMBOL TECHNOLOGIES INC                         3       543538      0        0
SYMBOL TECHNOLOGIES INC                         1       392969      0     1720
SYMBOL TECHNOLOGIES INC                         1        26865      0     3800
SYMYX TECHNOLOGIES INC COM                      1            0      0     3600
Symyx Technologies, Inc.                        3        29000      0        0
SYNAPTICS INCORPORATED                          1            0      0     1090
SYNOPSYS INC COM                                1          600      0        0
SYNOVIS LIFE TECHNOLOGIES INC                   1            0      0     3000
SYNOVUS FINL CORP COM                           1          800      0     2900
SYSCO CORP                                      1        88235      0     1100
SYSCO CORP                                      1       329260      0    45055
TALBOTS INC                                     1            0      0     4100
TALK America Holdings, Inc.                     3        66600      0        0
TANGER FACTORY OUTLET CENTERS INC               1          100      0        0
TARGET CORP                                     2        12400      0        0
TARGET CORP COM                                 1       126713      0        0
TARGET CORP COM                                 1        33899      0    37814
TARGETED GENETICS CORP                          1         1000      0        0
TASTY BAKING CO WITH RIGHTS 07/29/13            1          625      0        0
TAUBMAN CTRS INC                                1            0      0     6473
TCF FINL CORP COM                               1          125      0        0
TECH DATA CORP COM                              1          600      0     1500
TECHNE CORP                                     1          100      0    12000
TECHNE CORP                                     1            0      0     1850

                                    45 OF 64                           5/14/2004




                                                                                                 
TECHNITROL INC                               COMMON STOCK       878555101       130      6900   SHARES                         X
TECO ENERGY INC                              COMMON STOCK       872375100       532     36331   SHARES                 X
TECO ENERGY INC                              COMMON STOCK       872375100       749     51211   SHARES                         X
TEKELEC COM                                  COMMON STOCK       879101103        13       800   SHARES                         X
TELEDYNE TECHNOLOGIES INC COM                COMMON STOCK       879360105         5       275   SHARES                 X
TELEDYNE TECHNOLOGIES INC COM                COMMON STOCK       879360105       105      5600   SHARES                         X
TELEFLEX INC COM                             COMMON STOCK       879369106        66      1350   SHARES                 X
TELEFLEX INC COM                             COMMON STOCK       879369106       775     15750   SHARES                         X
TELEPHONE & DATA SYS INC COM                 COMMON STOCK       879433100       213      3000   SHARES                         X
TELIK INC COM                                COMMON STOCK       87959M109        42      1550   SHARES                         X
Telik, Inc.                                  COMMON STOCK       87959M109       894     33300   SHARES                 X
TELLABS INC COM                              COMMON STOCK       879664100       184     21280   SHARES                         X
TEMPLE INLAND INC                            COMMON STOCK       879868107        11       170   SHARES                 X
TEMPLE INLAND INC                            COMMON STOCK       879868107        67      1050   SHARES                         X
TENET HEALTHCARE CORP                        COMMON STOCK       88033G100        30      2687   SHARES                 X
TENET HEALTHCARE CORP                        COMMON STOCK       88033G100        59      5250   SHARES                         X
TENNECO AUTOMOTIVE INC                       COMMON STOCK       880349105         1       100   SHARES                 X
TEPPCO PARTNERS LIMITED PARTNERSHIP          COMMON STOCK       872384102       825     19650   SHARES           X
TEPPCO PARTNERS LTD PARTNERS                 COMMON STOCK       872384102       122      2900   SHARES                 X
TEPPCO PARTNERS LTD PARTNERS                 COMMON STOCK       872384102       424     10100   SHARES                         X
TERADYNE INC                                 COMMON STOCK       880770102       216      9057   SHARES                         X
TERAYON COMMUNICATION SYS INC COM            COMMON STOCK       880775101         0        44   SHARES                 X
TEREX CORP                                   COMMON STOCK       880779103        51      1370   SHARES                 X
TEREX CORP                                   COMMON STOCK       880779103       805     21770   SHARES                         X
TESCO CORP                                   COMMON STOCK       88157K101        10      1300   SHARES                         X
TESORO PETE CORP COM                         COMMON STOCK       881609101       389     20700   SHARES                         X
Tesoro Petroleum Corp.                       COMMON STOCK       881609101      1227     65300   SHARES                 X
TESSERA TECHNOLOGIES INC                     COMMON STOCK       88164L100        22      1225   SHARES                         X
TETRA TECH INC                               COMMON STOCK       88162G103        52      2440   SHARES                 X
TETRA TECH INC                               COMMON STOCK       88162G103       615     28675   SHARES                         X
TEXAS CAPITAL BANCSHARES INC                 COMMON STOCK       88224Q107        38      2320   SHARES                 X
TEXAS GENCO HOLDINGS INC                     COMMON STOCK       882443104         2        44   SHARES                 X
TEXAS GENCO HOLDINGS INC                     COMMON STOCK       882443104         6       160   SHARES                         X
TEXAS INSTRUMENTS INC                        COMMON STOCK       882508104       928     31756   SHARES                 X
TEXAS INSTRUMENTS INC                        COMMON STOCK       882508104      6859    234747   SHARES                 X
TEXAS INSTRUMENTS INC                        COMMON STOCK       882508104      4306    147360   SHARES                         X
TEXAS INSTRUMENTS INCORPORATED               COMMON STOCK       882508104      2587     88550   SHARES           X
TEXTRON INC COM                              COMMON STOCK       883203101       333      6268   SHARES                 X
TEXTRON INC COM                              COMMON STOCK       883203101       377      7100   SHARES                         X
TF FINANCIAL CORP                            COMMON STOCK       872391107       158      5000   SHARES                 X
THE COOPER COMPANIES INC                     COMMON STOCK       216648402        50       930   SHARES                 X
THE COOPER COMPANIES INC                     COMMON STOCK       216648402       189      3500   SHARES                         X
THE GYMBOREE CORPORATION                     COMMON STOCK       403777105       153      9150   SHARES                         X
THE MACERICH COMPANY (REIT)                  COMMON STOCK       554382101        19       360   SHARES                 X
THE MACERICH COMPANY (REIT)                  COMMON STOCK       554382101        86      1600   SHARES                         X
THE MEDICINES COMPANY                        COMMON STOCK       584688105       116      3600   SHARES                 X
THE MEDICINES COMPANY                        COMMON STOCK       584688105       278      8635   SHARES                         X
THE NAVIGATORS GROUP INC                     COMMON STOCK       638904102       250      8700   SHARES                         X
THE PEP BOYS MANNY, MOE & JACK               COMMON STOCK       713278109        47      1690   SHARES                 X
THE PMI GROUP INC                            COMMON STOCK       69344M101       134      3600   SHARES                 X
THE PMI GROUP INC                            COMMON STOCK       69344M101      1289     34490   SHARES                         X
THE SPORTS AUTHORITY INC                     COMMON STOCK       84917U109        45      1130   SHARES                 X
THE ULTIMATE SOFTWARE GROUP INC              COMMON STOCK       90385D107        23      1675   SHARES                         X
THE WARNACO GROUP INC                        COMMON STOCK       934390402       444     22100   SHARES                         X
THERMO ELECTRON CORP COM                     COMMON STOCK       883556102         3       113   SHARES                 X
THERMO ELECTRON CORP COM                     COMMON STOCK       883556102       588     20800   SHARES                         X
THERMOGENESIS CORPORATION                    COMMON STOCK       883623209        11      2700   SHARES                         X
Third Wave Technologies, Inc.                COMMON STOCK       88428W108       484    104900   SHARES                 X
THOMAS & BETTS CORP                          COMMON STOCK       884315102        65      3000   SHARES                         X
THORATEC CORP                                COMMON STOCK       885175307        27      2200   SHARES                         X
THORNBURG MTG INC (REIT)                     COMMON STOCK       885218107       166      5350   SHARES                 X
THORNBURG MTG INC (REIT)                     COMMON STOCK       885218107        37      1200   SHARES                         X
THQ INC COM NEW                              COMMON STOCK       872443403        35      1750   SHARES                         X
TIFFANY & CO                                 COMMON STOCK       886547108       105      2759   SHARES                 X


TECHNITROL INC                                  1            0      0     6900
TECO ENERGY INC                                 1        36331      0        0
TECO ENERGY INC                                 1        43461      0     7750
TEKELEC COM                                     1          800      0        0
TELEDYNE TECHNOLOGIES INC COM                   1          275      0        0
TELEDYNE TECHNOLOGIES INC COM                   1            0      0     5600
TELEFLEX INC COM                                1            0      0     1350
TELEFLEX INC COM                                1            0      0    15750
TELEPHONE & DATA SYS INC COM                    1            0      0     3000
TELIK INC COM                                   1            0      0     1550
Telik, Inc.                                     3        33300      0        0
TELLABS INC COM                                 1            0      0    21280
TEMPLE INLAND INC                               1          170      0        0
TEMPLE INLAND INC                               1            0      0     1050
TENET HEALTHCARE CORP                           1         2687      0        0
TENET HEALTHCARE CORP                           1         5250      0        0
TENNECO AUTOMOTIVE INC                          1            0      0      100
TEPPCO PARTNERS LIMITED PARTNERSHIP             2        19650      0        0
TEPPCO PARTNERS LTD PARTNERS                    1         2900      0        0
TEPPCO PARTNERS LTD PARTNERS                    1         4000      0     6100
TERADYNE INC                                    1            0      0     9057
TERAYON COMMUNICATION SYS INC COM               1           44      0        0
TEREX CORP                                      1            0      0     1370
TEREX CORP                                      1            0      0    21770
TESCO CORP                                      1            0      0     1300
TESORO PETE CORP COM                            1            0      0    20700
Tesoro Petroleum Corp.                          3        65300      0        0
TESSERA TECHNOLOGIES INC                        1            0      0     1225
TETRA TECH INC                                  1            0      0     2440
TETRA TECH INC                                  1            0      0    28675
TEXAS CAPITAL BANCSHARES INC                    1            0      0     2320
TEXAS GENCO HOLDINGS INC                        1           44      0        0
TEXAS GENCO HOLDINGS INC                        1          160      0        0
TEXAS INSTRUMENTS INC                           3        31756      0        0
TEXAS INSTRUMENTS INC                           1       234447      0      300
TEXAS INSTRUMENTS INC                           1        96889      0    50471
TEXAS INSTRUMENTS INCORPORATED                  2        88550      0        0
TEXTRON INC COM                                 1         6268      0        0
TEXTRON INC COM                                 1          100      0     7000
TF FINANCIAL CORP                               1         5000      0        0
THE COOPER COMPANIES INC                        1            0      0      930
THE COOPER COMPANIES INC                        1            0      0     3500
THE GYMBOREE CORPORATION                        1            0      0     9150
THE MACERICH COMPANY (REIT)                     1          360      0        0
THE MACERICH COMPANY (REIT)                     1            0      0     1600
THE MEDICINES COMPANY                           1         3600      0        0
THE MEDICINES COMPANY                           1            0      0     8635
THE NAVIGATORS GROUP INC                        1            0      0     8700
THE PEP BOYS MANNY, MOE & JACK                  1            0      0     1690
THE PMI GROUP INC                               1         3600      0        0
THE PMI GROUP INC                               1            0      0    34490
THE SPORTS AUTHORITY INC                        1            0      0     1130
THE ULTIMATE SOFTWARE GROUP INC                 1            0      0     1675
THE WARNACO GROUP INC                           1            0      0    22100
THERMO ELECTRON CORP COM                        1          113      0        0
THERMO ELECTRON CORP COM                        1         1100      0    19700
THERMOGENESIS CORPORATION                       1            0      0     2700
Third Wave Technologies, Inc.                   3       104900      0        0
THOMAS & BETTS CORP                             1            0      0     3000
THORATEC CORP                                   1            0      0     2200
THORNBURG MTG INC (REIT)                        1         5350      0        0
THORNBURG MTG INC (REIT)                        1          200      0     1000
THQ INC COM NEW                                 1            0      0     1750
TIFFANY & CO                                    1         2759      0        0

                                    46 OF 64                           5/14/2004




                                                                                                 
TIFFANY & CO                                 COMMON STOCK       886547108       298      7800   SHARES                         X
Tiffany & Co.                                COMMON STOCK       886547108       481     12600   SHARES                 X
TIMBERLAND BANCORP INC COM                   COMMON STOCK       887098101        23      1000   SHARES                         X
TIME WARNER INC                              COMMON STOCK       887317105      1369     81237   SHARES                 X
TIME WARNER INC                              COMMON STOCK       887317105       689     40875   SHARES           X
TIME WARNER INC                              COMMON STOCK       887317105      3183    188785   SHARES                 X
TIME WARNER INC                              COMMON STOCK       887317105      3226    191328   SHARES                         X
TIMKEN CO COM                                COMMON STOCK       887389104        87      3740   SHARES                         X
Timken Co.                                   COMMON STOCK       887389104       820     35300   SHARES                 X
TIVO INC                                     COMMON STOCK       888706108         9      1000   SHARES                 X
TIVO INC                                     COMMON STOCK       888706108        44      5000   SHARES                         X
TJX COMPANIES COM                            COMMON STOCK       872540109       189      7700   SHARES                 X
TJX COMPANIES COM                            COMMON STOCK       872540109      1050     42753   SHARES                         X
TODCOCLASS A                                 COMMON STOCK       88889T107        35      2400   SHARES                         X
TOLL BROS INC                                COMMON STOCK       889478103     10524    231660   SHARES                 X
TOLL BROS INC                                COMMON STOCK       889478103      7321    161144   SHARES                 X
TOLL BROS INC                                COMMON STOCK       889478103       832     18310   SHARES                         X
TOLLGRADE COMMUNICATIONS INC COM             COMMON STOCK       889542106        64      4000   SHARES                         X
TOMPKINS TRUSTCO INC                         COMMON STOCK       890110109        55      1200   SHARES                 X
TOMPKINS TRUSTCO INC                         COMMON STOCK       890110109        13       294   SHARES                         X
TOO INC                                      COMMON STOCK       890333107        32      1550   SHARES                         X
TOOTSIE ROLL INDUSTRIES                      COMMON STOCK       890516107        74      2021   SHARES                 X
TOR MINERALS INTERNATIONAL INC               COMMON STOCK       890878101         6       950   SHARES                         X
TORCHMARK CORP COM                           COMMON STOCK       891027104       341      6335   SHARES                 X
TORCHMARK CORP COM                           COMMON STOCK       891027104       129      2400   SHARES                         X
TORO CO COM                                  COMMON STOCK       891092108       110      1780   SHARES                 X
TOTAL ENTERTAINMENT RESTAURANT CORP          COMMON STOCK       89150E100        63      4550   SHARES                         X
TOYS R US HOLDING CO                         COMMON STOCK       892335100       100      5950   SHARES                         X
TRACTOR SUPPLY COMPANY                       COMMON STOCK       892356106       172      4440   SHARES                 X
TRADESTATION GROUP INC                       COMMON STOCK       89267P105        11      1600   SHARES                         X
TRANSACT TECHNOLOGIES INC COM                COMMON STOCK       892918103        39      1005   SHARES                 X
TRANSACTION SYS ARCHITECTS INC CL A          COMMON STOCK       893416107       252     10900   SHARES                         X
Transaction Systems Architects, Inc.,
Class A                                      COMMON STOCK       893416107       849     36700   SHARES                 X
TRANSATLANTIC HLDGS INC                      COMMON STOCK       893521104       485      5557   SHARES                 X
Transgenomic, Inc.                           COMMON STOCK       89365K206       113     57800   SHARES                 X
TRANSMETA CORP COM                           COMMON STOCK       89376R109        37      9250   SHARES                         X
TRANSOCEAN INC                               COMMON STOCK       G90078109       957     34297   SHARES                 X
TRANSOCEAN INC                               COMMON STOCK       G90078109       587     21040   SHARES                         X
TRANSOCEAN INC                               COMMON STOCK       G90078109       947     33955   SHARES                 X
TRAVELERS PROPERTY CASUALTY CORP A           COMMON STOCK       89420G109        49      2869   SHARES                 X
TRAVELERS PROPERTY CASUALTY CORP A           COMMON STOCK       89420G109       383     22319   SHARES                         X
TRAVELERS PROPERTY CASUALTY CORP B           COMMON STOCK       89420G406       174     10074   SHARES                 X
TRAVELERS PROPERTY CASUALTY CORP B           COMMON STOCK       89420G406       314     18209   SHARES                         X
TREDEGAR CORP                                COMMON STOCK       894650100        62      4212   SHARES                 X
TREX COMPANY INC                             COMMON STOCK       89531P105        39      1155   SHARES                         X
TRIAD HOSPITALS INC                          COMMON STOCK       89579K109       107      3485   SHARES                 X
TRIAD HOSPITALS INC                          COMMON STOCK       89579K109       218      7060   SHARES                         X
Triad Hospitals, Inc.                        COMMON STOCK       89579K109       669     21700   SHARES                 X
TRIBUNE CO NEW COM                           COMMON STOCK       896047107        37       740   SHARES                 X
TRIBUNE CO NEW COM                           COMMON STOCK       896047107       285      5652   SHARES                         X
TRIBUNE COMPANY NEW                          COMMON STOCK       896047107      1522     30170   SHARES           X
TRIDENT MICROSYSTEMS INC                     COMMON STOCK       895919108        94      5900   SHARES                         X
Trident Microsystems, Inc.                   COMMON STOCK       895919108        54      3400   SHARES                 X
TRIMBLE NAV LTD COM                          COMMON STOCK       896239100        50      2165   SHARES                 X
TRIMBLE NAV LTD COM                          COMMON STOCK       896239100       841     36610   SHARES                         X
TRINITY INDUSTRIES INC                       COMMON STOCK       896522109       100      3600   SHARES                 X
TRINITY INDUSTRIES INC                       COMMON STOCK       896522109        79      2850   SHARES                         X
TRIPATH IMAGING INC COM                      COMMON STOCK       896942109        37      4050   SHARES                         X
TRIPATH TECHNOLOGY INCORPORATED              COMMON STOCK       89672P104        15      3600   SHARES                         X
TRIQUINT SEMICONDUCTOR INC COM               COMMON STOCK       89674K103        14      1900   SHARES                         X
Triquint Semiconductor, Inc.                 COMMON STOCK       89674K103       380     52100   SHARES                 X
TRIZEC PROPERTIES INC (REITS)                COMMON STOCK       89687P107        70      4100   SHARES                         X
TriZetto Group, Inc.                         COMMON STOCK       896882107       200     25800   SHARES                 X
TROY GROUP INC                               COMMON STOCK       89733N106        91     30550   SHARES                         X


TIFFANY & CO                                    1            0      0     7800
Tiffany & Co.                                   3        12600      0        0
TIMBERLAND BANCORP INC COM                      1            0      0     1000
TIME WARNER INC                                 3        81237      0        0
TIME WARNER INC                                 2        40875      0        0
TIME WARNER INC                                 1       186735      0     2050
TIME WARNER INC                                 1        66598      0   124730
TIMKEN CO COM                                   1         1140      0     2600
Timken Co.                                      3        35300      0        0
TIVO INC                                        1         1000      0        0
TIVO INC                                        1            0      0     5000
TJX COMPANIES COM                               1         1700      0     6000
TJX COMPANIES COM                               1            0      0    42753
TODCOCLASS A                                    1            0      0     2400
TOLL BROS INC                                   3       231660      0        0
TOLL BROS INC                                   1       160659      0      485
TOLL BROS INC                                   1        17660      0      650
TOLLGRADE COMMUNICATIONS INC COM                1            0      0     4000
TOMPKINS TRUSTCO INC                            1         1200      0        0
TOMPKINS TRUSTCO INC                            1          110      0      184
TOO INC                                         1            0      0     1550
TOOTSIE ROLL INDUSTRIES                         1         2021      0        0
TOR MINERALS INTERNATIONAL INC                  1            0      0      950
TORCHMARK CORP COM                              1            0      0     6335
TORCHMARK CORP COM                              1         1500      0      900
TORO CO COM                                     1          800      0      980
TOTAL ENTERTAINMENT RESTAURANT CORP             1            0      0     4550
TOYS R US HOLDING CO                            1         5950      0        0
TRACTOR SUPPLY COMPANY                          1            0      0     4440
TRADESTATION GROUP INC                          1            0      0     1600
TRANSACT TECHNOLOGIES INC COM                   1         1005      0        0
TRANSACTION SYS ARCHITECTS INC CL A             1            0      0    10900
Transaction Systems Architects, Inc.,
Class A                                         3        36700      0        0
TRANSATLANTIC HLDGS INC                         1            0      0     5557
Transgenomic, Inc.                              3        57800      0        0
TRANSMETA CORP COM                              1            0      0     9250
TRANSOCEAN INC                                  1        34297      0        0
TRANSOCEAN INC                                  1         2865      0    18175
TRANSOCEAN INC                                  3        33955      0        0
TRAVELERS PROPERTY CASUALTY CORP A              1         2790      0       79
TRAVELERS PROPERTY CASUALTY CORP A              1         4521      0    17798
TRAVELERS PROPERTY CASUALTY CORP B              1         9912      0      162
TRAVELERS PROPERTY CASUALTY CORP B              1         4146      0    14063
TREDEGAR CORP                                   1         4212      0        0
TREX COMPANY INC                                1            0      0     1155
TRIAD HOSPITALS INC                             1         3485      0        0
TRIAD HOSPITALS INC                             1            0      0     7060
Triad Hospitals, Inc.                           3        21700      0        0
TRIBUNE CO NEW COM                              1          740      0        0
TRIBUNE CO NEW COM                              1         1300      0     4352
TRIBUNE COMPANY NEW                             2        30170      0        0
TRIDENT MICROSYSTEMS INC                        1            0      0     5900
Trident Microsystems, Inc.                      3         3400      0        0
TRIMBLE NAV LTD COM                             1            0      0     2165
TRIMBLE NAV LTD COM                             1            0      0    36610
TRINITY INDUSTRIES INC                          1         3600      0        0
TRINITY INDUSTRIES INC                          1         2850      0        0
TRIPATH IMAGING INC COM                         1            0      0     4050
TRIPATH TECHNOLOGY INCORPORATED                 1            0      0     3600
TRIQUINT SEMICONDUCTOR INC COM                  1            0      0     1900
Triquint Semiconductor, Inc.                    3        52100      0        0
TRIZEC PROPERTIES INC (REITS)                   1          300      0     3800
TriZetto Group, Inc.                            3        25800      0        0
TROY GROUP INC                                  1            0      0    30550

                                    47 OF 64                           5/14/2004




                                                                                                 
TRUSTCO BANK CORP NY COM                     COMMON STOCK       898349105        66      4884   SHARES                 X
TRUSTCO BANK CORP NY COM                     COMMON STOCK       898349105       398     29543   SHARES                         X
TTM TECHNOLOGIES INC COM                     COMMON STOCK       87305R109        14      1125   SHARES                         X
Tularik, Inc.                                COMMON STOCK       899165104       508     20700   SHARES                 X
TUMBLEWEED COMMUNICATIONS CORP               COMMON STOCK       899690101        30      4275   SHARES                         X
TUPPERWARE CORPORATION COM                   COMMON STOCK       899896104        92      5150   SHARES                         X
TXU CORP COM                                 COMMON STOCK       873168108        94      3292   SHARES                 X
TXU CORP COM                                 COMMON STOCK       873168108       714     24900   SHARES                         X
TYCO INTERNATIONAL LIMITED NEW               COMMON STOCK       902124106      4240    147985   SHARES           X
TYCO INTERNATIONAL LTD                       COMMON STOCK       902124106      5704    199103   SHARES                 X
TYCO INTERNATIONAL LTD                       COMMON STOCK       902124106      1766     61649   SHARES                         X
TYSON FOODS INC COM                          COMMON STOCK       902494103       168      9300   SHARES                         X
U S BANCORP DEL COM NEW                      COMMON STOCK       902973304       930     33642   SHARES                 X
U S BANCORP DEL COM NEW                      COMMON STOCK       902973304      3236    117048   SHARES                 X
U S BANCORP DEL COM NEW                      COMMON STOCK       902973304      3213    116196   SHARES                         X
UCBH HOLDINGS INC                            COMMON STOCK       90262T308       160      4000   SHARES                 X
UCBH HOLDINGS INC                            COMMON STOCK       90262T308       203      5075   SHARES                         X
UGI CORP                                     COMMON STOCK       902681105       334     10138   SHARES                 X
UGI CORP                                     COMMON STOCK       902681105       581     17662   SHARES                         X
UGI Corp.                                    COMMON STOCK       902681105      1017     30900   SHARES                 X
UIL Holdings Corp.                           COMMON STOCK       902748102       453      9400   SHARES                 X
UIL HOLDINGS CORPORATION                     COMMON STOCK       902748102        10       200   SHARES                 X
Ultra Petroleum Corp.                        COMMON STOCK       903914109       264      8800   SHARES                 X
ULTRATECH INC                                COMMON STOCK       904034105        35      1480   SHARES                         X
Umpqua Holdings Corp.                        COMMON STOCK       904214103       188      9300   SHARES                 X
UNIFI INC                                    COMMON STOCK       904677101        55     12456   SHARES                         X
Unifirst Corp.                               COMMON STOCK       904708104       359     13000   SHARES                 X
UNION BANKSHARES CORPORATION                 COMMON STOCK       905399101         6       200   SHARES                         X
UNION CMNTY BANCORP COM                      COMMON STOCK       906054101        19      1000   SHARES                         X
UNION PACIFIC CORP COM                       COMMON STOCK       907818108      1129     18872   SHARES                 X
UNION PACIFIC CORP COM                       COMMON STOCK       907818108      1076     17987   SHARES                         X
UNION PLANTERS CORP COM                      COMMON STOCK       908068109        30      1000   SHARES                 X
UNION PLANTERS CORP COM                      COMMON STOCK       908068109        31      1047   SHARES                         X
UNIONBANCAL CORP COM                         COMMON STOCK       908906100      1263     24100   SHARES                         X
UniSource Energy Corp.                       COMMON STOCK       909205106      1044     42500   SHARES                 X
UNISYS CORP                                  COMMON STOCK       909214108       120      8400   SHARES                         X
UNITED DOMINION REALTY TRUST (REIT)          COMMON STOCK       910197102        85      4314   SHARES                 X
UNITED DOMINION REALTY TRUST (REIT)          COMMON STOCK       910197102       257     13119   SHARES                         X
UNITED FIRE & CASUALTY COMPANY               COMMON STOCK       910331107        53      1250   SHARES                         X
UNITED INDUSTRIAL CORP                       COMMON STOCK       910671106        32      1700   SHARES                         X
UNITED ONLINE INC                            COMMON STOCK       911268100       264     15700   SHARES                         X
United PanAm Financial Corp.                 COMMON STOCK       911301109       344     21500   SHARES                 X
UNITED PARCEL SERVICE CL B                   COMMON STOCK       911312106       173      2475   SHARES                 X
UNITED PARCEL SERVICE CL B                   COMMON STOCK       911312106      1234     17675   SHARES                         X
United Parcel Service, Inc.                  COMMON STOCK       911312106      2040     29200   SHARES                 X
UNITED RENTALS INC COM                       COMMON STOCK       911363109       248     13975   SHARES                         X
United Rentals, Inc.                         COMMON STOCK       911363109       650     36600   SHARES                 X
UNITED STATES CELLULAR COM                   COMMON STOCK       911684108        23       600   SHARES                         X
United States Steel Corp.                    COMMON STOCK       912909108      1953     52400   SHARES                 X
UNITED STATIONERS INC                        COMMON STOCK       913004107       146      3475   SHARES                         X
UNITED STS STL CORP NEW                      COMMON STOCK       912909108       284      7616   SHARES                 X
UNITED STS STL CORP NEW                      COMMON STOCK       912909108       322      8653   SHARES                         X
UNITED SURGICAL PARTNERS INTL                COMMON STOCK       913016309        25       750   SHARES                         X
UNITED TECHNOLOGIES CORP COM                 COMMON STOCK       913017109      5303     61449   SHARES                 X
UNITED TECHNOLOGIES CORP COM                 COMMON STOCK       913017109      4417     51185   SHARES                         X
UNITEDGLOBALCOM INC CL A                     COMMON STOCK       913247508       144     16978   SHARES                         X
UNITEDHEALTH GROUP INC                       COMMON STOCK       91324P102       531      8235   SHARES                 X
UNITEDHEALTH GROUP INC                       COMMON STOCK       91324P102      1146     17780   SHARES                         X
UNITEDHEALTH GROUP INC.                      COMMON STOCK       91324P102      2458     38150   SHARES           X
UNITRIN INC COM                              COMMON STOCK       913275103        67      1552   SHARES                 X
UNITRIN INC COM                              COMMON STOCK       913275103        99      2315   SHARES                         X
UNIVERSAL COMPRESSION HOLDINGS INC           COMMON STOCK       913431102       559     17000   SHARES                         X
UNIVERSAL CORP VA                            COMMON STOCK       913456109       432      8500   SHARES                         X
Universal Corp.                              COMMON STOCK       913456109       635     12500   SHARES                 X


TRUSTCO BANK CORP NY COM                        1         4884      0        0
TRUSTCO BANK CORP NY COM                        1        28643      0      900
TTM TECHNOLOGIES INC COM                        1            0      0     1125
Tularik, Inc.                                   3        20700      0        0
TUMBLEWEED COMMUNICATIONS CORP                  1            0      0     4275
TUPPERWARE CORPORATION COM                      1          250      0     4900
TXU CORP COM                                    1         3292      0        0
TXU CORP COM                                    1         1700      0    23200
TYCO INTERNATIONAL LIMITED NEW                  2       147985      0        0
TYCO INTERNATIONAL LTD                          1       187685      0    11418
TYCO INTERNATIONAL LTD                          1        31150      0    30499
TYSON FOODS INC COM                             1         1200      0     8100
U S BANCORP DEL COM NEW                         3        33642      0        0
U S BANCORP DEL COM NEW                         1       117048      0        0
U S BANCORP DEL COM NEW                         1        29259      0    86937
UCBH HOLDINGS INC                               1            0      0     4000
UCBH HOLDINGS INC                               1            0      0     5075
UGI CORP                                        1        10138      0        0
UGI CORP                                        1        11662      0     6000
UGI Corp.                                       3        30900      0        0
UIL Holdings Corp.                              3         9400      0        0
UIL HOLDINGS CORPORATION                        1          200      0        0
Ultra Petroleum Corp.                           3         8800      0        0
ULTRATECH INC                                   1            0      0     1480
Umpqua Holdings Corp.                           3         9300      0        0
UNIFI INC                                       1            0      0    12456
Unifirst Corp.                                  3        13000      0        0
UNION BANKSHARES CORPORATION                    1          200      0        0
UNION CMNTY BANCORP COM                         1            0      0     1000
UNION PACIFIC CORP COM                          1        18772      0      100
UNION PACIFIC CORP COM                          1        11778      0     6209
UNION PLANTERS CORP COM                         1         1000      0        0
UNION PLANTERS CORP COM                         1          450      0      597
UNIONBANCAL CORP COM                            1            0      0    24100
UniSource Energy Corp.                          3        42500      0        0
UNISYS CORP                                     1            0      0     8400
UNITED DOMINION REALTY TRUST (REIT)             1         4314      0        0
UNITED DOMINION REALTY TRUST (REIT)             1        10619      0     2500
UNITED FIRE & CASUALTY COMPANY                  1            0      0     1250
UNITED INDUSTRIAL CORP                          1            0      0     1700
UNITED ONLINE INC                               1            0      0    15700
United PanAm Financial Corp.                    3        21500      0        0
UNITED PARCEL SERVICE CL B                      1         2475      0        0
UNITED PARCEL SERVICE CL B                      1         1920      0    15755
United Parcel Service, Inc.                     3        29200      0        0
UNITED RENTALS INC COM                          1            0      0    13975
United Rentals, Inc.                            3        36600      0        0
UNITED STATES CELLULAR COM                      1            0      0      600
United States Steel Corp.                       3        52400      0        0
UNITED STATIONERS INC                           1            0      0     3475
UNITED STS STL CORP NEW                         1         7616      0        0
UNITED STS STL CORP NEW                         1          153      0     8500
UNITED SURGICAL PARTNERS INTL                   1            0      0      750
UNITED TECHNOLOGIES CORP COM                    1        59624      0     1825
UNITED TECHNOLOGIES CORP COM                    1        27178      0    24007
UNITEDGLOBALCOM INC CL A                        1        11536      0     5442
UNITEDHEALTH GROUP INC                          1         8235      0        0
UNITEDHEALTH GROUP INC                          1          300      0    17480
UNITEDHEALTH GROUP INC.                         2        38150      0        0
UNITRIN INC COM                                 1         1552      0        0
UNITRIN INC COM                                 1         2315      0        0
UNIVERSAL COMPRESSION HOLDINGS INC              1            0      0    17000
UNIVERSAL CORP VA                               1            0      0     8500
Universal Corp.                                 3        12500      0        0

                                    48 OF 64                           5/14/2004




                                                                                                 
Universal Display Corp.                      COMMON STOCK       91347P105       132     10300   SHARES                 X
Universal Forest Products, Inc.              COMMON STOCK       913543104       765     24800   SHARES                 X
UNIVEST CORP OF PA                           COMMON STOCK       915271100       318      6500   SHARES                 X
UNIVISION COMMUNICATIONS INC COM             COMMON STOCK       914906102       211      6405   SHARES                 X
Univision Communications, Inc., Class A      COMMON STOCK       914906102      1433     43400   SHARES                 X
UNOCAL CORP                                  COMMON STOCK       915289102       775     20801   SHARES                 X
UNOCAL CORP                                  COMMON STOCK       915289102       171      4600   SHARES                         X
Unocal Corp.                                 COMMON STOCK       915289102      2349     63000   SHARES                 X
UNUMPROVIDENT CORP COM                       COMMON STOCK       91529Y106       155     10590   SHARES                         X
UNUMPROVIDENT CORPORATION                    COMMON STOCK       91529Y106       966     66010   SHARES           X
UNVL HEALTH SERVICES INC CL B                COMMON STOCK       913903100        17       360   SHARES                 X
UNVL HEALTH SERVICES INC CL B                COMMON STOCK       913903100       433      9400   SHARES                         X
URBAN OUTFITTERS INC                         COMMON STOCK       917047102       577     12000   SHARES                         X
URS CORP NEW                                 COMMON STOCK       903236107       184      6400   SHARES                         X
URSTADT BIDDLE PPTYS INC CL A (REIT)         COMMON STOCK       917286205        99      6000   SHARES                         X
US BANCORP NEW                               COMMON STOCK       902973304       401     14500   SHARES           X
US ONCOLOGY INC COM                          COMMON STOCK       90338W103        65      4400   SHARES                         X
US Oncology, Inc.                            COMMON STOCK       90338W103      1208     81700   SHARES                 X
USB HOLDING INC COM                          COMMON STOCK       902910108        10       423   SHARES                         X
USF CORPORATION                              COMMON STOCK       91729Q101       168      4900   SHARES                         X
USG CORP                                     COMMON STOCK       903293405         0         1   SHARES                         X
UST INC COM                                  COMMON STOCK       902911106       860     23810   SHARES                 X
UST INC COM                                  COMMON STOCK       902911106       444     12300   SHARES                         X
V F CORP                                     COMMON STOCK       918204108        47      1000   SHARES                 X
V F CORP                                     COMMON STOCK       918204108       618     13240   SHARES                         X
VA SOFTWARE CORP                             COMMON STOCK       91819B105        14      5000   SHARES                 X
VALASSIS COMMUNICATION INC COM               COMMON STOCK       918866104       468     15390   SHARES                         X
VALEANT PHARMACEUTICALS INC                  COMMON STOCK       91911X104        18       775   SHARES                 X
VALEANT PHARMACEUTICALS INC                  COMMON STOCK       91911X104         4       180   SHARES                         X
Valeant Pharmaceuticals International        COMMON STOCK       91911X104       208      8700   SHARES                 X
VALERO ENERGY CORP COM                       COMMON STOCK       91913Y100       240      4000   SHARES                 X
VALERO ENERGY CORP COM                       COMMON STOCK       91913Y100       444      7400   SHARES                         X
VALLEY FORGE SCIENTIFIC CORPORATION          COMMON STOCK       919656108         2       850   SHARES                 X
VALLEY NATL BANCORP COM                      COMMON STOCK       919794107        53      1879   SHARES                         X
VALSPAR CORP                                 COMMON STOCK       920355104        42       850   SHARES                         X
VALUECLICK INC                               COMMON STOCK       92046N102        57      5270   SHARES                         X
VAN KAMPEN MUNI OPP TRUST II                 COMMON STOCK       920944105        14       910   SHARES                 X
Varco International, Inc. - New              COMMON STOCK       922122106       153      8500   SHARES                 X
VARCO INTL INC DEL COM                       COMMON STOCK       922122106       450     24975   SHARES                         X
VARIAN INC                                   COMMON STOCK       922206107         5       120   SHARES                 X
VARIAN INC                                   COMMON STOCK       922206107       241      6000   SHARES                         X
VARIAN MEDICAL SYS INC COM                   COMMON STOCK       92220P105        39       450   SHARES                 X
VARIAN MEDICAL SYS INC COM                   COMMON STOCK       92220P105       166      1920   SHARES                         X
VARIAN SEMICONDUCTOR EQUIP ASSOC COM         COMMON STOCK       922207105         5       120   SHARES                 X
VARIAN SEMICONDUCTOR EQUIP ASSOC COM         COMMON STOCK       922207105       485     11570   SHARES                         X
Vasogen, Inc.                                COMMON STOCK       92232F103        70     11500   SHARES                 X
VECTREN CORP COM                             COMMON STOCK       92240G101       358     14513   SHARES                         X
VENTIV HLTH INC COM                          COMMON STOCK       922793104        32      2330   SHARES                 X
VERISIGN INC COM                             COMMON STOCK       92343E102        15       900   SHARES                 X
VERISIGN INC COM                             COMMON STOCK       92343E102       116      7010   SHARES                         X
VERITAS DGC INC COM                          COMMON STOCK       92343P107       236     11400   SHARES                         X
Veritas DGC, Inc.                            COMMON STOCK       92343P107       803     38800   SHARES                 X
VERITAS SOFTWARE CORP                        COMMON STOCK       923436109      2081     77332   SHARES                 X
VERITAS SOFTWARE CORP                        COMMON STOCK       923436109       901     33480   SHARES                         X
Veritas Software Corp.                       COMMON STOCK       923436109      1039     38600   SHARES                 X
Verizon Communications                       COMMON STOCK       92343V104      3834    104921   SHARES                 X
VERIZON COMMUNICATIONS COM                   COMMON STOCK       92343V104     22813    624328   SHARES                 X
VERIZON COMMUNICATIONS COM                   COMMON STOCK       92343V104     14660    401215   SHARES                         X
VERSATA INC                                  COMMON STOCK       925298200         0        40   SHARES                         X
VERSO TECHNOLOGIES INCORPORATED              COMMON STOCK       925317109         1       393   SHARES                 X
VIACOM INC CL A                              COMMON STOCK       925524100        38       950   SHARES                 X
VIACOM INC CL A                              COMMON STOCK       925524100       117      2950   SHARES                         X
VIACOM INC CL B                              COMMON STOCK       925524308      9088    231790   SHARES                 X
VIACOM INC CL B                              COMMON STOCK       925524308      9063    231141   SHARES                 X


Universal Display Corp.                         3        10300      0        0
Universal Forest Products, Inc.                 3        24800      0        0
UNIVEST CORP OF PA                              1         6500      0        0
UNIVISION COMMUNICATIONS INC COM                1         6405      0        0
Univision Communications, Inc., Class A         3        43400      0        0
UNOCAL CORP                                     1        20801      0        0
UNOCAL CORP                                     1         3400      0     1200
Unocal Corp.                                    3        63000      0        0
UNUMPROVIDENT CORP COM                          1            0      0    10590
UNUMPROVIDENT CORPORATION                       2        66010      0        0
UNVL HEALTH SERVICES INC CL B                   1          360      0        0
UNVL HEALTH SERVICES INC CL B                   1            0      0     9400
URBAN OUTFITTERS INC                            1            0      0    12000
URS CORP NEW                                    1            0      0     6400
URSTADT BIDDLE PPTYS INC CL A (REIT)            1         6000      0        0
US BANCORP NEW                                  2        14500      0        0
US ONCOLOGY INC COM                             1            0      0     4400
US Oncology, Inc.                               3        81700      0        0
USB HOLDING INC COM                             1            0      0      423
USF CORPORATION                                 1            0      0     4900
USG CORP                                        1            0      0        1
UST INC COM                                     1        23650      0      160
UST INC COM                                     1         7600      0     4700
V F CORP                                        1         1000      0        0
V F CORP                                        1        10440      0     2800
VA SOFTWARE CORP                                1         5000      0        0
VALASSIS COMMUNICATION INC COM                  1            0      0    15390
VALEANT PHARMACEUTICALS INC                     1          775      0        0
VALEANT PHARMACEUTICALS INC                     1          180      0        0
Valeant Pharmaceuticals International           3         8700      0        0
VALERO ENERGY CORP COM                          1         4000      0        0
VALERO ENERGY CORP COM                          1         1900      0     5500
VALLEY FORGE SCIENTIFIC CORPORATION             1          850      0        0
VALLEY NATL BANCORP COM                         1            0      0     1879
VALSPAR CORP                                    1            0      0      850
VALUECLICK INC                                  1            0      0     5270
VAN KAMPEN MUNI OPP TRUST II                    1          910      0        0
Varco International, Inc. - New                 3         8500      0        0
VARCO INTL INC DEL COM                          1            0      0    24975
VARIAN INC                                      1          120      0        0
VARIAN INC                                      1            0      0     6000
VARIAN MEDICAL SYS INC COM                      1          250      0      200
VARIAN MEDICAL SYS INC COM                      1            0      0     1920
VARIAN SEMICONDUCTOR EQUIP ASSOC COM            1          120      0        0
VARIAN SEMICONDUCTOR EQUIP ASSOC COM            1            0      0    11570
Vasogen, Inc.                                   3        11500      0        0
VECTREN CORP COM                                1        11013      0     3500
VENTIV HLTH INC COM                             1         2330      0        0
VERISIGN INC COM                                1          900      0        0
VERISIGN INC COM                                1            0      0     7010
VERITAS DGC INC COM                             1            0      0    11400
Veritas DGC, Inc.                               3        38800      0        0
VERITAS SOFTWARE CORP                           1        77332      0        0
VERITAS SOFTWARE CORP                           1         6755      0    26725
Veritas Software Corp.                          3        38600      0        0
Verizon Communications                          3       104921      0        0
VERIZON COMMUNICATIONS COM                      1       621718      0     2610
VERIZON COMMUNICATIONS COM                      1       332733    400    68082
VERSATA INC                                     1            0      0       40
VERSO TECHNOLOGIES INCORPORATED                 1          393      0        0
VIACOM INC CL A                                 1          950      0        0
VIACOM INC CL A                                 1          450      0     2500
VIACOM INC CL B                                 3       231790      0        0
VIACOM INC CL B                                 1       230061      0     1080

                                    49 OF 64                           5/14/2004




                                                                                                 
VIACOM INC CL B                              COMMON STOCK       925524308      3442     87783   SHARES                         X
VIAD CORPORATION COM                         COMMON STOCK       92552R109       725     30000   SHARES                         X
VIASAT INCORPORATED                          COMMON STOCK       92552V100       203      8150   SHARES                         X
VICAL INCORPORATED                           COMMON STOCK       925602104        10      1700   SHARES                         X
VICURON PHARMACEUTICALS INC                  COMMON STOCK       926471103       173      7600   SHARES                         X
VIGNETTE CORP COM                            COMMON STOCK       926734104         3      1500   SHARES                         X
VINTAGE PETE INC                             COMMON STOCK       927460105       108      7350   SHARES                         X
ViroPharma, Inc.                             COMMON STOCK       928241108        55     24000   SHARES                 X
VISHAY INTERTECHNOLOGY INC COM               COMMON STOCK       928298108       352     16500   SHARES                 X
VISHAY INTERTECHNOLOGY INC COM               COMMON STOCK       928298108       301     14100   SHARES                         X
Vishay Intertechnology, Inc.                 COMMON STOCK       928298108      2202    103200   SHARES                 X
VISTA GOLD CORP                              COMMON STOCK       927926204         3       625   SHARES                         X
VISTACARE INC                                COMMON STOCK       92839Y109       111      4100   SHARES                 X
VISTEON CORP COM                             COMMON STOCK       92839U107        21      2164   SHARES                 X
VISTEON CORP COM                             COMMON STOCK       92839U107        43      4534   SHARES                         X
VISX INC DEL                                 COMMON STOCK       92844S105        58      2975   SHARES                         X
Vital Images, Inc.                           COMMON STOCK       92846N104        54      5400   SHARES                 X
VITAL SIGNS INC COM                          COMMON STOCK       928469105        60      1800   SHARES                         X
VITALWORKS INC                               COMMON STOCK       928483106        35      9300   SHARES                         X
VIVUS INC                                    COMMON STOCK       928551100         6      1000   SHARES                 X
VORNADO REALTY TRUST                         COMMON STOCK       929042109       218      3600   SHARES           X
VORNADO REALTY TRUST (REIT)                  COMMON STOCK       929042109       416      6881   SHARES                         X
VULCAN MATERIAL COM                          COMMON STOCK       929160109       114      2400   SHARES                 X
VULCAN MATERIAL COM                          COMMON STOCK       929160109        38       800   SHARES                         X
W Holding Co., Inc.                          COMMON STOCK       929251106      1159     62000   SHARES                 X
W R GRACE & CO                               COMMON STOCK       38388F108         3      1000   SHARES                         X
W W GRAINGER INC COM                         COMMON STOCK       384802104       176      3670   SHARES                 X
W W GRAINGER INC COM                         COMMON STOCK       384802104       322      6700   SHARES                         X
WABASH NATIONAL CORPORATION                  COMMON STOCK       929566107        38      1600   SHARES                         X
WABTEC CORP COM                              COMMON STOCK       929740108       115      8100   SHARES                         X
WACHOVIA CORP COM                            COMMON STOCK       929903102      6248    132925   SHARES                 X
WACHOVIA CORP COM                            COMMON STOCK       929903102     15968    339751   SHARES                 X
WACHOVIA CORP COM                            COMMON STOCK       929903102      7102    151106   SHARES                         X
WACHOVIA CORPORATION NEW                     COMMON STOCK       929903102       301      6400   SHARES           X
WADDELL & REED FINL INC CL A                 COMMON STOCK       930059100       225      9174   SHARES                 X
WADDELL & REED FINL INC CL A                 COMMON STOCK       930059100       550     22450   SHARES                         X
WAL MART STORES INC COM                      COMMON STOCK       931142103      4892     81957   SHARES                 X
WAL MART STORES INC COM                      COMMON STOCK       931142103     19401    325022   SHARES                 X
WAL MART STORES INC COM                      COMMON STOCK       931142103     10873    182150   SHARES                         X
WAL MART STORES INCORPORATED                 COMMON STOCK       931142103       569      9532   SHARES           X
WALGREEN CO                                  COMMON STOCK       931422109      1525     46273   SHARES                 X
WALGREEN CO                                  COMMON STOCK       931422109      3139     95265   SHARES                         X
WALT DISNEY CO COM                           COMMON STOCK       254687106      2512    100538   SHARES                 X
WALT DISNEY CO COM                           COMMON STOCK       254687106      7358    294420   SHARES                 X
WALT DISNEY CO COM                           COMMON STOCK       254687106      4825    193070   SHARES                         X
Walter Industries, Inc.                      COMMON STOCK       93317Q105       528     44200   SHARES                 X
WASHINGTON FEDERAL INC COM                   COMMON STOCK       938824109       248      9702   SHARES                         X
WASHINGTON MUTUAL INC COM                    COMMON STOCK       939322103        10       230   SHARES                 X
WASHINGTON MUTUAL INC COM                    COMMON STOCK       939322103      3044     71278   SHARES                 X
WASHINGTON MUTUAL INC COM                    COMMON STOCK       939322103      4227     98963   SHARES                         X
WASHINGTON MUTUAL INCORPORATED               COMMON STOCK       939322103      2647     61980   SHARES           X
WASHINGTON REAL ESTATE INVT (REIT)           COMMON STOCK       939653101       313      9649   SHARES                 X
WASHINGTON REAL ESTATE INVT (REIT)           COMMON STOCK       939653101       185      5700   SHARES                         X
WASTE CONNECTIONS INC                        COMMON STOCK       941053100        64      1608   SHARES                 X
WASTE CONNECTIONS INC                        COMMON STOCK       941053100       366      9200   SHARES                         X
Waste Connections, Inc.                      COMMON STOCK       941053100       398     10000   SHARES                 X
WASTE MANAGEMENT INC COM                     COMMON STOCK       94106L109        97      3224   SHARES                 X
WASTE MANAGEMENT INC COM                     COMMON STOCK       94106L109       438     14515   SHARES                         X
WATER PIK TECHNOLOGIES INC COM               COMMON STOCK       94113U100         1        96   SHARES                 X
WATERS CORP COM                              COMMON STOCK       941848103        57      1400   SHARES                 X
WATERS CORP COM                              COMMON STOCK       941848103       515     12600   SHARES                         X
WATSON PHARMACEUTICALS INC COM               COMMON STOCK       942683103       232      5433   SHARES                 X
WATSON PHARMACEUTICALS INC COM               COMMON STOCK       942683103       250      5846   SHARES                         X
Watson Pharmaceuticals, Inc.                 COMMON STOCK       942683103      1425     33300   SHARES                 X


VIACOM INC CL B                                 1        32476      0    55307
VIAD CORPORATION COM                            1            0      0    30000
VIASAT INCORPORATED                             1            0      0     8150
VICAL INCORPORATED                              1            0      0     1700
VICURON PHARMACEUTICALS INC                     1            0      0     7600
VIGNETTE CORP COM                               1            0      0     1500
VINTAGE PETE INC                                1            0      0     7350
ViroPharma, Inc.                                3        24000      0        0
VISHAY INTERTECHNOLOGY INC COM                  1        16500      0        0
VISHAY INTERTECHNOLOGY INC COM                  1            0      0    14100
Vishay Intertechnology, Inc.                    3       103200      0        0
VISTA GOLD CORP                                 1          625      0        0
VISTACARE INC                                   1            0      0     4100
VISTEON CORP COM                                1         2164      0        0
VISTEON CORP COM                                1         4332      0      202
VISX INC DEL                                    1            0      0     2975
Vital Images, Inc.                              3         5400      0        0
VITAL SIGNS INC COM                             1            0      0     1800
VITALWORKS INC                                  1            0      0     9300
VIVUS INC                                       1         1000      0        0
VORNADO REALTY TRUST                            2         3600      0        0
VORNADO REALTY TRUST (REIT)                     1            0      0     6881
VULCAN MATERIAL COM                             1         2400      0        0
VULCAN MATERIAL COM                             1            0      0      800
W Holding Co., Inc.                             3        62000      0        0
W R GRACE & CO                                  1         1000      0        0
W W GRAINGER INC COM                            1         3120      0      550
W W GRAINGER INC COM                            1         6100      0      600
WABASH NATIONAL CORPORATION                     1            0      0     1600
WABTEC CORP COM                                 1            0      0     8100
WACHOVIA CORP COM                               3       132925      0        0
WACHOVIA CORP COM                               1       339461      0      290
WACHOVIA CORP COM                               1       105909      0    45197
WACHOVIA CORPORATION NEW                        2         6400      0        0
WADDELL & REED FINL INC CL A                    1         9174      0        0
WADDELL & REED FINL INC CL A                    1        13250      0     9200
WAL MART STORES INC COM                         3        81957      0        0
WAL MART STORES INC COM                         1       322853      0     2169
WAL MART STORES INC COM                         1       129615      0    52535
WAL MART STORES INCORPORATED                    2         9532      0        0
WALGREEN CO                                     1        43273      0     3000
WALGREEN CO                                     1        23900      0    71365
WALT DISNEY CO COM                              3       100538      0        0
WALT DISNEY CO COM                              1       293820      0      600
WALT DISNEY CO COM                              1       133756      0    59314
Walter Industries, Inc.                         3        44200      0        0
WASHINGTON FEDERAL INC COM                      1            0      0     9702
WASHINGTON MUTUAL INC COM                       3          230      0        0
WASHINGTON MUTUAL INC COM                       1        70878      0      400
WASHINGTON MUTUAL INC COM                       1        36350      0    62613
WASHINGTON MUTUAL INCORPORATED                  2        61980      0        0
WASHINGTON REAL ESTATE INVT (REIT)              1         9649      0        0
WASHINGTON REAL ESTATE INVT (REIT)              1          100      0     5600
WASTE CONNECTIONS INC                           1         1608      0        0
WASTE CONNECTIONS INC                           1            0      0     9200
Waste Connections, Inc.                         3        10000      0        0
WASTE MANAGEMENT INC COM                        1         3224      0        0
WASTE MANAGEMENT INC COM                        1         3647      0    10868
WATER PIK TECHNOLOGIES INC COM                  1           96      0        0
WATERS CORP COM                                 1          600      0      800
WATERS CORP COM                                 1            0      0    12600
WATSON PHARMACEUTICALS INC COM                  1         5433      0        0
WATSON PHARMACEUTICALS INC COM                  1         1526      0     4320
Watson Pharmaceuticals, Inc.                    3        33300      0        0

                                    50 OF 64                           5/14/2004




                                                                                                 
WATSON WYATT & CO HLDGS                      COMMON STOCK       942712100        76      3015   SHARES                         X
WATTS WATER TECHNOLOGIES INC CLA             COMMON STOCK       942749102        70      3000   SHARES                         X
WAYPOINT FINL CORP COM                       COMMON STOCK       946756103      4212    157039   SHARES                 X
WAYPOINT FINL CORP COM                       COMMON STOCK       946756103       142      5301   SHARES                         X
WCI Communities, Inc.                        COMMON STOCK       92923C104       403     16100   SHARES                 X
WD 40 CO COM                                 COMMON STOCK       929236107       154      4400   SHARES                         X
WebEx Communications, Inc.                   COMMON STOCK       94767L109        71      2400   SHARES                 X
WEBMD CORP COM                               COMMON STOCK       94769M105       441     49625   SHARES                         X
WEBSENSE INC                                 COMMON STOCK       947684106        34      1150   SHARES                         X
Websense, Inc.                               COMMON STOCK       947684106       477     16100   SHARES                 X
WEBSTER FINL CORP WATERBURY COM              COMMON STOCK       947890109       693     13660   SHARES                         X
WEIGHT WATCHERS INTL INC NEW                 COMMON STOCK       948626106       458     10825   SHARES                         X
WEINGARTEN REALTY INVESTORS                  COMMON STOCK       948741103      1253     36217   SHARES           X
WEINGARTEN REALTY INVESTORS (REIT)           COMMON STOCK       948741103        36      1049   SHARES                 X
WEINGARTEN REALTY INVESTORS (REIT)           COMMON STOCK       948741103       145      4200   SHARES                         X
WEIS MARKETS INC                             COMMON STOCK       948849104        51      1518   SHARES                         X
WELLPOINT HEALTH NETWORKS COM                COMMON STOCK       94973H108       291      2560   SHARES                 X
WELLPOINT HEALTH NETWORKS COM                COMMON STOCK       94973H108        57       500   SHARES                         X
Wells Fargo & Co.                            COMMON STOCK       949746101      1353     23888   SHARES                 X
WELLS FARGO & COMPANY NEW                    COMMON STOCK       949746101      3592     63391   SHARES           X
WELLS FARGO CO                               COMMON STOCK       949746101     13356    235673   SHARES                 X
WELLS FARGO CO                               COMMON STOCK       949746101      9502    167678   SHARES                         X
WENDYS INTL INC COM                          COMMON STOCK       950590109       187      4600   SHARES                 X
WENDYS INTL INC COM                          COMMON STOCK       950590109       338      8305   SHARES                         X
WERNER ENTERPRISES INC                       COMMON STOCK       950755108      6530    344600   SHARES                 X
WERNER ENTERPRISES INC                       COMMON STOCK       950755108      3431    181063   SHARES                 X
WERNER ENTERPRISES INC                       COMMON STOCK       950755108        77      4075   SHARES                         X
West Pharmaceutical Services, Inc.           COMMON STOCK       955306105       561     15000   SHARES                 X
WESTAMERICA BANCORPORATION                   COMMON STOCK       957090103        45       900   SHARES                 X
WESTAMERICA BANCORPORATION                   COMMON STOCK       957090103       227      4500   SHARES                         X
WESTAR ENERGY INC                            COMMON STOCK       95709T100         6       300   SHARES                 X
WESTAR ENERGY INC                            COMMON STOCK       95709T100       287     13700   SHARES                         X
WESTCORP                                     COMMON STOCK       957907108       573     13000   SHARES                         X
WESTERN WIRELESS CORP COM                    COMMON STOCK       95988E204        23      1000   SHARES                         X
WESTPORT RES CORP                            COMMON STOCK       961418100       221      6700   SHARES                         X
WESTWOOD ONE INC COM                         COMMON STOCK       961815107       312     10600   SHARES                         X
WET SEAL INC CL A                            COMMON STOCK       961840105       518     62845   SHARES                         X
WEYERHAEUSER CO COM                          COMMON STOCK       962166104       270      4124   SHARES                 X
WEYERHAEUSER CO COM                          COMMON STOCK       962166104      1063     16233   SHARES                         X
WGL HLDGS INC COM                            COMMON STOCK       92924F106        10       344   SHARES                 X
WGL HLDGS INC COM                            COMMON STOCK       92924F106       254      8432   SHARES                         X
WHEELINGPITTSBURG CORP                       COMMON STOCK       963142302         5       245   SHARES                 X
WHIRLPOOL CORP COM                           COMMON STOCK       963320106        89      1292   SHARES                 X
WHIRLPOOL CORP COM                           COMMON STOCK       963320106       488      7092   SHARES                         X
WHOLE FOODS MKT INC COM                      COMMON STOCK       966837106       266      3550   SHARES                 X
WHOLE FOODS MKT INC COM                      COMMON STOCK       966837106        64       850   SHARES                         X
WILD OATS MKTS INC                           COMMON STOCK       96808B107        77      6494   SHARES                         X
WILLIAM SONOMA INC COM                       COMMON STOCK       969904101       232      6777   SHARES                 X
WILLIAM SONOMA INC COM                       COMMON STOCK       969904101       641     18730   SHARES                         X
WILLIAMS COMPANIES INCORPORATED              COMMON STOCK       969457100       115     11975   SHARES           X
WILLIAMS COS INC COM                         COMMON STOCK       969457100       105     10927   SHARES                 X
WILLIAMS COS INC COM                         COMMON STOCK       969457100        34      3503   SHARES                         X
Williams-Sonoma, Inc.                        COMMON STOCK       969904101      1406     41100   SHARES                 X
WILLOW GROVE BANCORP INC                     COMMON STOCK       97111W101        41      2280   SHARES                         X
WILMINGTON TRUST CORP                        COMMON STOCK       971807102        50      1350   SHARES                 X
WILMINGTON TRUST CORP                        COMMON STOCK       971807102       856     22900   SHARES                         X
WILSON GREATBATCH TECH (W/RIGHTS)            COMMON STOCK       972232102        76      2100   SHARES                         X
WIND RIV SYS INC                             COMMON STOCK       973149107        55      4950   SHARES                         X
WINN DIXIE STORES INC COM                    COMMON STOCK       974280109       507     66668   SHARES                 X
WINNEBAGO INDUSTRIES                         COMMON STOCK       974637100        31      1000   SHARES                         X
WINTRUST FINANCIAL CORP                      COMMON STOCK       97650W108       160      3287   SHARES                         X
WISCONSIN ENERGY CORP COM                    COMMON STOCK       976657106       214      6650   SHARES                 X
WISCONSIN ENERGY CORP COM                    COMMON STOCK       976657106       242      7538   SHARES                         X
WISER OIL CO DEL                             COMMON STOCK       977284108        20      2500   SHARES                         X


WATSON WYATT & CO HLDGS                         1            0      0     3015
WATTS WATER TECHNOLOGIES INC CLA                1            0      0     3000
WAYPOINT FINL CORP COM                          1       101146      0    55893
WAYPOINT FINL CORP COM                          1         5301      0        0
WCI Communities, Inc.                           3        16100      0        0
WD 40 CO COM                                    1         2600      0     1800
WebEx Communications, Inc.                      3         2400      0        0
WEBMD CORP COM                                  1            0      0    49625
WEBSENSE INC                                    1            0      0     1150
Websense, Inc.                                  3        16100      0        0
WEBSTER FINL CORP WATERBURY COM                 1            0      0    13660
WEIGHT WATCHERS INTL INC NEW                    1            0      0    10825
WEINGARTEN REALTY INVESTORS                     2        36217      0        0
WEINGARTEN REALTY INVESTORS (REIT)              1         1049      0        0
WEINGARTEN REALTY INVESTORS (REIT)              1            0      0     4200
WEIS MARKETS INC                                1            0      0     1518
WELLPOINT HEALTH NETWORKS COM                   1         1260      0     1300
WELLPOINT HEALTH NETWORKS COM                   1            0      0      500
Wells Fargo & Co.                               3        23888      0        0
WELLS FARGO & COMPANY NEW                       2        63391      0        0
WELLS FARGO CO                                  1       225708      0     9965
WELLS FARGO CO                                  1       116237      0    51441
WENDYS INTL INC COM                             1         4600      0        0
WENDYS INTL INC COM                             1            0      0     8305
WERNER ENTERPRISES INC                          3       344600      0        0
WERNER ENTERPRISES INC                          1       180258      0      805
WERNER ENTERPRISES INC                          1         4075      0        0
West Pharmaceutical Services, Inc.              3        15000      0        0
WESTAMERICA BANCORPORATION                      1            0      0      900
WESTAMERICA BANCORPORATION                      1            0      0     4500
WESTAR ENERGY INC                               1          300      0        0
WESTAR ENERGY INC                               1         1700      0    12000
WESTCORP                                        1            0      0    13000
WESTERN WIRELESS CORP COM                       1            0      0     1000
WESTPORT RES CORP                               1            0      0     6700
WESTWOOD ONE INC COM                            1            0      0    10600
WET SEAL INC CL A                               1            0      0    62845
WEYERHAEUSER CO COM                             1         4124      0        0
WEYERHAEUSER CO COM                             1         6373      0     9860
WGL HLDGS INC COM                               1          344      0        0
WGL HLDGS INC COM                               1         3632      0     4800
WHEELINGPITTSBURG CORP                          1          245      0        0
WHIRLPOOL CORP COM                              1         1292      0        0
WHIRLPOOL CORP COM                              1          742      0     6350
WHOLE FOODS MKT INC COM                         1         1550      0     2000
WHOLE FOODS MKT INC COM                         1           50      0      800
WILD OATS MKTS INC                              1            0      0     6494
WILLIAM SONOMA INC COM                          1         6777      0        0
WILLIAM SONOMA INC COM                          1            0      0    18730
WILLIAMS COMPANIES INCORPORATED                 2        11975      0        0
WILLIAMS COS INC COM                            1        10927      0        0
WILLIAMS COS INC COM                            1         1803      0     1700
Williams-Sonoma, Inc.                           3        41100      0        0
WILLOW GROVE BANCORP INC                        1            0      0     2280
WILMINGTON TRUST CORP                           1            0      0     1350
WILMINGTON TRUST CORP                           1            0      0    22900
WILSON GREATBATCH TECH (W/RIGHTS)               1            0      0     2100
WIND RIV SYS INC                                1            0      0     4950
WINN DIXIE STORES INC COM                       1        66668      0        0
WINNEBAGO INDUSTRIES                            1            0      0     1000
WINTRUST FINANCIAL CORP                         1            0      0     3287
WISCONSIN ENERGY CORP COM                       1         6650      0        0
WISCONSIN ENERGY CORP COM                       1         5338      0     2200
WISER OIL CO DEL                                1         2500      0        0

                                    51 OF 64                           5/14/2004




                                                                                                 
WMS IND INC COM                              COMMON STOCK       929297109        57      1840   SHARES                         X
WOLVERINES WORLD WIDE INC COM                COMMON STOCK       978097103       290     12000   SHARES                         X
WOODWARD GOVERNOR CO COM                     COMMON STOCK       980745103       249      3900   SHARES                         X
Woodward Governor Co.                        COMMON STOCK       980745103       835     13100   SHARES                 X
WORLD ACCEPTANCE CORPORATION S C NEW         COMMON STOCK       981419104        56      2850   SHARES                         X
WORTHINGTON INDS INC COM                     COMMON STOCK       981811102       260     13543   SHARES                         X
WPP Group PLC, ADR                           ADR                929309300       794     15600   SHARES                 X
WPS RESOURCES CORP                           COMMON STOCK       92931B106        77      1620   SHARES                 X
WPS RESOURCES CORP                           COMMON STOCK       92931B106        17       350   SHARES                         X
WRIGHT MEDICAL GROUP                         COMMON STOCK       98235T107        12       400   SHARES                 X
WRIGHT MEDICAL GROUP                         COMMON STOCK       98235T107       209      6800   SHARES                         X
WRIGLEY WM JR CO                             COMMON STOCK       982526105       299      5050   SHARES                 X
WRIGLEY WM JR CO                             COMMON STOCK       982526105       400      6770   SHARES                         X
WSFS FINANCIAL CORP                          COMMON STOCK       929328102        10       200   SHARES                         X
Wyeth                                        COMMON STOCK       983024100      6812    181405   SHARES                 X
WYETH                                        COMMON STOCK       983024100      1305     34758   SHARES           X
WYETH                                        COMMON STOCK       983024100     16258    432958   SHARES                 X
WYETH                                        COMMON STOCK       983024100     15016    399896   SHARES                         X
WYNDHAM INTL INC CL A                        COMMON STOCK       983101106         1      1439   SHARES                         X
WYNN RESORTS LIMITED                         COMMON STOCK       983134107         7       200   SHARES                 X
WYNN RESORTS LIMITED                         COMMON STOCK       983134107         8       225   SHARES                         X
XCEL ENERGY INC COM                          COMMON STOCK       98389B100       231     12970   SHARES                 X
XCEL ENERGY INC COM                          COMMON STOCK       98389B100       676     37976   SHARES                         X
XCEL ENERGY, INC.                            COMMON STOCK       98389B100       280     15700   SHARES           X
XEROX CORP                                   COMMON STOCK       984121103       164     11234   SHARES                 X
XEROX CORP                                   COMMON STOCK       984121103       410     28142   SHARES                         X
XILINX COM                                   COMMON STOCK       983919101       250      6625   SHARES                 X
XILINX COM                                   COMMON STOCK       983919101        76      2000   SHARES                         X
XM SATELLITE RADIO HLDGS INC                 COMMON STOCK       983759101        31      1100   SHARES                 X
XM SATELLITE RADIO HLDGS INC                 COMMON STOCK       983759101       294     10510   SHARES                         X
XOMA LTD                                     COMMON STOCK       G9825R107        10      2000   SHARES                         X
XRITE INC COM                                COMMON STOCK       983857103         4       250   SHARES                 X
XTO ENERGY INC COM                           COMMON STOCK       98385X106       254     10049   SHARES                 X
XYBERNAUT CORP COM                           COMMON STOCK       984149104         0       100   SHARES                 X
YAHOO INC COM                                COMMON STOCK       984332106        83      1715   SHARES                 X
YAHOO INC COM                                COMMON STOCK       984332106       158      3250   SHARES                         X
Yahoo, Inc.                                  COMMON STOCK       984332106       384      7900   SHARES                 X
YANKEE CANDLE COMPANY                        COMMON STOCK       984757104       218      7895   SHARES                         X
YARDVILLE NATL BANCORP                       COMMON STOCK       985021104        36      1450   SHARES                         X
YELLOW ROADWAY CORPORATION                   COMMON STOCK       985577105       243      7200   SHARES                         X
York International Corp.                     COMMON STOCK       986670107       735     18700   SHARES                 X
YORK INTL CORP NEW COM                       COMMON STOCK       986670107        39      1000   SHARES                 X
YORK INTL CORP NEW COM                       COMMON STOCK       986670107       169      4300   SHARES                         X
YORK WATER COMPANY                           COMMON STOCK       987184108      2434    119553   SHARES                 X
YORK WATER COMPANY                           COMMON STOCK       987184108      1030     50584   SHARES                         X
YOUNG BROADCASTING INC                       COMMON STOCK       987434107        20      1100   SHARES                         X
YUM! BRANDS INC                              COMMON STOCK       988498101       586     15430   SHARES                 X
YUM! BRANDS INC                              COMMON STOCK       988498101      1396     36750   SHARES                         X
ZALE CORP COM                                COMMON STOCK       988858106      1126     18300   SHARES                         X
Zale Corp.                                   COMMON STOCK       988858106       794     12900   SHARES                 X
ZEBRA TECHNOLOGIES CORP CL A                 COMMON STOCK       989207105       104      1500   SHARES                 X
ZENITH NATIONAL INSURANCE CORP               COMMON STOCK       989390109       141      3600   SHARES                         X
ZIMMER HLDGS INC COM                         COMMON STOCK       98956P102       825     11187   SHARES                 X
ZIMMER HLDGS INC COM                         COMMON STOCK       98956P102      1260     17084   SHARES                         X
ZIMMER HOLDINGS INCORPORATED                 COMMON STOCK       98956P102      1349     18290   SHARES           X
Zimmer Holdings, Inc.                        COMMON STOCK       98956P102       885     12000   SHARES                 X
ZIONS BANCORPORATION COM                     COMMON STOCK       989701107        46       800   SHARES                 X
ZIONS BANCORPORATION COM                     COMMON STOCK       989701107       282      4931   SHARES                         X
ZOLL MED CORP                                COMMON STOCK       989922109       121      3035   SHARES                         X
ZORAN CORP                                   COMMON STOCK       98975F101         5       300   SHARES                 X
ZORAN CORP                                   COMMON STOCK       98975F101       609     35100   SHARES                         X

SUBTOTALS FOR DOMESTIC COMMON STOCKS                                        4013239 116667887


WMS IND INC COM                                 1            0      0     1840
WOLVERINES WORLD WIDE INC COM                   1            0      0    12000
WOODWARD GOVERNOR CO COM                        1            0      0     3900
Woodward Governor Co.                           3        13100      0        0
WORLD ACCEPTANCE CORPORATION S C NEW            1            0      0     2850
WORTHINGTON INDS INC COM                        1          468      0    13075
WPP Group PLC, ADR                              3        15600      0        0
WPS RESOURCES CORP                              1         1620      0        0
WPS RESOURCES CORP                              1          350      0        0
WRIGHT MEDICAL GROUP                            1          400      0        0
WRIGHT MEDICAL GROUP                            1            0      0     6800
WRIGLEY WM JR CO                                1         5050      0        0
WRIGLEY WM JR CO                                1         5670      0     1100
WSFS FINANCIAL CORP                             1            0      0      200
Wyeth                                           3       181405      0        0
WYETH                                           2        34758      0        0
WYETH                                           1       428958      0     4000
WYETH                                           1       257119      0   142777
WYNDHAM INTL INC CL A                           1         1439      0        0
WYNN RESORTS LIMITED                            1          200      0        0
WYNN RESORTS LIMITED                            1            0      0      225
XCEL ENERGY INC COM                             1        12970      0        0
XCEL ENERGY INC COM                             1        27876      0    10100
XCEL ENERGY, INC.                               2        15700      0        0
XEROX CORP                                      1        11234      0        0
XEROX CORP                                      1         7100      0    21042
XILINX COM                                      1         6625      0        0
XILINX COM                                      1            0      0     2000
XM SATELLITE RADIO HLDGS INC                    1         1100      0        0
XM SATELLITE RADIO HLDGS INC                    1            0      0    10510
XOMA LTD                                        1            0      0     2000
XRITE INC COM                                   1          250      0        0
XTO ENERGY INC COM                              1        10049      0        0
XYBERNAUT CORP COM                              1          100      0        0
YAHOO INC COM                                   1         1715      0        0
YAHOO INC COM                                   1          350      0     2900
Yahoo, Inc.                                     3         7900      0        0
YANKEE CANDLE COMPANY                           1            0      0     7895
YARDVILLE NATL BANCORP                          1            0      0     1450
YELLOW ROADWAY CORPORATION                      1            0      0     7200
York International Corp.                        3        18700      0        0
YORK INTL CORP NEW COM                          1         1000      0        0
YORK INTL CORP NEW COM                          1            0      0     4300
YORK WATER COMPANY                              1        57029      0    62524
YORK WATER COMPANY                              1        50584      0        0
YOUNG BROADCASTING INC                          1            0      0     1100
YUM! BRANDS INC                                 1        15430      0        0
YUM! BRANDS INC                                 1         8050      0    28700
ZALE CORP COM                                   1            0      0    18300
Zale Corp.                                      3        12900      0        0
ZEBRA TECHNOLOGIES CORP CL A                    1         1500      0        0
ZENITH NATIONAL INSURANCE CORP                  1            0      0     3600
ZIMMER HLDGS INC COM                            1        10087      0     1100
ZIMMER HLDGS INC COM                            1        11189      0     5895
ZIMMER HOLDINGS INCORPORATED                    2        18290      0        0
Zimmer Holdings, Inc.                           3        12000      0        0
ZIONS BANCORPORATION COM                        1          800      0        0
ZIONS BANCORPORATION COM                        1            0      0     4931
ZOLL MED CORP                                   1            0      0     3035
ZORAN CORP                                      1          300      0        0
ZORAN CORP                                      1            0      0    35100

SUBTOTALS FOR DOMESTIC COMMON STOCKS            0     95370690   8204 21288993

                                    52 OF 64                           5/14/2004




                                                                                                 
FOREIGN COMMON STOCK/ADR'S

ABN AMRO HOLDING NV SPON ADR                 ADR                000937102       368     16425   SHARES                 X
ABN AMRO HOLDING NV SPON ADR                 ADR                000937102       186      8300   SHARES                         X
ACCENTURE LTDCL A                            FOREIGN STOCK      G1150G111      6552    264196   SHARES                 X
ACCENTURE LTDCL A                            FOREIGN STOCK      G1150G111       581     23410   SHARES                         X
ACE LTD                                      FOREIGN STOCK      G0070K103         7       175   SHARES                 X
ACE LTD                                      FOREIGN STOCK      G0070K103       107      2499   SHARES                         X
ADECCO SA ADR                                ADR                006754105        12       835   SHARES                 X
AEGON N V ORD AMER REG SHS                   FOREIGN STOCK      007924103       287     22362   SHARES                 X
AEGON N V ORD AMER REG SHS                   FOREIGN STOCK      007924103       142     11060   SHARES                         X
AGNICO EAGLE MINES LTD                       FOREIGN STOCK      008474108         4       250   SHARES                 X
AGRIUM INC                                   FOREIGN STOCK      008916108       310     21100   SHARES                         X
AKZO NOBEL NV SPON ADR                       ADR                010199305       479     12950   SHARES                         X
ALCAN INC                                    FOREIGN STOCK      013716105         4        80   SHARES                 X
ALCAN INC                                    FOREIGN STOCK      013716105        76      1700   SHARES                         X
ALCATEL SASPON ADR                           ADR                013904305         4       244   SHARES                         X
ALCON INC                                    FOREIGN STOCK      H01301102        16       248   SHARES                 X
ALCON INC                                    FOREIGN STOCK      H01301102       265      4180   SHARES                         X
ALLIANZ AGADR                                ADR                018805101        74      6800   SHARES                         X
ALLIED DOMECQ PLCSPONS ADR                   ADR                019121201       179      5300   SHARES                         X
ALLIED IRISH BKS PLCSPON ADR                 ADR                019228402     46713   1559700   SHARES                 X
ALLIED IRISH BKS PLCSPON ADR                 ADR                019228402     15390    513857   SHARES                         X
ALPHA PRO TECH LIMTED                        FOREIGN STOCK      020772109         3      1500   SHARES                 X
AMDOCS LTD                                   FOREIGN STOCK      G02602103        30      1080   SHARES                 X
AMDOCS LTD                                   FOREIGN STOCK      G02602103       512     18420   SHARES                         X
AMERICA MOVIL  ADR SERIES A                  FOREIGN STOCK      02364W204        86      2198   SHARES                 X
AMERICA MOVIL  ADR SERIES L                  FOREIGN STOCK      02364W105       173      4466   SHARES                 X
AMERICA MOVIL  ADR SERIES L                  FOREIGN STOCK      02364W105       155      4000   SHARES                         X
AMERICAN SAFETY INSURANCE HOLDINGS           FOREIGN STOCK      G02995101        27      1850   SHARES                         X
ANGLO AMERICAN PLC ADR                       ADR                03485P102         5       225   SHARES                 X
ANGLO AMERICAN PLC ADR                       ADR                03485P102        81      3331   SHARES                         X
ANGLOGOLD LTD SPONSORED ADR                  ADR                035128206         7       155   SHARES                 X
ARACRUZ CELULOSE S A SPONSORED ADR           ADR                038496204        50      1300   SHARES                 X
ARACRUZ CELULOSE S A SPONSORED ADR           ADR                038496204       279      7300   SHARES                         X
ASA LTD                                      FOREIGN STOCK      002050102        48      1100   SHARES                 X
ASPEN INSURANCE HOLDINGS LTD                 FOREIGN STOCK      G05384105       118      4600   SHARES                         X
ASTRAZENECA GROUP PLC SPONSORED ADR          ADR                046353108        30       650   SHARES                 X
ASTRAZENECA GROUP PLC SPONSORED ADR          ADR                046353108        23       485   SHARES                         X
AU OPTRONICS CORP                            FOREIGN STOCK      002255107        10       500   SHARES                         X
AVENTIS SPONSORED ADR                        ADR                053561106       123      1600   SHARES                         X
AXA SPONSORED ADR                            ADR                054536107        70      3336   SHARES                         X
AXCAN PHARMA INCORPORATED                    FOREIGN STOCK      054923107        47      2490   SHARES                 X
AXCAN PHARMA INCORPORATED                    FOREIGN STOCK      054923107       192     10100   SHARES                         X
AXIS CAPITAL HOLDINGS LIMITED                FOREIGN STOCK      G0692U109        30      1000   SHARES                         X
BALLARD PWR SYS INC                          FOREIGN STOCK      05858H104         7       700   SHARES                 X
BANCO ITAU HOLDING FINANCEIRA SA             FOREIGN STOCK      059602201        47      1000   SHARES                         X
BARRICK GOLD CORP                            FOREIGN STOCK      067901108        14       600   SHARES                 X
BARRICK GOLD CORP                            FOREIGN STOCK      067901108        59      2465   SHARES                         X
BASF AG SPONSORED ADR                        ADR                055262505       250      4900   SHARES                         X
BAYER AG SPONSORED ADR                       ADR                072730302        24      1000   SHARES                 X
BENETTON GROUP SPA                           FOREIGN STOCK      081795403       119      5500   SHARES                         X
BENNETT ENVIRONMENTAL INCORPORATED           FOREIGN STOCK      081906109         9       700   SHARES                         X
BG GROUP PLC ADR                             ADR                055434203        17       550   SHARES                 X
BHP BILLITON LTD SPONSORED ADR               ADR                088606108        68      3632   SHARES                         X
BIOMIRA INC                                  FOREIGN STOCK      09161R106         4      2000   SHARES                 X
BIOTECH HOLDRS TRUST                         FOREIGN STOCK      09067D201        28       200   SHARES                 X
BIOTECH HOLDRS TRUST                         FOREIGN STOCK      09067D201       199      1400   SHARES                         X
BOC GROUP PLCSPONSORED ADR                   ADR                055617609       206      6200   SHARES                         X
BP PLC SPONSORED ADR                         ADR                055622104     16540    323051   SHARES                 X
BP PLC SPONSORED ADR                         ADR                055622104     18366    358710   SHARES                         X
BRASCAN CORP LTD VOT SHS CL A                FOREIGN STOCK      10549P606        32       800   SHARES                 X
BT GROUP PLC SPON ADR                        ADR                05577E101         8       250   SHARES                 X


FOREIGN COMMON STOCK/ADR'S

ABN AMRO HOLDING NV SPON ADR                    1            0      0    16425
ABN AMRO HOLDING NV SPON ADR                    1            0      0     8300
ACCENTURE LTDCL A                               1       263559      0      637
ACCENTURE LTDCL A                               1        12810      0    10600
ACE LTD                                         1          175      0        0
ACE LTD                                         1          600      0     1899
ADECCO SA ADR                                   1            0      0      835
AEGON N V ORD AMER REG SHS                      1        22362      0        0
AEGON N V ORD AMER REG SHS                      1         2160      0     8900
AGNICO EAGLE MINES LTD                          1          250      0        0
AGRIUM INC                                      1            0      0    21100
AKZO NOBEL NV SPON ADR                          1            0      0    12950
ALCAN INC                                       1           80      0        0
ALCAN INC                                       1         1700      0        0
ALCATEL SASPON ADR                              1          244      0        0
ALCON INC                                       1          248      0        0
ALCON INC                                       1            0      0     4180
ALLIANZ AGADR                                   1            0      0     6800
ALLIED DOMECQ PLCSPONS ADR                      1          300      0     5000
ALLIED IRISH BKS PLCSPON ADR                    1      1083317  52763   423620
ALLIED IRISH BKS PLCSPON ADR                    1       267420      0   246437
ALPHA PRO TECH LIMTED                           1         1500      0        0
AMDOCS LTD                                      1            0      0     1080
AMDOCS LTD                                      1            0      0    18420
AMERICA MOVIL  ADR SERIES A                     1         2198      0        0
AMERICA MOVIL  ADR SERIES L                     1         4466      0        0
AMERICA MOVIL  ADR SERIES L                     1         3000      0     1000
AMERICAN SAFETY INSURANCE HOLDINGS              1            0      0     1850
ANGLO AMERICAN PLC ADR                          1          225      0        0
ANGLO AMERICAN PLC ADR                          1         3331      0        0
ANGLOGOLD LTD SPONSORED ADR                     1          155      0        0
ARACRUZ CELULOSE S A SPONSORED ADR              1            0      0     1300
ARACRUZ CELULOSE S A SPONSORED ADR              1            0      0     7300
ASA LTD                                         1         1100      0        0
ASPEN INSURANCE HOLDINGS LTD                    1            0      0     4600
ASTRAZENECA GROUP PLC SPONSORED ADR             1          650      0        0
ASTRAZENECA GROUP PLC SPONSORED ADR             1          485      0        0
AU OPTRONICS CORP                               1          500      0        0
AVENTIS SPONSORED ADR                           1            0      0     1600
AXA SPONSORED ADR                               1          236      0     3100
AXCAN PHARMA INCORPORATED                       1            0      0     2490
AXCAN PHARMA INCORPORATED                       1            0      0    10100
AXIS CAPITAL HOLDINGS LIMITED                   1            0      0     1000
BALLARD PWR SYS INC                             1          700      0        0
BANCO ITAU HOLDING FINANCEIRA SA                1            0      0     1000
BARRICK GOLD CORP                               1          600      0        0
BARRICK GOLD CORP                               1         2465      0        0
BASF AG SPONSORED ADR                           1            0      0     4900
BAYER AG SPONSORED ADR                          1         1000      0        0
BENETTON GROUP SPA                              1            0      0     5500
BENNETT ENVIRONMENTAL INCORPORATED              1            0      0      700
BG GROUP PLC ADR                                1            0      0      550
BHP BILLITON LTD SPONSORED ADR                  1            0      0     3632
BIOMIRA INC                                     1         2000      0        0
BIOTECH HOLDRS TRUST                            1          200      0        0
BIOTECH HOLDRS TRUST                            1            0      0     1400
BOC GROUP PLCSPONSORED ADR                      1            0      0     6200
BP PLC SPONSORED ADR                            1       320451      0     2600
BP PLC SPONSORED ADR                            1       251342      0   107368
BRASCAN CORP LTD VOT SHS CL A                   1            0      0      800
BT GROUP PLC SPON ADR                           1          250      0        0

                                    53 OF 64                           5/14/2004




                                                                                                 
BUNGE LIMITED                                FOREIGN STOCK      G16962105       781     19430   SHARES                         X
BUSINESS OBJECTS S A                         FOREIGN STOCK      12328X107        17       600   SHARES                         X
CABLE & WIRELESS PLC SPONS ADR               ADR                126830207        21      3000   SHARES                 X
CADBURY SCHWEPPES PLC SPONS ADR              ADR                127209302       111      3450   SHARES                 X
CADBURY SCHWEPPES PLC SPONS ADR              ADR                127209302       289      9000   SHARES                         X
CAE INC COM                                  FOREIGN STOCK      124765108        11      2400   SHARES                         X
CAMECO CORPORATION                           FOREIGN STOCK      13321L108        45       900   SHARES                         X
CANADIAN NATL RY CO                          FOREIGN STOCK      136375102       243      6175   SHARES                 X
CANADIAN NATL RY CO                          FOREIGN STOCK      136375102        58      1467   SHARES                         X
CANON INC SPONS ADR                          ADR                138006309        20       380   SHARES                 X
CANON INC SPONS ADR                          ADR                138006309       409      7900   SHARES                         X
CEMEX S A SPONS ADR PART CER                 FOREIGN STOCK      151290889       212      7104   SHARES                 X
CEMEX S A SPONS ADR PART CER                 FOREIGN STOCK      151290889       256      8600   SHARES                         X
CHICAGO BRIDGE & IRON CO N V COM             FOREIGN STOCK      167250109        89      3200   SHARES                 X
CHICAGO BRIDGE & IRON CO N V COM             FOREIGN STOCK      167250109        30      1075   SHARES                         X
CNH GLOBAL N. V.                             FOREIGN STOCK      N20935206         2       100   SHARES                 X
CNOOC LTD ADR                                ADR                126132109        13       300   SHARES                         X
COCACOLA FEMSA SA DE CV SPON ADR             ADR                191241108        72      3000   SHARES                         X
COMMTOUCH SOFTWARE LTD                       FOREIGN STOCK      M25596103         0       100   SHARES                         X
COOPER INDUSTRIES LTD CL A                   FOREIGN STOCK      G24182100      1053     18419   SHARES                 X
COOPER INDUSTRIES LTD CL A                   FOREIGN STOCK      G24182100       235      4110   SHARES                         X
COTT CORP                                    FOREIGN STOCK      22163N106        58      1970   SHARES                 X
CREDIT SUISSE GROUP SPONSORED ADR            ADR                225401108        19       560   SHARES                 X
CREDIT SUISSE GROUP SPONSORED ADR            ADR                225401108        35      1000   SHARES                         X
DAIMLER CHRYSLER AG                          FOREIGN STOCK      D1668R123      4761    114056   SHARES                 X
DAIMLER CHRYSLER AG                          FOREIGN STOCK      D1668R123       112      2687   SHARES                         X
DESWELL INDUSTRIES INC                       FOREIGN STOCK      250639101        40      1500   SHARES                         X
DEUTSCHE TELEKOM AG SPONSORED ADR            ADR                251566105        17       927   SHARES                 X
DIAGEO PLC SPONSORED ADR                     ADR                25243Q205       113      2140   SHARES                 X
DIAGEO PLC SPONSORED ADR                     ADR                25243Q205       188      3550   SHARES                         X
DORAL FINANCIAL CORP                         FOREIGN STOCK      25811P100        99      2805   SHARES                         X
DR REDDYS LABS LTD ADR                       ADR                256135203        24      1000   SHARES                 X
DUSA PHARMACEUTICALS INCORPORATED            FOREIGN STOCK      266898105        45      4200   SHARES                         X
DYNAMIC OIL & GAS, INC.                      FOREIGN STOCK      267906105         1       200   SHARES                 X
E.ON  AG SPONSORED ADR                       ADR                268780103       264      4000   SHARES                         X
EBOOKERS PLC                                 FOREIGN STOCK      278725106         7       625   SHARES                         X
ELAN CORP PLC SPONS ADR                      ADR                284131208       104      5048   SHARES                 X
ELAN CORP PLC SPONS ADR                      ADR                284131208       341     16515   SHARES                         X
ENCANA CORP                                  FOREIGN STOCK      292505104       298      6900   SHARES                         X
ENDESA S A  SPONSORED ADR                    ADR                29258N107       124      6800   SHARES                 X
ENDESA S A  SPONSORED ADR                    ADR                29258N107       339     18600   SHARES                         X
ENERPLUS RESOURCES FUND                      FOREIGN STOCK      29274D604        82      2800   SHARES                 X
ENI SPA SPONS ADR                            ADR                26874R108       283      2800   SHARES                         X
ENTERRA ENERGY TRUST                         FOREIGN STOCK      29381P102        62      4000   SHARES                         X
EVEREST RE GROUP LTD COM                     FOREIGN STOCK      G3223R108       402      4708   SHARES                 X
EVEREST RE GROUP LTD COM                     FOREIGN STOCK      G3223R108        43       500   SHARES                         X
FAIRFAX FINANCIAL HOLDINGS LIMITED           FOREIGN STOCK      303901102        62       400   SHARES                 X
FLEXTRONICS INTL LTD                         FOREIGN STOCK      Y2573F102       340     19912   SHARES                 X
FLEXTRONICS INTL LTD                         FOREIGN STOCK      Y2573F102       719     42045   SHARES                         X
FORDING CANADIAN COAL TRUST                  FOREIGN STOCK      345425102       176      4360   SHARES                         X
FRESENIUS MED CARE                           FOREIGN STOCK      358029106         1        41   SHARES                 X
FRESENIUS MED CARE                           FOREIGN STOCK      358029106       120      5500   SHARES                         X
FUJI PHOTO FILM UNSPON ADR                   ADR                359586302       168      5300   SHARES                         X
GALLAHER GROUP PLC SPON ADR                  ADR                363595109       408      8505   SHARES                 X
GALLAHER GROUP PLC SPON ADR                  ADR                363595109       172      3577   SHARES                         X
GARMIN LIMITED ORD                           FOREIGN STOCK      G37260109         5       116   SHARES                 X
GARMIN LIMITED ORD                           FOREIGN STOCK      G37260109        13       300   SHARES                         X
GILAT SATELLITE NETWORKS LTD                 FOREIGN STOCK      M51474118        26      2910   SHARES                         X
GIVEN IMAGING                                FOREIGN STOCK      M52020100        92      2700   SHARES                         X
GLAMIS GOLD LTD                              ADR                376775102        90      4985   SHARES                         X
GLAXOSMITHKLINE PLC ADR                      ADR                37733W105       996     24923   SHARES                 X
GLAXOSMITHKLINE PLC ADR                      ADR                37733W105      1707     42725   SHARES                         X
GOLD FIELDS LIMITED ADR                      ADR                38059T106        16      1250   SHARES                 X
GOLDCORP INC                                 FOREIGN STOCK      380956409        15      1000   SHARES                 X


BUNGE LIMITED                                   1            0      0    19430
BUSINESS OBJECTS S A                            1            0      0      600
CABLE & WIRELESS PLC SPONS ADR                  1            0      0     3000
CADBURY SCHWEPPES PLC SPONS ADR                 1         3000      0      450
CADBURY SCHWEPPES PLC SPONS ADR                 1            0      0     9000
CAE INC COM                                     1            0      0     2400
CAMECO CORPORATION                              1            0      0      900
CANADIAN NATL RY CO                             1         3325      0     2850
CANADIAN NATL RY CO                             1          717      0      750
CANON INC SPONS ADR                             1            0      0      380
CANON INC SPONS ADR                             1            0      0     7900
CEMEX S A SPONS ADR PART CER                    1         5423      0     1681
CEMEX S A SPONS ADR PART CER                    1            0      0     8600
CHICAGO BRIDGE & IRON CO N V COM                1          200      0     3000
CHICAGO BRIDGE & IRON CO N V COM                1            0      0     1075
CNH GLOBAL N. V.                                1          100      0        0
CNOOC LTD ADR                                   1          300      0        0
COCACOLA FEMSA SA DE CV SPON ADR                1            0      0     3000
COMMTOUCH SOFTWARE LTD                          1          100      0        0
COOPER INDUSTRIES LTD CL A                      1        18419      0        0
COOPER INDUSTRIES LTD CL A                      1         2810      0     1300
COTT CORP                                       1            0      0     1970
CREDIT SUISSE GROUP SPONSORED ADR               1            0      0      560
CREDIT SUISSE GROUP SPONSORED ADR               1            0      0     1000
DAIMLER CHRYSLER AG                             1       114056      0        0
DAIMLER CHRYSLER AG                             1          768      0     1919
DESWELL INDUSTRIES INC                          1            0      0     1500
DEUTSCHE TELEKOM AG SPONSORED ADR               1          927      0        0
DIAGEO PLC SPONSORED ADR                        1         2140      0        0
DIAGEO PLC SPONSORED ADR                        1         1350      0     2200
DORAL FINANCIAL CORP                            1          800      0     2005
DR REDDYS LABS LTD ADR                          1         1000      0        0
DUSA PHARMACEUTICALS INCORPORATED               1         4200      0        0
DYNAMIC OIL & GAS, INC.                         1          200      0        0
E.ON  AG SPONSORED ADR                          1            0      0     4000
EBOOKERS PLC                                    1            0      0      625
ELAN CORP PLC SPONS ADR                         1           48      0     5000
ELAN CORP PLC SPONS ADR                         1            0      0    16515
ENCANA CORP                                     1            0      0     6900
ENDESA S A  SPONSORED ADR                       1         6800      0        0
ENDESA S A  SPONSORED ADR                       1         1600      0    17000
ENERPLUS RESOURCES FUND                         1         2800      0        0
ENI SPA SPONS ADR                               1            0      0     2800
ENTERRA ENERGY TRUST                            1         4000      0        0
EVEREST RE GROUP LTD COM                        1         4708      0        0
EVEREST RE GROUP LTD COM                        1            0      0      500
FAIRFAX FINANCIAL HOLDINGS LIMITED              1          400      0        0
FLEXTRONICS INTL LTD                            1        19912      0        0
FLEXTRONICS INTL LTD                            1        21010      0    21035
FORDING CANADIAN COAL TRUST                     1         2600      0     1760
FRESENIUS MED CARE                              1           41      0        0
FRESENIUS MED CARE                              1            0      0     5500
FUJI PHOTO FILM UNSPON ADR                      1            0      0     5300
GALLAHER GROUP PLC SPON ADR                     1         8505      0        0
GALLAHER GROUP PLC SPON ADR                     1         3469      0      108
GARMIN LIMITED ORD                              1          116      0        0
GARMIN LIMITED ORD                              1          300      0        0
GILAT SATELLITE NETWORKS LTD                    1            0      0     2910
GIVEN IMAGING                                   1            0      0     2700
GLAMIS GOLD LTD                                 1         4985      0        0
GLAXOSMITHKLINE PLC ADR                         1        21333      0     3590
GLAXOSMITHKLINE PLC ADR                         1        26470      0    16255
GOLD FIELDS LIMITED ADR                         1         1250      0        0
GOLDCORP INC                                    1         1000      0        0

                                    54 OF 64                           5/14/2004




                                                                                                 
GOLDCORP INC                                 FOREIGN STOCK      380956409        37      2500   SHARES                         X
GOLDEN STAR RESOURCES LIMITED                FOREIGN STOCK      38119T104        57      8010   SHARES                         X
GRUPO ELEKTRA                                FOREIGN STOCK      40050A201        16       620   SHARES                         X
HARMONY GOLD MINING SPON ADR                 ADR                413216300         4       250   SHARES                 X
HELLENIC TELECOMMUNICATIONS ORG ADR          ADR                423325307         1       100   SHARES                 X
HELLENIC TELECOMMUNICATIONS ORG ADR          ADR                423325307       238     33000   SHARES                         X
HONDA MTR LTD AMERN SHS                      FOREIGN STOCK      438128308         7       300   SHARES                 X
HONDA MTR LTD AMERN SHS                      FOREIGN STOCK      438128308       312     13500   SHARES                         X
HSBC HOLDINGS PLC SPONSORED ADR              ADR                404280406       244      3267   SHARES                 X
HSBC HOLDINGS PLC SPONSORED ADR              ADR                404280406       211      2817   SHARES                         X
HUANENG POWER INTLSPONS ADR                  ADR                443304100       103      1310   SHARES                         X
HUB INTERNATIONAL LIMITED                    FOREIGN STOCK      44332P101        19      1025   SHARES                         X
ICICI BANK LIMITED SPONSORED ADR             ADR                45104G104         3       200   SHARES                 X
IMPERIAL OIL LTD                             FOREIGN STOCK      453038408         2        49   SHARES                 X
IMPERIAL OIL LTD                             FOREIGN STOCK      453038408       215      4800   SHARES                         X
INCO LTD                                     FOREIGN STOCK      453258402        48      1400   SHARES                         X
INFOSYS TECHNOLOGIES LTDSPON ADR             ADR                456788108        20       250   SHARES                 X
INFOSYS TECHNOLOGIES LTDSPON ADR             ADR                456788108       180      2200   SHARES                         X
ING GROEP N V SPONSORED ADR                  ADR                456837103        21       955   SHARES                 X
ING GROEP N V SPONSORED ADR                  ADR                456837103        37      1700   SHARES                         X
INGERSOLLRAND COMPANY LTDA                   FOREIGN STOCK      G4776G101       330      4875   SHARES                 X
INGERSOLLRAND COMPANY LTDA                   FOREIGN STOCK      G4776G101      2468     36478   SHARES                         X
INTERNATIONAL ABSORBENTS INC                 FOREIGN STOCK      45885E203         2       315   SHARES                 X
INTERNATIONAL PWR PLC ADR                    ADR                46018M104        81      3000   SHARES                         X
INTRAWEST CORPORATION                        FOREIGN STOCK      460915200        16       925   SHARES                         X
IPC HOLDINGS LTD                             FOREIGN STOCK      G4933P101        55      1400   SHARES                 X
IPC HOLDINGS LTD                             FOREIGN STOCK      G4933P101       721     18310   SHARES                         X
KINROSS GOLD CORPORATION                     FOREIGN STOCK      496902206         1       169   SHARES                 X
KIRIN BREWERY COSPONSOR ADR                  ADR                497350306        89      8400   SHARES                         X
KONINKLIJKE AHOLD NV SPONS ADR               ADR                500467303        36      4360   SHARES                 X
KONINKLIJKE PHILIPS ELEC N V NY SHR          FOREIGN STOCK      500472303       491     16959   SHARES                 X
KONINKLIJKE PHILIPS ELEC N V NY SHR          FOREIGN STOCK      500472303       429     14801   SHARES                         X
KOOKMIN BK SPON ADR                          ADR                50049M109        21       520   SHARES                 X
KOOKMIN BK SPON ADR                          ADR                50049M109        49      1200   SHARES                         X
KOREA ELECTRIC POWER CORP SP ADR             ADR                500631106       103     10000   SHARES                         X
KT CORPORATION SP ADR                        ADR                48268K101         0         5   SHARES                 X
LAFARGE S ASPONSORED ADR                     ADR                505861401       275     13450   SHARES                         X
LLOYDS TSB GROUP PLC ADR                     ADR                539439109       171      5500   SHARES                         X
LOGITECH INTL S A ADR                        ADR                541419107       188      4100   SHARES                         X
MAGNA INTL INC CL A                          FOREIGN STOCK      559222401       253      3200   SHARES                 X
MAGNA INTL INC CL A                          FOREIGN STOCK      559222401       194      2450   SHARES                         X
MANULIFE FINL CORP                           FOREIGN STOCK      56501R106       566     15227   SHARES                 X
MANULIFE FINL CORP                           FOREIGN STOCK      56501R106        45      1200   SHARES                         X
MARVEL TECHNOLOGY GROUP LTD                  FOREIGN STOCK      G5876H105         1        15   SHARES                 X
MARVEL TECHNOLOGY GROUP LTD                  FOREIGN STOCK      G5876H105       448      9970   SHARES                         X
MAX RE CAPITAL LIMITED                       FOREIGN STOCK      G6052F103       255     11300   SHARES                         X
MI DEVELOPMENTS INC                          FOREIGN STOCK      55304X104        19       675   SHARES                         X
MILLEA HOLDINGS INC ADR                      ADR                60032R106        30       380   SHARES                 X
MILLEA HOLDINGS INC ADR                      ADR                60032R106       194      2500   SHARES                         X
MITSUBISHI TOKYO FINANCIAL GROUP ADR         ADR                606816106        90      9080   SHARES                         X
MONTPELIER RE HOLDINGS LIMITED               FOREIGN STOCK      G62185106        11       300   SHARES                 X
MONTPELIER RE HOLDINGS LIMITED               FOREIGN STOCK      G62185106       521     14000   SHARES                         X
NABORS INDUSTRIES LTD                        FOREIGN STOCK      G6359F103      5381    117608   SHARES                 X
NABORS INDUSTRIES LTD                        FOREIGN STOCK      G6359F103       143      3115   SHARES                         X
NAM TAI ELECTRONICS INCORPORATED             FOREIGN STOCK      629865205        78      3060   SHARES                         X
NATIONAL AUSTRALIA BK LTD                    FOREIGN STOCK      632525408       296      2500   SHARES                         X
NATIONAL BANK OF GREECE ADR                  ADR                633643408         6      1100   SHARES                         X
NATUZZI SPA  SP ADR                          ADR                63905A101        53      4925   SHARES                 X
NEWS CORP LTD SPONS ADR                      ADR                652487703        58      1600   SHARES                         X
NISSAN MTR LTD SPONSORED ADR                 ADR                654744408        57      2594   SHARES                 X
NOBLE CORPORATION                            FOREIGN STOCK      G65422100        77      2000   SHARES                         X
NOKIA CORP SPONSORED ADR                     ADR                654902204       982     48410   SHARES                 X
NOKIA CORP SPONSORED ADR                     ADR                654902204      1455     71751   SHARES                         X
NOMURA HLDGS INC                             FOREIGN STOCK      65535H208       142      7800   SHARES                         X


GOLDCORP INC                                    1            0      0     2500
GOLDEN STAR RESOURCES LIMITED                   1            0      0     8010
GRUPO ELEKTRA                                   1            0      0      620
HARMONY GOLD MINING SPON ADR                    1          250      0        0
HELLENIC TELECOMMUNICATIONS ORG ADR             1          100      0        0
HELLENIC TELECOMMUNICATIONS ORG ADR             1            0      0    33000
HONDA MTR LTD AMERN SHS                         1          300      0        0
HONDA MTR LTD AMERN SHS                         1            0      0    13500
HSBC HOLDINGS PLC SPONSORED ADR                 1         2017      0     1250
HSBC HOLDINGS PLC SPONSORED ADR                 1         1190      0     1627
HUANENG POWER INTLSPONS ADR                     1         1310      0        0
HUB INTERNATIONAL LIMITED                       1            0      0     1025
ICICI BANK LIMITED SPONSORED ADR                1          200      0        0
IMPERIAL OIL LTD                                1           49      0        0
IMPERIAL OIL LTD                                1            0      0     4800
INCO LTD                                        1            0      0     1400
INFOSYS TECHNOLOGIES LTDSPON ADR                1          250      0        0
INFOSYS TECHNOLOGIES LTDSPON ADR                1            0      0     2200
ING GROEP N V SPONSORED ADR                     1            0      0      955
ING GROEP N V SPONSORED ADR                     1            0      0     1700
INGERSOLLRAND COMPANY LTDA                      1         4175      0      700
INGERSOLLRAND COMPANY LTDA                      1         9718      0    26760
INTERNATIONAL ABSORBENTS INC                    1          315      0        0
INTERNATIONAL PWR PLC ADR                       1            0      0     3000
INTRAWEST CORPORATION                           1            0      0      925
IPC HOLDINGS LTD                                1         1400      0        0
IPC HOLDINGS LTD                                1            0      0    18310
KINROSS GOLD CORPORATION                        1          169      0        0
KIRIN BREWERY COSPONSOR ADR                     1            0      0     8400
KONINKLIJKE AHOLD NV SPONS ADR                  1         4360      0        0
KONINKLIJKE PHILIPS ELEC N V NY SHR             1        16694      0      265
KONINKLIJKE PHILIPS ELEC N V NY SHR             1         2401      0    12400
KOOKMIN BK SPON ADR                             1            0      0      520
KOOKMIN BK SPON ADR                             1            0      0     1200
KOREA ELECTRIC POWER CORP SP ADR                1        10000      0        0
KT CORPORATION SP ADR                           1            0      0        5
LAFARGE S ASPONSORED ADR                        1            0      0    13450
LLOYDS TSB GROUP PLC ADR                        1            0      0     5500
LOGITECH INTL S A ADR                           1            0      0     4100
MAGNA INTL INC CL A                             1         3200      0        0
MAGNA INTL INC CL A                             1         1450      0     1000
MANULIFE FINL CORP                              1        15227      0        0
MANULIFE FINL CORP                              1            0      0     1200
MARVEL TECHNOLOGY GROUP LTD                     1           15      0        0
MARVEL TECHNOLOGY GROUP LTD                     1            0      0     9970
MAX RE CAPITAL LIMITED                          1            0      0    11300
MI DEVELOPMENTS INC                             1          675      0        0
MILLEA HOLDINGS INC ADR                         1            0      0      380
MILLEA HOLDINGS INC ADR                         1            0      0     2500
MITSUBISHI TOKYO FINANCIAL GROUP ADR            1            0      0     9080
MONTPELIER RE HOLDINGS LIMITED                  1          300      0        0
MONTPELIER RE HOLDINGS LIMITED                  1            0      0    14000
NABORS INDUSTRIES LTD                           1       117358      0      250
NABORS INDUSTRIES LTD                           1         2990      0      125
NAM TAI ELECTRONICS INCORPORATED                1         1000      0     2060
NATIONAL AUSTRALIA BK LTD                       1         1000      0     1500
NATIONAL BANK OF GREECE ADR                     1            0      0     1100
NATUZZI SPA  SP ADR                             1            0      0     4925
NEWS CORP LTD SPONS ADR                         1            0      0     1600
NISSAN MTR LTD SPONSORED ADR                    1         2594      0        0
NOBLE CORPORATION                               1            0      0     2000
NOKIA CORP SPONSORED ADR                        1        47460      0      950
NOKIA CORP SPONSORED ADR                        1        22601      0    49150
NOMURA HLDGS INC                                1            0      0     7800

                                    55 OF 64                           5/14/2004




                                                                                                 
NORANDA INC LTD                              FOREIGN STOCK      655422103        22      1200   SHARES                         X
NORSK HYDRO ASASPONS ADR                     ADR                656531605       197      2800   SHARES                         X
NORTEL NETWORKS CORP                         FOREIGN STOCK      656568102       593     99913   SHARES                 X
NORTEL NETWORKS CORP                         FOREIGN STOCK      656568102       127     21460   SHARES                         X
NOVA CHEMICALS CORP                          FOREIGN STOCK      66977W109       527     21000   SHARES                         X
NOVARTIS AG ADR                              ADR                66987V109        98      2295   SHARES                 X
NOVARTIS AG ADR                              ADR                66987V109      1115     26176   SHARES                         X
NOVATEL INC                                  FOREIGN STOCK      669954109        51      4750   SHARES                         X
NTT DOCOMO INC SPONSORED ADR                 ADR                62942M201       188      8500   SHARES                         X
ORBOTECH LTD                                 FOREIGN STOCK      M75253100         7       280   SHARES                 X
ORBOTECH LTD                                 FOREIGN STOCK      M75253100        22       900   SHARES                         X
ORIENTAL FINANCIAL GROUP INC                 FOREIGN STOCK      68618W100        10       303   SHARES                         X
PAN AMERICAN SILVER CORPORATION              FOREIGN STOCK      697900108        27      1500   SHARES                 X
PARTNERRE LTD                                FOREIGN STOCK      G6852T105       113      2010   SHARES                 X
PARTNERRE LTD                                FOREIGN STOCK      G6852T105       102      1800   SHARES                         X
PCCW LTD SPONSORED ADR                       ADR                70454G207        61      9000   SHARES                         X
PEARSON PLC SPONSORED ADR                    ADR                705015105        14      1175   SHARES                 X
PEARSON PLC SPONSORED ADR                    ADR                705015105        67      5800   SHARES                         X
PETROKAZAKHSTAN INC.                         FOREIGN STOCK      71649P102       110      3900   SHARES                         X
PETROLEO BRASILEIRO SA SPNS ADR              ADR                71654V408       115      3430   SHARES                         X
PLACER DOME INC                              FOREIGN STOCK      725906101         4       250   SHARES                 X
PLACER DOME INC                              FOREIGN STOCK      725906101        52      2912   SHARES                         X
PLATINUM UNDERWRITERS HOLDINGS LTD           FOREIGN STOCK      G7127P100       745     23250   SHARES                         X
POPULAR INC                                  FOREIGN STOCK      733174106       437     10146   SHARES                 X
POPULAR INC                                  FOREIGN STOCK      733174106        97      2250   SHARES                         X
PORTUGAL TELECOM SGPS S A SPONS ADR          ADR                737273102        65      5800   SHARES                         X
POSCO                                        FOREIGN STOCK      693483109        14       385   SHARES                 X
POTASH CORP OF SASKATCHEWAN INC              FOREIGN STOCK      73755L107       111      1340   SHARES                         X
PUBLICIS GROUPE S A SPONSORED ADR            ADR                74463M106        24       790   SHARES                 X
PUBLICIS GROUPE S A SPONSORED ADR            ADR                74463M106       122      4000   SHARES                         X
QUEBECOR WORLD INC COMMON STOCK NPV          FOREIGN STOCK      748203106       116      6300   SHARES                         X
RADICA GAMES LIMITED                         FOREIGN STOCK      G7342H107        12      1350   SHARES                         X
REED ELSEVIER NVSPONSORED ADR                ADR                758204101       260      9800   SHARES                         X
REED ELSEVIER PLC SPONS ADR                  ADR                758205108        33       925   SHARES                 X
RENAISSANCERE HOLDINGS LTD                   FOREIGN STOCK      G7496G103       312      6000   SHARES                 X
RENAISSANCERE HOLDINGS LTD                   FOREIGN STOCK      G7496G103       441      8475   SHARES                         X
REPSOL YPF SA SPON ADR                       ADR                76026T205       139      6685   SHARES                 X
REPSOL YPF SA SPON ADR                       ADR                76026T205        25      1200   SHARES                         X
REUTERS GROUP PLC SPONS ADR                  ADR                76132M102        40       929   SHARES                 X
REXAM PLC                                    FOREIGN STOCK      761655406       113      2700   SHARES                         X
RIO TINTO PLC SPONSORED ADR                  ADR                767204100       151      1500   SHARES                         X
ROGERS COMMUNICATIONS INC CL B               FOREIGN STOCK      775109200       112      6000   SHARES                         X
ROYAL BANK SCOTLAND PLC ADR SER E            ADR                780097705        43      1500   SHARES                         X
ROYAL CARIBBEAN CRUISES LTD                  FOREIGN STOCK      V7780T103        49      1100   SHARES                         X
ROYAL DUTCH PETE CO N Y REGISTRY SH          FOREIGN STOCK      780257804      4639     97489   SHARES                 X
ROYAL DUTCH PETE CO N Y REGISTRY SH          FOREIGN STOCK      780257804      4957    104174   SHARES                         X
ROYAL KPN N V SPONS ADR                      ADR                780641205        18      2275   SHARES                 X
ROYAL KPN N V SPONS ADR                      ADR                780641205        67      8500   SHARES                         X
RYANAIR HLDGS PLC SPONSORED ADR              ADR                783513104        44      1300   SHARES                         X
SAP AG SPONS ADR                             ADR                803054204        10       250   SHARES                 X
SAP AG SPONS ADR                             ADR                803054204       189      4810   SHARES                         X
SAPPI LTD SPONSORED ADR                      ADR                803069202        13       940   SHARES                 X
SATYAM COMPUTER SERVICES LIMITEDADR          ADR                804098101        21      1000   SHARES                 X
SBS BROADCASTING SA                          FOREIGN STOCK      L8137F102        61      1700   SHARES                         X
SCHERING AGADR                               ADR                806585204       120      2500   SHARES                         X
SCHLUMBERGER LTD                             FOREIGN STOCK      806857108      8359    130918   SHARES                 X
SCHLUMBERGER LTD                             FOREIGN STOCK      806857108      6004     94036   SHARES                         X
SCOTTISH POWER PLC ADR                       ADR                81013T705        47      1656   SHARES                 X
SCOTTISH POWER PLC ADR                       ADR                81013T705       209      7340   SHARES                         X
SCOTTISH RE GROUP LTD                        FOREIGN STOCK      G7885T104       434     17950   SHARES                         X
SHAW COMMUNICATIONS INC CL B                 FOREIGN STOCK      82028K200        13       805   SHARES                 X
SHELL TRANSPORT & TRADING PLC ADR            ADR                822703609         8       200   SHARES                 X
SHIRE PHARMACEUTICALS SPON ADR               ADR                82481R106        18       625   SHARES                 X
SHIRE PHARMACEUTICALS SPON ADR               ADR                82481R106        91      3100   SHARES                         X


NORANDA INC LTD                                 1         1200      0        0
NORSK HYDRO ASASPONS ADR                        1            0      0     2800
NORTEL NETWORKS CORP                            1        89913      0    10000
NORTEL NETWORKS CORP                            1         6060      0    15400
NOVA CHEMICALS CORP                             1            0      0    21000
NOVARTIS AG ADR                                 1          900      0     1395
NOVARTIS AG ADR                                 1            0      0    26176
NOVATEL INC                                     1            0      0     4750
NTT DOCOMO INC SPONSORED ADR                    1            0      0     8500
ORBOTECH LTD                                    1            0      0      280
ORBOTECH LTD                                    1            0      0      900
ORIENTAL FINANCIAL GROUP INC                    1            0      0      303
PAN AMERICAN SILVER CORPORATION                 1            0      0     1500
PARTNERRE LTD                                   1         2010      0        0
PARTNERRE LTD                                   1            0      0     1800
PCCW LTD SPONSORED ADR                          1            0      0     9000
PEARSON PLC SPONSORED ADR                       1            0      0     1175
PEARSON PLC SPONSORED ADR                       1            0      0     5800
PETROKAZAKHSTAN INC.                            1         3900      0        0
PETROLEO BRASILEIRO SA SPNS ADR                 1            0      0     3430
PLACER DOME INC                                 1          250      0        0
PLACER DOME INC                                 1         1212      0     1700
PLATINUM UNDERWRITERS HOLDINGS LTD              1            0      0    23250
POPULAR INC                                     1          650      0     9496
POPULAR INC                                     1          650      0     1600
PORTUGAL TELECOM SGPS S A SPONS ADR             1            0      0     5800
POSCO                                           1            0      0      385
POTASH CORP OF SASKATCHEWAN INC                 1            0      0     1340
PUBLICIS GROUPE S A SPONSORED ADR               1            0      0      790
PUBLICIS GROUPE S A SPONSORED ADR               1            0      0     4000
QUEBECOR WORLD INC COMMON STOCK NPV             1            0      0     6300
RADICA GAMES LIMITED                            1            0      0     1350
REED ELSEVIER NVSPONSORED ADR                   1            0      0     9800
REED ELSEVIER PLC SPONS ADR                     1            0      0      925
RENAISSANCERE HOLDINGS LTD                      1            0      0     6000
RENAISSANCERE HOLDINGS LTD                      1         5075      0     3400
REPSOL YPF SA SPON ADR                          1         6000      0      685
REPSOL YPF SA SPON ADR                          1         1200      0        0
REUTERS GROUP PLC SPONS ADR                     1          719      0      210
REXAM PLC                                       1            0      0     2700
RIO TINTO PLC SPONSORED ADR                     1            0      0     1500
ROGERS COMMUNICATIONS INC CL B                  1            0      0     6000
ROYAL BANK SCOTLAND PLC ADR SER E               1         1000      0      500
ROYAL CARIBBEAN CRUISES LTD                     1            0      0     1100
ROYAL DUTCH PETE CO N Y REGISTRY SH             1        97489      0        0
ROYAL DUTCH PETE CO N Y REGISTRY SH             1        79076      0    25098
ROYAL KPN N V SPONS ADR                         1            0      0     2275
ROYAL KPN N V SPONS ADR                         1            0      0     8500
RYANAIR HLDGS PLC SPONSORED ADR                 1            0      0     1300
SAP AG SPONS ADR                                1          250      0        0
SAP AG SPONS ADR                                1            0      0     4810
SAPPI LTD SPONSORED ADR                         1            0      0      940
SATYAM COMPUTER SERVICES LIMITEDADR             1            0      0     1000
SBS BROADCASTING SA                             1            0      0     1700
SCHERING AGADR                                  1            0      0     2500
SCHLUMBERGER LTD                                1       130018      0      900
SCHLUMBERGER LTD                                1        57626      0    36410
SCOTTISH POWER PLC ADR                          1         1656      0        0
SCOTTISH POWER PLC ADR                          1          540      0     6800
SCOTTISH RE GROUP LTD                           1            0      0    17950
SHAW COMMUNICATIONS INC CL B                    1            0      0      805
SHELL TRANSPORT & TRADING PLC ADR               1          200      0        0
SHIRE PHARMACEUTICALS SPON ADR                  1            0      0      625
SHIRE PHARMACEUTICALS SPON ADR                  1            0      0     3100

                                    56 OF 64                           5/14/2004


                                                                                                 
SIGNET GROUP PLCSPONSORED ADR                ADR                82668L872       109      1750   SHARES                         X
SILICONWARE PRECISION INDUSTRIES COM         FOREIGN STOCK      827084864         3       500   SHARES                         X
SKILLSOFT PUBLIC LTD CO ADR                  ADR                830928107         6       500   SHARES                 X
SKILLSOFT PUBLIC LTD CO ADR                  ADR                830928107       253     19800   SHARES                         X
SMEDVIG A S SPONSORED ADR A                  ADR                83169H105         7       715   SHARES                 X
SMEDVIG ASA SPONSORED ADR B                  ADR                83169H204        35      4600   SHARES                         X
SMITH & NEPHEW PLC SPONSORED ADR             ADR                83175M205        16       310   SHARES                 X
SONY CORP  SPONSORED ADR                     ADR                835699307        59      1400   SHARES                         X
SOUTHERN PERU COPPER CORPORATION             FOREIGN STOCK      843611104      1416     35000   SHARES                         X
STMICROELECTRONICS N V                       FOREIGN STOCK      861012102       477     20210   SHARES                 X
STMICROELECTRONICS N V                       FOREIGN STOCK      861012102        21       900   SHARES                         X
STORA ENSO OYJ SPONSORED ADR                 ADR                86210M106        19      1500   SHARES                         X
SUN LIFE FINL INC                            FOREIGN STOCK      866796105        75      2809   SHARES                 X
SUNCOR ENERGY INC COM                        FOREIGN STOCK      867229106        19       685   SHARES                 X
SUNCOR ENERGY INC COM                        FOREIGN STOCK      867229106         3       100   SHARES                         X
TAIWAN SEMICONDUCTOR SPON ADR                ADR                874039100      1685    161399   SHARES                 X
TAIWAN SEMICONDUCTOR SPON ADR                ADR                874039100       193     18471   SHARES                         X
TALISMAN ENERGY INC                          FOREIGN STOCK      87425E103       277      4700   SHARES                         X
TARO PHARMACEUTICAL INDUSTRIES LTD           FOREIGN STOCK      M8737E108        56       960   SHARES                 X
TDK CORPORATION SPONSORED ADR                ADR                872351408        21       275   SHARES                 X
TDK CORPORATION SPONSORED ADR                ADR                872351408        68       900   SHARES                         X
TECHNIPCOFLEXIP SA SPONSORED ADR             ADR                878546209        26       750   SHARES                 X
TECHNIPCOFLEXIP SA SPONSORED ADR             ADR                878546209       149      4300   SHARES                         X
TELECOM HOLDERS TRUST                        FOREIGN STOCK      87927P200         3       100   SHARES                 X
TELECOM NEW ZEALAND SPON ADR                 ADR                879278208       228      7300   SHARES                         X
TELEFONAKTIEBOLAGET LM ERICSSON ADR          ADR                294821608        45      1610   SHARES                 X
TELEFONAKTIEBOLAGET LM ERICSSON ADR          ADR                294821608        41      1460   SHARES                         X
TELEFONICA S A SPONSORED ADR                 ADR                879382208       324      7124   SHARES                 X
TELEFONICA S A SPONSORED ADR                 ADR                879382208       101      2213   SHARES                         X
TELEFONOS DE MEXICO SP ADR A                 ADR                879403707        77      2198   SHARES                 X
TELEFONOS DE MEXICO SP ADR L                 ADR                879403780       120      3446   SHARES                 X
TELEFONOS DE MEXICO SP ADR L                 ADR                879403780       314      9000   SHARES                         X
Teva Pharmaceutical Industries, Ltd., ADR    ADR                881624209       755     11900   SHARES                 X
TEVA PHARMACEUTICAL SPONS ADR                ADR                881624209       720     11364   SHARES                 X
TEVA PHARMACEUTICAL SPONS ADR                ADR                881624209       883     13929   SHARES                         X
THOMSON SA SPONSORED ADR                     ADR                885118109       194     10400   SHARES                         X
TOMMY HILFIGER CORP                          FOREIGN STOCK      G8915Z102        14       800   SHARES                 X
TOMMY HILFIGER CORP                          FOREIGN STOCK      G8915Z102       238     14000   SHARES                         X
TOTAL SA SPONSORED ADR                       ADR                89151E109        19       205   SHARES                 X
TOTAL SA SPONSORED ADR                       ADR                89151E109       248      2700   SHARES                         X
TOYOTA MTR CORP SPON ADR                     ADR                892331307        37       500   SHARES                 X
TOYOTA MTR CORP SPON ADR                     ADR                892331307       268      3600   SHARES                         X
TPG NV SPONSORED ADR COM                     FOREIGN STOCK      892339102       133      6300   SHARES                         X
TSAKOS ENERGY NAVIAGATION LTD                FOREIGN STOCK      G9108L108         4       125   SHARES                 X
TSAKOS ENERGY NAVIAGATION LTD                FOREIGN STOCK      G9108L108        56      1850   SHARES                         X
TV AZTECA SA DE CV SPONS ADR                 ADR                901145102        31      3300   SHARES                         X
UBS AG                                       FOREIGN STOCK      H8920M855        83      1113   SHARES                 X
UBS AG                                       FOREIGN STOCK      H8920M855        48       648   SHARES                         X
UNILEVER NV NY SHARES                        FOREIGN STOCK      904784709       723     10412   SHARES                 X
UNILEVER NV NY SHARES                        FOREIGN STOCK      904784709       572      8234   SHARES                         X
UNILEVER PLC SPONSORED ADR                   ADR                904767704         4        89   SHARES                 X
UNILEVER PLC SPONSORED ADR                   ADR                904767704      1214     30119   SHARES                         X
UNITED NATIONAL GROUP LTD  A                 FOREIGN STOCK      91103X102       168      9900   SHARES                         X
VASOGEN INCORPORATED                         FOREIGN STOCK      92232F103         5       900   SHARES                         X
VODAFONE GROUP PLC SPONSORED ADR             ADR                92857W100      1355     56686   SHARES                 X
VODAFONE GROUP PLC SPONSORED ADR             ADR                92857W100      1702     71206   SHARES                         X
VOLVO AB SPONS ADR B                         ADR                928856400       254      7700   SHARES                         X
W HOLDING COMPANY INC                        FOREIGN STOCK      929251106       154      8218   SHARES                 X
W HOLDING COMPANY INC                        FOREIGN STOCK      929251106       128      6850   SHARES                         X
WEATHERFORD INTL LTD BERMUDA                 FOREIGN STOCK      G95089101      1372     32653   SHARES                 X
WEATHERFORD INTL LTD BERMUDA                 FOREIGN STOCK      G95089101       459     10925   SHARES                         X
WHITE MOUNTAINS INSURANCE GROUP LTD          FOREIGN STOCK      G9618E107       315       600   SHARES                 X
WHITE MOUNTAINS INSURANCE GROUP LTD          FOREIGN STOCK      G9618E107       944      1800   SHARES                         X
WILLIS GROUP HLDGS LTD                       FOREIGN STOCK      G96655108       342      9200   SHARES                         X


SIGNET GROUP PLCSPONSORED ADR                   1            0      0     1750
SILICONWARE PRECISION INDUSTRIES COM            1          500      0        0
SKILLSOFT PUBLIC LTD CO ADR                     1          500      0        0
SKILLSOFT PUBLIC LTD CO ADR                     1            0      0    19800
SMEDVIG A S SPONSORED ADR A                     1            0      0      715
SMEDVIG ASA SPONSORED ADR B                     1            0      0     4600
SMITH & NEPHEW PLC SPONSORED ADR                1            0      0      310
SONY CORP  SPONSORED ADR                        1         1400      0        0
SOUTHERN PERU COPPER CORPORATION                1        17400      0    17600
STMICROELECTRONICS N V                          1        20210      0        0
STMICROELECTRONICS N V                          1          900      0        0
STORA ENSO OYJ SPONSORED ADR                    1         1500      0        0
SUN LIFE FINL INC                               1         2809      0        0
SUNCOR ENERGY INC COM                           1          685      0        0
SUNCOR ENERGY INC COM                           1            0      0      100
TAIWAN SEMICONDUCTOR SPON ADR                   1       157349      0     4050
TAIWAN SEMICONDUCTOR SPON ADR                   1         9934      0     8537
TALISMAN ENERGY INC                             1            0      0     4700
TARO PHARMACEUTICAL INDUSTRIES LTD              1            0      0      960
TDK CORPORATION SPONSORED ADR                   1            0      0      275
TDK CORPORATION SPONSORED ADR                   1            0      0      900
TECHNIPCOFLEXIP SA SPONSORED ADR                1            0      0      750
TECHNIPCOFLEXIP SA SPONSORED ADR                1            0      0     4300
TELECOM HOLDERS TRUST                           1          100      0        0
TELECOM NEW ZEALAND SPON ADR                    1         2000      0     5300
TELEFONAKTIEBOLAGET LM ERICSSON ADR             1         1610      0        0
TELEFONAKTIEBOLAGET LM ERICSSON ADR             1         1460      0        0
TELEFONICA S A SPONSORED ADR                    1         6802      0      322
TELEFONICA S A SPONSORED ADR                    1          713      0     1500
TELEFONOS DE MEXICO SP ADR A                    1         2198      0        0
TELEFONOS DE MEXICO SP ADR L                    1         3446      0        0
TELEFONOS DE MEXICO SP ADR L                    1         1400      0     7600
Teva Pharmaceutical Industries, Ltd., ADR       3        11900      0        0
TEVA PHARMACEUTICAL SPONS ADR                   1        10864      0      500
TEVA PHARMACEUTICAL SPONS ADR                   1         1530      0    12399
THOMSON SA SPONSORED ADR                        1            0      0    10400
TOMMY HILFIGER CORP                             1          800      0        0
TOMMY HILFIGER CORP                             1            0      0    14000
TOTAL SA SPONSORED ADR                          1          205      0        0
TOTAL SA SPONSORED ADR                          1            0      0     2700
TOYOTA MTR CORP SPON ADR                        1            0      0      500
TOYOTA MTR CORP SPON ADR                        1          200      0     3400
TPG NV SPONSORED ADR COM                        1            0      0     6300
TSAKOS ENERGY NAVIAGATION LTD                   1          125      0        0
TSAKOS ENERGY NAVIAGATION LTD                   1            0      0     1850
TV AZTECA SA DE CV SPONS ADR                    1            0      0     3300
UBS AG                                          1         1113      0        0
UBS AG                                          1          648      0        0
UNILEVER NV NY SHARES                           1         4641      0     5771
UNILEVER NV NY SHARES                           1         7284      0      950
UNILEVER PLC SPONSORED ADR                      1           89      0        0
UNILEVER PLC SPONSORED ADR                      1         1000      0    29119
UNITED NATIONAL GROUP LTD  A                    1            0      0     9900
VASOGEN INCORPORATED                            1            0      0      900
VODAFONE GROUP PLC SPONSORED ADR                1        56686      0        0
VODAFONE GROUP PLC SPONSORED ADR                1        43476      0    27730
VOLVO AB SPONS ADR B                            1            0      0     7700
W HOLDING COMPANY INC                           1         8218      0        0
W HOLDING COMPANY INC                           1            0      0     6850
WEATHERFORD INTL LTD BERMUDA                    1        32653      0        0
WEATHERFORD INTL LTD BERMUDA                    1         1950      0     8975
WHITE MOUNTAINS INSURANCE GROUP LTD             1          200      0      400
WHITE MOUNTAINS INSURANCE GROUP LTD             1            0      0     1800
WILLIS GROUP HLDGS LTD                          1            0      0     9200

                                    57 OF 64                           5/14/2004




                                                                                                 
WPP GROUP PLC SPONS ADR                      ADR                929309300       107      2100   SHARES                 X
WPP GROUP PLC SPONS ADR                      ADR                929309300       115      2267   SHARES                         X
XL CAPITAL LTD CL A SEDOL #2283401           FOREIGN STOCK      G98255105       147      1934   SHARES                 X
XL CAPITAL LTD CL A SEDOL #2283401           FOREIGN STOCK      G98255105       281      3700   SHARES                         X

SUBTOTALS FOR FOREIGN COMMON STOCK/ADR'S                                     198205   5782504


RIGHTS AND WARRANTS

CONSECO INC                                  RIGHTS             208464123         0        38   SHARES                         X
DIME BANCORP INC WARRANT                     WARRANTS           25429Q110         4     22600   SHARES                         X
MAGNUM HUNTER RES INC WTS 3/21/05            WARRANTS           55972F138         0       640   SHARES                         X
MICROSTRATEGY INC WARRANT 6/24/07            WARRANTS           594972119         0        15   SHARES                         X
THE CENTRAL EUROPE & RUSSIA 3/19/04          RIGHTS             153436118         0       160   SHARES                 X

SUBTOTALS FOR RIGHTS AND WARRANTS                                                 4     23453


REAL ESTATE INVESTMENT TRUSTS

AGREE REALTY CORPORATION                     REIT               008492100        19       600   SHARES                         X
AMB PROPERTY CORP                            REIT               00163T109       278      7474   SHARES                         X
ANTHRACITE CAPITAL INC COM                   REIT               037023108        25      2000   SHARES                 X
AVALONBAY COMMUNITIES INC                    REIT               053484101       129      2414   SHARES                 X
AVALONBAY COMMUNITIES INC                    REIT               053484101       299      5575   SHARES                         X
AVATAR HOLDINGS INCORPORATED                 REIT               053494100       112      3000   SHARES                 X
BRE PROPERTIES INC CL A                      REIT               05564E106       103      3000   SHARES                         X
BROOKLINE BANCORP INC                        REIT               11373M107        93      5806   SHARES                         X
CARRAMERICA RLTY                             REIT               144418100       208      6150   SHARES                         X
CBL & ASSOCIATES PROPERTIES                  REIT               124830100        72      1180   SHARES                         X
CROSS TIMBERS ROYALTY TRUST                  REIT               22757R109        12       414   SHARES                 X
DOMINION RES BLACK WARRIOR                   REIT               25746Q108        56      2000   SHARES                 X
DUKE REALTY CORPORATION                      REIT               264411505       215      6180   SHARES                 X
DUKE REALTY CORPORATION                      REIT               264411505       579     16673   SHARES                         X
EQUITY ONE INCORPORATED                      REIT               294752100        35      1819   SHARES                 X
ESSEX PROPERTY TRUST INC (REIT)              REIT               297178105       109      1671   SHARES                         X
GENERAL GROWTH PPTYS INC                     REIT               370021107       436     12400   SHARES                 X
GENERAL GROWTH PPTYS INC                     REIT               370021107       373     10617   SHARES                         X
HERSHA HOSPITALITY TRUST                     REIT               427825104        19      1800   SHARES                 X
HERSHA HOSPITALITY TRUST                     REIT               427825104        21      2000   SHARES                         X
INNKEEPERS USA TRUST                         REIT               4576J0104        28      3100   SHARES                         X
ISTAR FINL INC COM                           REIT               45031U101       127      3000   SHARES                         X
KEYSTONE PPTY TR COM                         REIT               493596100        22       900   SHARES                         X
LNR PROPERTY CORP                            REIT               501940100       273      5100   SHARES                         X
MACK CALI RLTY CORP                          REIT               554489104         9       200   SHARES                 X
MACK CALI RLTY CORP                          REIT               554489104        45      1000   SHARES                         X
NATIONAL HEALTH INVESTORS INC COM            REIT               63633D104        41      1339   SHARES                         X
NOVASTAR FINANCIAL INCORPORATED              REIT               669947400       198      3000   SHARES                         X
OMEGA HEALTHCARE INVESTORS INC               REIT               681936100       123     11300   SHARES                         X
ONE LIBERTY PROPERTIES INCORPORATED          REIT               682406103        32      1400   SHARES                         X
PLUM CREEK TIMBER CO INC                     REIT               729251108       125      3850   SHARES                 X
PLUM CREEK TIMBER CO INC                     REIT               729251108       135      4149   SHARES                         X
POST PROPERTIES INC                          REIT               737464107        52      1800   SHARES                         X
PRENTISS PROPERTIES TRUST                    REIT               740706106       189      5125   SHARES                         X
PS BUSINESS PKS INC CALIF                    REIT               69360J107       171      3679   SHARES                         X
PUBLIC STORAGE INC COM                       REIT               74460D109       376      7719   SHARES                         X
RAMCO GERSHENSON PROPERTIES TR               REIT               751452202        51      1800   SHARES                 X
RECKSON ASSOCS RLTY CORP                     REIT               75621K106        75      2672   SHARES                 X
RECKSON ASSOCS RLTY CORP                     REIT               75621K106       194      6894   SHARES                         X
REDWOOD TRUST INCORPORATED                   REIT               758075402        31       500   SHARES                         X
SAUL CENTERS INCORPORATED                    REIT               804395101       153      5000   SHARES                         X
SHURGARD STORAGE CENTERS INC CL A            REIT               82567D104        12       300   SHARES                 X
SHURGARD STORAGE CENTERS INC CL A            REIT               82567D104        40      1000   SHARES                         X


WPP GROUP PLC SPONS ADR                         1         2100      0        0
WPP GROUP PLC SPONS ADR                         1          167      0     2100
XL CAPITAL LTD CL A SEDOL #2283401              1          615      0     1319
XL CAPITAL LTD CL A SEDOL #2283401              1            0      0     3700

SUBTOTALS FOR FOREIGN COMMON STOCK/ADR'S               3721003  52763  2008738


RIGHTS AND WARRANTS

CONSECO INC                                     1           38      0        0
DIME BANCORP INC WARRANT                        1        12000      0    10600
MAGNUM HUNTER RES INC WTS 3/21/05               1            0      0      640
MICROSTRATEGY INC WARRANT 6/24/07               1            0      0       15
THE CENTRAL EUROPE & RUSSIA 3/19/04             1          160      0        0

SUBTOTALS FOR RIGHTS AND WARRANTS                        12198      0    12198


REAL ESTATE INVESTMENT TRUSTS

AGREE REALTY CORPORATION                        1         N.A.   N.A.     N.A.
AMB PROPERTY CORP                               1         N.A.   N.A.     N.A.
ANTHRACITE CAPITAL INC COM                      1         N.A.   N.A.     N.A.
AVALONBAY COMMUNITIES INC                       1         N.A.   N.A.     N.A.
AVALONBAY COMMUNITIES INC                       1         N.A.   N.A.     N.A.
AVATAR HOLDINGS INCORPORATED                    1         N.A.   N.A.     N.A.
BRE PROPERTIES INC CL A                         1         N.A.   N.A.     N.A.
BROOKLINE BANCORP INC                           1         N.A.   N.A.     N.A.
CARRAMERICA RLTY                                1         N.A.   N.A.     N.A.
CBL & ASSOCIATES PROPERTIES                     1         N.A.   N.A.     N.A.
CROSS TIMBERS ROYALTY TRUST                     1         N.A.   N.A.     N.A.
DOMINION RES BLACK WARRIOR                      1         N.A.   N.A.     N.A.
DUKE REALTY CORPORATION                         1         N.A.   N.A.     N.A.
DUKE REALTY CORPORATION                         1         N.A.   N.A.     N.A.
EQUITY ONE INCORPORATED                         1         N.A.   N.A.     N.A.
ESSEX PROPERTY TRUST INC (REIT)                 1         N.A.   N.A.     N.A.
GENERAL GROWTH PPTYS INC                        1         N.A.   N.A.     N.A.
GENERAL GROWTH PPTYS INC                        1         N.A.   N.A.     N.A.
HERSHA HOSPITALITY TRUST                        1         N.A.   N.A.     N.A.
HERSHA HOSPITALITY TRUST                        1         N.A.   N.A.     N.A.
INNKEEPERS USA TRUST                            1         N.A.   N.A.     N.A.
ISTAR FINL INC COM                              1         N.A.   N.A.     N.A.
KEYSTONE PPTY TR COM                            1         N.A.   N.A.     N.A.
LNR PROPERTY CORP                               1         N.A.   N.A.     N.A.
MACK CALI RLTY CORP                             1         N.A.   N.A.     N.A.
MACK CALI RLTY CORP                             1         N.A.   N.A.     N.A.
NATIONAL HEALTH INVESTORS INC COM               1         N.A.   N.A.     N.A.
NOVASTAR FINANCIAL INCORPORATED                 1         N.A.   N.A.     N.A.
OMEGA HEALTHCARE INVESTORS INC                  1         N.A.   N.A.     N.A.
ONE LIBERTY PROPERTIES INCORPORATED             1         N.A.   N.A.     N.A.
PLUM CREEK TIMBER CO INC                        1         N.A.   N.A.     N.A.
PLUM CREEK TIMBER CO INC                        1         N.A.   N.A.     N.A.
POST PROPERTIES INC                             1         N.A.   N.A.     N.A.
PRENTISS PROPERTIES TRUST                       1         N.A.   N.A.     N.A.
PS BUSINESS PKS INC CALIF                       1         N.A.   N.A.     N.A.
PUBLIC STORAGE INC COM                          1         N.A.   N.A.     N.A.
RAMCO GERSHENSON PROPERTIES TR                  1         N.A.   N.A.     N.A.
RECKSON ASSOCS RLTY CORP                        1         N.A.   N.A.     N.A.
RECKSON ASSOCS RLTY CORP                        1         N.A.   N.A.     N.A.
REDWOOD TRUST INCORPORATED                      1         N.A.   N.A.     N.A.
SAUL CENTERS INCORPORATED                       1         N.A.   N.A.     N.A.
SHURGARD STORAGE CENTERS INC CL A               1         N.A.   N.A.     N.A.
SHURGARD STORAGE CENTERS INC CL A               1         N.A.   N.A.     N.A.

                                    58 OF 64                           5/14/2004




                                                                                                 
TOWN & COUNTRY TRUST COM                     REIT               892081100        14       500   SHARES                         X
VENTAS INC COM                               REIT               92276F100       678     24678   SHARES                         X
W P CAREY & CO LLC                           REIT               92930Y107       199      6442   SHARES                 X
W P CAREY & CO LLC                           REIT               92930Y107       155      5019   SHARES                         X
WCI INDUSTRIES                               REIT               92923C104        13       500   SHARES                 X
WCI INDUSTRIES                               REIT               92923C104        25       985   SHARES                         X
WINDROSE MEDICAL PROPERTIES TRUST            REIT               973491103        12      1000   SHARES                         X

SUBTOTALS FOR REAL ESTATE INVESTMENT TRUSTS                                    6791    206724

TOWN & COUNTRY TRUST COM                        1         N.A.   N.A.     N.A.
VENTAS INC COM                                  1         N.A.   N.A.     N.A.
W P CAREY & CO LLC                              1         N.A.   N.A.     N.A.
W P CAREY & CO LLC                              1         N.A.   N.A.     N.A.
WCI INDUSTRIES                                  1         N.A.   N.A.     N.A.
WCI INDUSTRIES                                  1         N.A.   N.A.     N.A.
WINDROSE MEDICAL PROPERTIES TRUST               1         N.A.   N.A.     N.A.

*SUMMARY PAGE FOR A. COMMON STOCK *

MINOR ASSET TYPE

43 DOMESTIC COMMON STOCKS                                                   4013239 116667887
44 FOREIGN COMMON STOCK/ADR'S                                                198205   5782504
46 RIGHTS AND WARRANTS                                                            4     23453
47 REAL ESTATE INVESTMENT TRUSTS                                               6791    206724

*SUBTOTALS*                                                                 4218239 122680568


B. PREFERRED STOCK

DOMESTIC PREFERRED STOCK

CHESAPEAKE ENERGY CORP 6.75% PFD             DOM PREF STOCK     165167503        44       500   SHARES                         X
NEWS CORP LTD SPONS ADR PRF                  PREFERRED STOCK    652487802       556     17538   SHARES           X
REINSURANCE GRP OF AMERICA INC               DOM PREF STOCK     759351307       295      5000   SHARES                         X
TIERS PRIN PROTECT 007 7/29/05 PFD           DOM PREF STOCK     G88653202         7       750   SHARES                 X

SUBTOTALS FOR DOMESTIC PREFERRED STOCK                                          902     23788

FOREIGN PREFERRED STOCKS

NEWS CORP LTD SPONS ADR PRF                  FGN PREF STOCK     652487802        12       383   SHARES                 X
NEWS CORP LTD SPONS ADR PRF                  FGN PREF STOCK     652487802       852     26853   SHARES                         X
ROYAL BANK SCOTLAND PLC ADR PFD H            FGN PREF STOCK     780097879       109      4300   SHARES                         X

SUBTOTALS FOR FOREIGN PREFERRED STOCKS                                          973     31536

CONVERTIBLE PREFERRED STOCKS

AES TRUST III 6.75% CONV PFD                 CONV PREF STOCK    00808N202        44      1000   SHARES                         X
AES TRUST III 6.75% CV PREFERRED             CONV PFD STOCK     00808N202      1320     30000   SHARES           X
ALLTELL CORP 7.75% CON'V                     CONV PFD STOCK     020039822      2998     59100   SHARES           X
BAXTER INTL CONVPFD7.0%  02/16/06            CONV PREF STOCK    071813406       165      3050   SHARES                 X
BAXTER INTL CONVPFD7.0%  02/16/06            CONV PREF STOCK    071813406       459      8500   SHARES                         X
BAXTER INTL INC. 7% CONV PFD                 CONV PFD STOCK     071813406      3029     56100   SHARES           X
CONSTELLATION BRANDS 5.75% 09/01/06          CONV PFD STOCK     21036P306       965     31500   SHARES           X
FORD MOTOR CAP TR II CONV PFD 6.50%          CONV PREF STOCK    345395206        53      1000   SHARES                 X
FORD MOTOR CAP TR II CONV PFD 6.50%          CONV PREF STOCK    345395206       501      9450   SHARES                         X
GENERAL MOTORS CORP PFD CONV 4.50%           CONV PREF STOCK    370442741       643     24500   SHARES                         X
GLENBOROUGH REALTY TR 7.75% CONV PFD         CONV PREF STOCK    37803P204        51      2000   SHARES                 X
MOTOROLA                                     CONV PREF STOCK    620076208       177      3650   SHARES                         X
NATIONAL AUSTRALIA BK CONV PFD SER           CONV PREF STOCK    632525309       177      4500   SHARES                         X
TEXTRON INC $1.40 SER B CV PFD               CONV PREF STOCK    883203309        35       200   SHARES                 X


B. PREFERRED STOCK

DOMESTIC PREFERRED STOCK

CHESAPEAKE ENERGY CORP 6.75% PFD                1         N.A.   N.A.     N.A.
NEWS CORP LTD SPONS ADR PRF                     2        17538      0        0
REINSURANCE GRP OF AMERICA INC                  1         N.A.   N.A.     N.A.
TIERS PRIN PROTECT 007 7/29/05 PFD              1         N.A.   N.A.     N.A.

FOREIGN PREFERRED STOCKS

NEWS CORP LTD SPONS ADR PRF                     1         N.A.   N.A.     N.A.
NEWS CORP LTD SPONS ADR PRF                     1         N.A.   N.A.     N.A.
ROYAL BANK SCOTLAND PLC ADR PFD H               1         N.A.   N.A.     N.A.

CONVERTIBLE PREFERRED STOCKS

AES TRUST III 6.75% CONV PFD                    1         N.A.   N.A.     N.A.
AES TRUST III 6.75% CV PREFERRED                2        30000      0        0
ALLTELL CORP 7.75% CON'V                        2        59100      0        0
BAXTER INTL CONVPFD7.0%  02/16/06               1         N.A.   N.A.     N.A.
BAXTER INTL CONVPFD7.0%  02/16/06               1         N.A.   N.A.     N.A.
BAXTER INTL INC. 7% CONV PFD                    2        56100      0        0
CONSTELLATION BRANDS 5.75% 09/01/06             2        31500      0        0
FORD MOTOR CAP TR II CONV PFD 6.50%             1         N.A.   N.A.     N.A.
FORD MOTOR CAP TR II CONV PFD 6.50%             1         N.A.   N.A.     N.A.
GENERAL MOTORS CORP PFD CONV 4.50%              1         N.A.   N.A.     N.A.
GLENBOROUGH REALTY TR 7.75% CONV PFD            1         N.A.   N.A.     N.A.
MOTOROLA                                        1         N.A.   N.A.     N.A.
NATIONAL AUSTRALIA BK CONV PFD SER              1         N.A.   N.A.     N.A.
TEXTRON INC $1.40 SER B CV PFD                  1         N.A.   N.A.     N.A.

                                    59 OF 64                           5/14/2004




                                                                                                 
TRAVELERS PPTY CONV PFD                      CONV PREF STOCK    89420G307       269     11000   SHARES                         X
VORNADO RLTY TR CONV PFD SER A 6.5%          CONV PREF STOCK    929042208       167      2000   SHARES                         X

SUBTOTALS FOR CONVERTIBLE PREFERRED STOCKS                                    11053    247550

TRAVELERS PPTY CONV PFD                         1         N.A.   N.A.     N.A.
VORNADO RLTY TR CONV PFD SER A 6.5%             1         N.A.   N.A.     N.A.

*SUMMARY PAGE FOR B. PREFERRED STOCK *

MINOR ASSET TYPE

49 DOMESTIC PREFERRED STOCK                                                     902     23788
50 FOREIGN PREFERRED STOCKS                                                     973     31536
51 CONVERTIBLE PREFERRED STOCKS                                               11053    247550

*SUBTOTALS*                                                                   12928    302874


C. OTHER

VARIABLE RATE GOVERNMENT

STUDENT LN MARKET  V/R       7/25/35 *       VAR GOVT BOND      78442PAC0       120    120000 PRINCIPAL                        X

SUBTOTALS FOR VARIABLE RATE GOVERNMENT                                          120    120000

CONVERTIBLE CORPORATE BONDS

ADVANCED ENERGY CONV 5.250% 11/15/06 *       CONV CORP BOND     007973AA8        70     70000 PRINCIPAL                        X
AETHER TECHS INC CSN 6.000%  3/22/05 *       CONV CORP BOND     00808VAA3        59     60000 PRINCIPAL                        X
AMER FINL GRP CONV  1.4861%  6/02/33 *       CONV CORP BOND     025932AD6       161    375000 PRINCIPAL                        X
AMERICA ONLINE CONV  Z/CPN  12/06/19 *       CONV CORP BOND     02364JAC8        51     80000 PRINCIPAL                        X
AMKOR TECH INC CONV  5.750%  6/01/06 *       CONV CORP BOND     031652AN0        50     50000 PRINCIPAL                        X
APOGENT TECHNOLOGIES 2.250% 10/15/21 *       CONV CORP BOND     03760AAE1       326    300000 PRINCIPAL                        X
AVNET INC CONV       2.000%  3/15/34 *       CONV CORP BOND     053807AL7       351    330000 PRINCIPAL                        X
BEST BUY CONV        0.684%  6/27/21 *       CONV CORP BOND     086516AD3       451    630000 PRINCIPAL                        X
BISYS GROUP INC CONV 4.000%  3/15/06 *       CONV CORP BOND     055472AB0        40     40000 PRINCIPAL                        X
BRINKER INTL INC      Z/CPN 10/10/21 *       CONV CORP BOND     109641AC4       393    550000 PRINCIPAL                        X
BUNGE LTD FIN CONV   3.750% 11/15/22 *       CONV CORP BOND     120568AE0       274    200000 PRINCIPAL                        X
CARNIVAL CORP        2.000%  4/15/21 *       CONV CORP BOND     143658AN2       515    400000 PRINCIPAL                        X
CENDANT CORP         3.875% 11/27/11 *       CONV CORP BOND     151313AN3       165    150000 PRINCIPAL                        X
COUNTRYWIDE CR CONV  Z/CPN   2/08/31 *       CONV CORP BOND     222372AE4       671    450000 PRINCIPAL                        X
DISNEY WALT CONV     2.125%  4/15/23 *       CONV CORP BOND     254687AU0       420    380000 PRINCIPAL                        X
ELECTRONIC DATA CONV 3.875%  7/15/23 *       CONV CORP BOND     285661AF1       395    400000 PRINCIPAL                        X
GREY WOLF INC CONV   3.750%  5/07/23 *       CONV CORP BOND     397888AD0        50     50000 PRINCIPAL                        X
HEALTH MANAGEMENT    1.500%  8/01/23 *       CONV CORP BOND     421933AF9       152    135000 PRINCIPAL                        X
LIBERTY MEDIA CONV   3.250%  3/15/31 *       CONV CORP BOND     530715AR2       277    290000 PRINCIPAL                        X
LIBERTY MEDIA CV DEB 3.500%  1/15/31 *       CONV CORP BOND     530715AN1        91    100000 PRINCIPAL                        X
NEXTEL COMMUNICA CSN 5.250%  1/15/10 *       CONV CORP BOND     65332VAY9        15     15000 PRINCIPAL                        X
PENNEY (JC) CO CONV  5.000% 10/15/08 *       CONV CORP BOND     708160BV7        32     25000 PRINCIPAL                        X
QUEST DIAGNOSTICS    1.750% 11/30/21 *       CONV CORP BOND     74834LAF7       160    150000 PRINCIPAL                        X
RPM INTL CONV        1.389%  5/13/33 *       CONV CORP BOND     749685AK9       169    310000 PRINCIPAL                        X
SILICON VALLEY CONV Z/CPN    6/15/08 *       CONV CORP BOND     827064AC0       309    280000 PRINCIPAL                        X
VERIZON GLOBAL CONV  Z/CPN   5/15/21 *       CONV CORP BOND     92344GAN6       120    195000 PRINCIPAL                        X
WATSON PHARM CONV    1.750%  3/15/23 *       CONV CORP BOND     942683AC7       144    115000 PRINCIPAL                        X

SUBTOTALS FOR CONVERTIBLE CORPORATE BONDS                                      5911   6130000


C. OTHER

VARIABLE RATE GOVERNMENT

STUDENT LN MARKET  V/R       7/25/35 *          1         N.A.   N.A.     N.A.

CONVERTIBLE CORPORATE BONDS

ADVANCED ENERGY CONV 5.250% 11/15/06 *          1         N.A.   N.A.     N.A.
AETHER TECHS INC CSN 6.000%  3/22/05 *          1         N.A.   N.A.     N.A.
AMER FINL GRP CONV  1.4861%  6/02/33 *          1         N.A.   N.A.     N.A.
AMERICA ONLINE CONV  Z/CPN  12/06/19 *          1         N.A.   N.A.     N.A.
AMKOR TECH INC CONV  5.750%  6/01/06 *          1         N.A.   N.A.     N.A.
APOGENT TECHNOLOGIES 2.250% 10/15/21 *          1         N.A.   N.A.     N.A.
AVNET INC CONV       2.000%  3/15/34 *          1         N.A.   N.A.     N.A.
BEST BUY CONV        0.684%  6/27/21 *          1         N.A.   N.A.     N.A.
BISYS GROUP INC CONV 4.000%  3/15/06 *          1         N.A.   N.A.     N.A.
BRINKER INTL INC      Z/CPN 10/10/21 *          1         N.A.   N.A.     N.A.
BUNGE LTD FIN CONV   3.750% 11/15/22 *          1         N.A.   N.A.     N.A.
CARNIVAL CORP        2.000%  4/15/21 *          1         N.A.   N.A.     N.A.
CENDANT CORP         3.875% 11/27/11 *          1         N.A.   N.A.     N.A.
COUNTRYWIDE CR CONV  Z/CPN   2/08/31 *          1         N.A.   N.A.     N.A.
DISNEY WALT CONV     2.125%  4/15/23 *          1         N.A.   N.A.     N.A.
ELECTRONIC DATA CONV 3.875%  7/15/23 *          1         N.A.   N.A.     N.A.
GREY WOLF INC CONV   3.750%  5/07/23 *          1         N.A.   N.A.     N.A.
HEALTH MANAGEMENT    1.500%  8/01/23 *          1         N.A.   N.A.     N.A.
LIBERTY MEDIA CONV   3.250%  3/15/31 *          1         N.A.   N.A.     N.A.
LIBERTY MEDIA CV DEB 3.500%  1/15/31 *          1         N.A.   N.A.     N.A.
NEXTEL COMMUNICA CSN 5.250%  1/15/10 *          1         N.A.   N.A.     N.A.
PENNEY (JC) CO CONV  5.000% 10/15/08 *          1         N.A.   N.A.     N.A.
QUEST DIAGNOSTICS    1.750% 11/30/21 *          1         N.A.   N.A.     N.A.
RPM INTL CONV        1.389%  5/13/33 *          1         N.A.   N.A.     N.A.
SILICON VALLEY CONV Z/CPN    6/15/08 *          1         N.A.   N.A.     N.A.
VERIZON GLOBAL CONV  Z/CPN   5/15/21 *          1         N.A.   N.A.     N.A.
WATSON PHARM CONV    1.750%  3/15/23 *          1         N.A.   N.A.     N.A.

                                    60 OF 64                           5/14/2004




                                                                                                 
FOREIGN CORPORATE BONDS

INCO LTD  CONV       1.000%  3/14/23 *       FGN CORP BONDS     453258AT2       285    220000 PRINCIPAL                        X
SCHLUMBERGER LTD CON 2.125%  6/01/23 *       FGN CORP BONDS     806857AD0       335    310000 PRINCIPAL                        X
TEVA PHARM FIN CONV  0.500%  2/01/24 *       FGN CORP BONDS     88164RAA5       326    315000 PRINCIPAL                        X
TYCO INTL GRP        3.125%  1/15/23 *       FGN CORP BONDS     902118BE7       329    225000 PRINCIPAL                        X

SUBTOTALS FOR FOREIGN CORPORATE BONDS                                          1275   1070000

DOMESTIC EQUITY MUTUAL FUNDS

ISHARES S&P 500 BARRA VALUE INDEX FD *       DOM EQ MUT FDS     464287408        86      1500 PRINCIPAL                X

SUBTOTALS FOR DOMESTIC EQUITY MUTUAL FUNDS                                       86      1500

GLOBAL EQUITY MUTUAL FUNDS

ABERDEEN AUSTRALIA EQUITY FUND       *       GBL EQ MUT FDS     003011103        94     10000 PRINCIPAL                X
ISHARES MSCI EAFE INDEX FD           *       GBL EQ MUT FDS     464287465       425      3000 PRINCIPAL                X
ISHARES MSCI EAFE INDEX FD           *       GBL EQ MUT FDS     464287465      4050     28604 PRINCIPAL                        X
TEMPLETON DRAGON FUND INC            *       GBL EQ MUT FDS     88018T101        48      3100 PRINCIPAL                X

SUBTOTALS FOR GLOBAL EQUITY MUTUAL FUNDS                                       4617     44704

INTL EQUITY MUTUAL FUNDS

CENTRAL EUROPE AND RUSSIA FUND INC   *       INTL EQ MUT FDS    153436100         4       160 PRINCIPAL                X

SUBTOTALS FOR INTL EQUITY MUTUAL FUNDS                                            4       160

CLOSED END EQUITY MUTUAL FUND

BRAZIL FUND INCORPORATED             *       CLD END EQ MUT FD  105759104         2        66 PRINCIPAL                X
COHEN & STEERS ADVANTAGE INC RLTY FD *       CLD END EQ MUT FD  19247W102        20      1000 PRINCIPAL                        X
COHEN & STEERS QUALITY INC RLTY FD   *       CLD END EQ MUT FD  19247L106        20      1028 PRINCIPAL                X
DNP SELECT INCOME FUND INC           *       CLD END EQ MUT FD  23325P104        70      6100 PRINCIPAL                        X
GABELLI EQUITY TRUST                 *       CLD END EQ MUT FD  362397101        23      2627 PRINCIPAL                X
GABELLI EQUITY TRUST                 *       CLD END EQ MUT FD  362397101      1043    121293 PRINCIPAL                        X
GABELLI GLOBAL MULTIMEDIA TR         *       CLD END EQ MUT FD  36239Q109        16      1677 PRINCIPAL                        X
GABELLI UTILITY TRUST                *       CLD END EQ MUT FD  36240A101         3       347 PRINCIPAL                X
GABELLI UTILITY TRUST                *       CLD END EQ MUT FD  36240A101       131     13427 PRINCIPAL                        X
I SHARES RUSSELL MIDCAP VAL INDEX FD *       CLD END EQ MUT FD  464287473      2438     24950 PRINCIPAL                        X
INDIA FUND                           *       CLD END EQ MUT FD  454089103        26      1000 PRINCIPAL                X
INDIA FUND                           *       CLD END EQ MUT FD  454089103       153      5800 PRINCIPAL                        X
ING PRIME RATE TR                    *       CLD END EQ MUT FD  44977W106         3       350 PRINCIPAL                X
ING PRIME RATE TR                    *       CLD END EQ MUT FD  44977W106        16      2000 PRINCIPAL                        X
ISHARES DOW JONES US UTIL SECT       *       CLD END EQ MUT FD  464287697        57       950 PRINCIPAL                        X
ISHARES RUSSELL 2000 GRWTH FD        *       CLD END EQ MUT FD  464287648        13       200 PRINCIPAL                        X
ISHARES RUSSELL 2000 INDEX FD        *       CLD END EQ MUT FD  464287655       347      2954 PRINCIPAL                X
ISHARES RUSSELL 2000 INDEX FD        *       CLD END EQ MUT FD  464287655        53       450 PRINCIPAL                        X
ISHARES RUSSELL 3000 INDEX FUND      *       CLD END EQ MUT FD  464287689        13       200 PRINCIPAL                        X
ISHARES S&P 500 INDEX FD             *       CLD END EQ MUT FD  464287200      1474     13020 PRINCIPAL                X
ISHARES S&P 500/BARRA GRWTH INDEX FD *       CLD END EQ MUT FD  464287309       194      3500 PRINCIPAL                X
ISHARES S&P EUROPE 350 INDEX FD      *       CLD END EQ MUT FD  464287861       169      2600 PRINCIPAL                        X
ISHARES S&P MIDCAP 400 BARRA GRWTH I *       CLD END EQ MUT FD  464287606       298      2405 PRINCIPAL                X
ISHARES S&P MIDCAP 400 INDEX FD      *       CLD END EQ MUT FD  464287507       505      4175 PRINCIPAL                X
ISHARES S&P MIDCAP 400 INDEX FD      *       CLD END EQ MUT FD  464287507      1116      9225 PRINCIPAL                        X
ISHARES S&P MIDCAP 400/BARRA VAL IND *       CLD END EQ MUT FD  464287705       197      1700 PRINCIPAL                X
ISHARES S&P SMALLCAP 600 BARRA GRWTH *       CLD END EQ MUT FD  464287887       290      3100 PRINCIPAL                X
ISHARES S&P SMALLCAP 600 BARRA VAL I *       CLD END EQ MUT FD  464287879       150      1400 PRINCIPAL                X


FOREIGN CORPORATE BONDS

INCO LTD  CONV       1.000%  3/14/23 *          1         N.A.   N.A.     N.A.
SCHLUMBERGER LTD CON 2.125%  6/01/23 *          1         N.A.   N.A.     N.A.
TEVA PHARM FIN CONV  0.500%  2/01/24 *          1         N.A.   N.A.     N.A.
TYCO INTL GRP        3.125%  1/15/23 *          1         N.A.   N.A.     N.A.

DOMESTIC EQUITY MUTUAL FUNDS

ISHARES S&P 500 BARRA VALUE INDEX FD *          1         N.A.   N.A.     N.A.

GLOBAL EQUITY MUTUAL FUNDS

ABERDEEN AUSTRALIA EQUITY FUND       *          1         N.A.   N.A.     N.A.
ISHARES MSCI EAFE INDEX FD           *          1         N.A.   N.A.     N.A.
ISHARES MSCI EAFE INDEX FD           *          1         N.A.   N.A.     N.A.
TEMPLETON DRAGON FUND INC            *          1         N.A.   N.A.     N.A.

INTL EQUITY MUTUAL FUNDS

CENTRAL EUROPE AND RUSSIA FUND INC   *          1         N.A.   N.A.     N.A.

CLOSED END EQUITY MUTUAL FUND

BRAZIL FUND INCORPORATED             *          1         N.A.   N.A.     N.A.
COHEN & STEERS ADVANTAGE INC RLTY FD *          1         N.A.   N.A.     N.A.
COHEN & STEERS QUALITY INC RLTY FD   *          1         N.A.   N.A.     N.A.
DNP SELECT INCOME FUND INC           *          1         N.A.   N.A.     N.A.
GABELLI EQUITY TRUST                 *          1         N.A.   N.A.     N.A.
GABELLI EQUITY TRUST                 *          1         N.A.   N.A.     N.A.
GABELLI GLOBAL MULTIMEDIA TR         *          1         N.A.   N.A.     N.A.
GABELLI UTILITY TRUST                *          1         N.A.   N.A.     N.A.
GABELLI UTILITY TRUST                *          1         N.A.   N.A.     N.A.
I SHARES RUSSELL MIDCAP VAL INDEX FD *          1         N.A.   N.A.     N.A.
INDIA FUND                           *          1         N.A.   N.A.     N.A.
INDIA FUND                           *          1         N.A.   N.A.     N.A.
ING PRIME RATE TR                    *          1         N.A.   N.A.     N.A.
ING PRIME RATE TR                    *          1         N.A.   N.A.     N.A.
ISHARES DOW JONES US UTIL SECT       *          1         N.A.   N.A.     N.A.
ISHARES RUSSELL 2000 GRWTH FD        *          1         N.A.   N.A.     N.A.
ISHARES RUSSELL 2000 INDEX FD        *          1         N.A.   N.A.     N.A.
ISHARES RUSSELL 2000 INDEX FD        *          1         N.A.   N.A.     N.A.
ISHARES RUSSELL 3000 INDEX FUND      *          1         N.A.   N.A.     N.A.
ISHARES S&P 500 INDEX FD             *          1         N.A.   N.A.     N.A.
ISHARES S&P 500/BARRA GRWTH INDEX FD *          1         N.A.   N.A.     N.A.
ISHARES S&P EUROPE 350 INDEX FD      *          1         N.A.   N.A.     N.A.
ISHARES S&P MIDCAP 400 BARRA GRWTH I *          1         N.A.   N.A.     N.A.
ISHARES S&P MIDCAP 400 INDEX FD      *          1         N.A.   N.A.     N.A.
ISHARES S&P MIDCAP 400 INDEX FD      *          1         N.A.   N.A.     N.A.
ISHARES S&P MIDCAP 400/BARRA VAL IND *          1         N.A.   N.A.     N.A.
ISHARES S&P SMALLCAP 600 BARRA GRWTH *          1         N.A.   N.A.     N.A.
ISHARES S&P SMALLCAP 600 BARRA VAL I *          1         N.A.   N.A.     N.A.

                                    61 OF 64                           5/14/2004




                                                                                                 
ISHARES S&P SMALLCAP 600 INDEX FD    *       CLD END EQ MUT FD  464287804       565      3970 PRINCIPAL                X
JOHN HANCOCK BANK & THRIFT OPP FD    *       CLD END EQ MUT FD  409735107         8       800 PRINCIPAL                X
JOHN HANCOCK BANK & THRIFT OPP FD    *       CLD END EQ MUT FD  409735107      1114    110200 PRINCIPAL                        X
LIBERTY ALL STAR EQUITY FD           *       CLD END EQ MUT FD  530158104       562     55705 PRINCIPAL                        X
PUTNAM MASTER INCOME TR              *       CLD END EQ MUT FD  74683K104        80     12000 PRINCIPAL                X
SALOMON BROTHERS FUND                *       CLD END EQ MUT FD  795477108        13      1100 PRINCIPAL                X
SALOMON BROTHERS FUND                *       CLD END EQ MUT FD  795477108       219     18000 PRINCIPAL                        X
SOURCE CAPITAL INC                   *       CLD END EQ MUT FD  836144105        13       200 PRINCIPAL                X
TEMPLETON EMERGING MKTS FD           *       CLD END EQ MUT FD  880191101        15      1058 PRINCIPAL                        X
TEMPLETON EMERGING MKTS INCOME FD    *       CLD END EQ MUT FD  880192109        38      2700 PRINCIPAL                X
TEMPLETON EMERGING MKTS INCOME FD    *       CLD END EQ MUT FD  880192109        28      2000 PRINCIPAL                        X
TRICONTINENTAL CORP                  *       CLD END EQ MUT FD  895436103        22      1267 PRINCIPAL                        X
VANGUARD TOTAL STOCK MARKET VIPERS   *       CLD END EQ MUT FD  922908769       305      2790 PRINCIPAL                X
VANGUARD TOTAL STOCK MARKET VIPERS   *       CLD END EQ MUT FD  922908769        11       100 PRINCIPAL                        X
ZWEIG FUND                           *       CLD END EQ MUT FD  989834106        10      2000 PRINCIPAL                X
ZWEIG TOTAL RETURN FUND              *       CLD END EQ MUT FD  989837109         4       750 PRINCIPAL                        X

SUBTOTALS FOR CLOSED END EQUITY MUTUAL FUND                                   11847    442184

CLOSEDEND NONTAXABLE INCOME

APEX MUNICIPAL FUND                  *       CLD END NT INC     037580107         9      1000 PRINCIPAL                X
APEX MUNICIPAL FUND                  *       CLD END NT INC     037580107        18      2027 PRINCIPAL                        X
BLACKROCK INSD MUNI 2008 TERM TR     *       CLD END NT INC     09247K109         8       461 PRINCIPAL                X
BLACKROCK NY MUNI INC TR             *       CLD END NT INC     09248L106        73      5000 PRINCIPAL                X
EATON VANCE PA MUNI INC TR           *       CLD END NT INC     27826T101       110      6800 PRINCIPAL                        X
INSURED MUNICIPAL INCOME FD          *       CLD END NT INC     45809F104         6       405 PRINCIPAL                X
MORGAN STANLEY MUNI INC OPP TR II    *       CLD END NT INC     61745P445        16      2000 PRINCIPAL                        X
MUNIENHANCED FUND INC                *       CLD END NT INC     626243109        22      1918 PRINCIPAL                X
MUNIENHANCED FUND INC                *       CLD END NT INC     626243109        23      2032 PRINCIPAL                        X
MUNIHOLDINGS NY INSURED FD           *       CLD END NT INC     625931100       132      8850 PRINCIPAL                        X
MUNIYIELD FUND                       *       CLD END NT INC     626299101         5       371 PRINCIPAL                X
MUNIYIELD FUND                       *       CLD END NT INC     626299101        16      1156 PRINCIPAL                        X
MUNIYIELD NEW YORK INSURED FD        *       CLD END NT INC     626301105        22      1601 PRINCIPAL                        X
MUNIYIELD PENNSYLVANIA INSURED FD    *       CLD END NT INC     62630V109        39      2467 PRINCIPAL                X
MUNIYIELD PENNSYLVANIA INSURED FD    *       CLD END NT INC     62630V109        25      1574 PRINCIPAL                        X
NUVEEN INSD QUALITY MUN FD           *       CLD END NT INC     67062N103       380     22513 PRINCIPAL                X
NUVEEN INVT QUALITY MUNI FD          *       CLD END NT INC     67062E103         5       333 PRINCIPAL                        X
NUVEEN MUNI MARKET OPPORTUNITY FD    *       CLD END NT INC     67062W103        14       940 PRINCIPAL                X
NUVEEN MUNI MARKET OPPORTUNITY FD    *       CLD END NT INC     67062W103       227     15000 PRINCIPAL                        X
NUVEEN MUNICIPAL ADVANTAGE FD        *       CLD END NT INC     67062H106       173     10643 PRINCIPAL                        X
NUVEEN MUNICIPAL VALUE FD            *       CLD END NT INC     670928100       102     10740 PRINCIPAL                X
NUVEEN MUNICIPAL VALUE FD            *       CLD END NT INC     670928100        57      5979 PRINCIPAL                        X
NUVEEN PA INVT QUALITY MUN FD        *       CLD END NT INC     670972108       162     10151 PRINCIPAL                X
NUVEEN PA INVT QUALITY MUN FD        *       CLD END NT INC     670972108       269     16923 PRINCIPAL                        X
NUVEEN PA PREM INCOME MUN FD 2       *       CLD END NT INC     67061F101        85      5312 PRINCIPAL                X
NUVEEN PA PREM INCOME MUN FD 2       *       CLD END NT INC     67061F101        54      3392 PRINCIPAL                        X
NUVEEN PERFORMANCE PLUS MUNI FD      *       CLD END NT INC     67062P108         8       500 PRINCIPAL                X
NUVEEN PERFORMANCE PLUS MUNI FD      *       CLD END NT INC     67062P108        36      2290 PRINCIPAL                        X
NUVEEN PREM INC MUN FD 4             *       CLD END NT INC     6706K4105         6       440 PRINCIPAL                X
NUVEEN PREM INC MUN FD 4             *       CLD END NT INC     6706K4105       109      8055 PRINCIPAL                        X
NUVEEN PREM INC MUNI FD              *       CLD END NT INC     67062T100        10       700 PRINCIPAL                X
NUVEEN PREMIUM INCOME MUNICIPAL FUND *       CLD END NT INC     67063W102        32      2100 PRINCIPAL                        X
PUTNAM MANAGED MUNICIPAL INCOME TR   *       CLD END NT INC     746823103        19      2524 PRINCIPAL                X
PUTNAM MANAGED MUNICIPAL INCOME TR   *       CLD END NT INC     746823103        96     12663 PRINCIPAL                        X
SCUDDER MUNICIPAL INCOME TR COM      *       CLD END NT INC     81118R604        31      2500 PRINCIPAL                X
SCUDDER MUNICIPAL INCOME TR COM      *       CLD END NT INC     81118R604        17      1400 PRINCIPAL                        X
VAN KAMPEN ADVANTAGE PA MUNI INCOME  *       CLD END NT INC     920937109         9       500 PRINCIPAL                X
VAN KAMPEN ADVANTAGE PA MUNI INCOME  *       CLD END NT INC     920937109       147      8600 PRINCIPAL                        X
VAN KAMPEN MUNICIPAL INCOME TRUST    *       CLD END NT INC     920909108        99     10000 PRINCIPAL                        X
VAN KAMPEN MUNICIPAL OPPORTUNITY TR  *       CLD END NT INC     920935103        41      2333 PRINCIPAL                        X
VAN KAMPEN PENN VALUE MUNI INCOME TR *       CLD END NT INC     92112T108        99      5858 PRINCIPAL                X


ISHARES S&P SMALLCAP 600 INDEX FD    *          1         N.A.   N.A.     N.A.
JOHN HANCOCK BANK & THRIFT OPP FD    *          1         N.A.   N.A.     N.A.
JOHN HANCOCK BANK & THRIFT OPP FD    *          1         N.A.   N.A.     N.A.
LIBERTY ALL STAR EQUITY FD           *          1         N.A.   N.A.     N.A.
PUTNAM MASTER INCOME TR              *          1         N.A.   N.A.     N.A.
SALOMON BROTHERS FUND                *          1         N.A.   N.A.     N.A.
SALOMON BROTHERS FUND                *          1         N.A.   N.A.     N.A.
SOURCE CAPITAL INC                   *          1         N.A.   N.A.     N.A.
TEMPLETON EMERGING MKTS FD           *          1         N.A.   N.A.     N.A.
TEMPLETON EMERGING MKTS INCOME FD    *          1         N.A.   N.A.     N.A.
TEMPLETON EMERGING MKTS INCOME FD    *          1         N.A.   N.A.     N.A.
TRICONTINENTAL CORP                  *          1         N.A.   N.A.     N.A.
VANGUARD TOTAL STOCK MARKET VIPERS   *          1         N.A.   N.A.     N.A.
VANGUARD TOTAL STOCK MARKET VIPERS   *          1         N.A.   N.A.     N.A.
ZWEIG FUND                           *          1         N.A.   N.A.     N.A.
ZWEIG TOTAL RETURN FUND              *          1         N.A.   N.A.     N.A.

CLOSEDEND NONTAXABLE INCOME

APEX MUNICIPAL FUND                  *          1         N.A.   N.A.     N.A.
APEX MUNICIPAL FUND                  *          1         N.A.   N.A.     N.A.
BLACKROCK INSD MUNI 2008 TERM TR     *          1         N.A.   N.A.     N.A.
BLACKROCK NY MUNI INC TR             *          1         N.A.   N.A.     N.A.
EATON VANCE PA MUNI INC TR           *          1         N.A.   N.A.     N.A.
INSURED MUNICIPAL INCOME FD          *          1         N.A.   N.A.     N.A.
MORGAN STANLEY MUNI INC OPP TR II    *          1         N.A.   N.A.     N.A.
MUNIENHANCED FUND INC                *          1         N.A.   N.A.     N.A.
MUNIENHANCED FUND INC                *          1         N.A.   N.A.     N.A.
MUNIHOLDINGS NY INSURED FD           *          1         N.A.   N.A.     N.A.
MUNIYIELD FUND                       *          1         N.A.   N.A.     N.A.
MUNIYIELD FUND                       *          1         N.A.   N.A.     N.A.
MUNIYIELD NEW YORK INSURED FD        *          1         N.A.   N.A.     N.A.
MUNIYIELD PENNSYLVANIA INSURED FD    *          1         N.A.   N.A.     N.A.
MUNIYIELD PENNSYLVANIA INSURED FD    *          1         N.A.   N.A.     N.A.
NUVEEN INSD QUALITY MUN FD           *          1         N.A.   N.A.     N.A.
NUVEEN INVT QUALITY MUNI FD          *          1         N.A.   N.A.     N.A.
NUVEEN MUNI MARKET OPPORTUNITY FD    *          1         N.A.   N.A.     N.A.
NUVEEN MUNI MARKET OPPORTUNITY FD    *          1         N.A.   N.A.     N.A.
NUVEEN MUNICIPAL ADVANTAGE FD        *          1         N.A.   N.A.     N.A.
NUVEEN MUNICIPAL VALUE FD            *          1         N.A.   N.A.     N.A.
NUVEEN MUNICIPAL VALUE FD            *          1         N.A.   N.A.     N.A.
NUVEEN PA INVT QUALITY MUN FD        *          1         N.A.   N.A.     N.A.
NUVEEN PA INVT QUALITY MUN FD        *          1         N.A.   N.A.     N.A.
NUVEEN PA PREM INCOME MUN FD 2       *          1         N.A.   N.A.     N.A.
NUVEEN PA PREM INCOME MUN FD 2       *          1         N.A.   N.A.     N.A.
NUVEEN PERFORMANCE PLUS MUNI FD      *          1         N.A.   N.A.     N.A.
NUVEEN PERFORMANCE PLUS MUNI FD      *          1         N.A.   N.A.     N.A.
NUVEEN PREM INC MUN FD 4             *          1         N.A.   N.A.     N.A.
NUVEEN PREM INC MUN FD 4             *          1         N.A.   N.A.     N.A.
NUVEEN PREM INC MUNI FD              *          1         N.A.   N.A.     N.A.
NUVEEN PREMIUM INCOME MUNICIPAL FUND *          1         N.A.   N.A.     N.A.
PUTNAM MANAGED MUNICIPAL INCOME TR   *          1         N.A.   N.A.     N.A.
PUTNAM MANAGED MUNICIPAL INCOME TR   *          1         N.A.   N.A.     N.A.
SCUDDER MUNICIPAL INCOME TR COM      *          1         N.A.   N.A.     N.A.
SCUDDER MUNICIPAL INCOME TR COM      *          1         N.A.   N.A.     N.A.
VAN KAMPEN ADVANTAGE PA MUNI INCOME  *          1         N.A.   N.A.     N.A.
VAN KAMPEN ADVANTAGE PA MUNI INCOME  *          1         N.A.   N.A.     N.A.
VAN KAMPEN MUNICIPAL INCOME TRUST    *          1         N.A.   N.A.     N.A.
VAN KAMPEN MUNICIPAL OPPORTUNITY TR  *          1         N.A.   N.A.     N.A.
VAN KAMPEN PENN VALUE MUNI INCOME TR *          1         N.A.   N.A.     N.A.

                                    62 OF 64                           5/14/2004




                                                                                                 
SUBTOTALS FOR CLOSEDEND NONTAXABLE IN                                          2811    200051


NONTAXABLE FIXED INCOME FUND

DREYFUS MUNICIPAL INCOME FUND        *       NT FIX INC FD      26201R102        77      7200 PRINCIPAL                        X
DREYFUS STRATEGIC MUN BD FD (CE)     *       NT FIX INC FD      26202F107       252     27602 PRINCIPAL                X
DREYFUS STRATEGIC MUN BD FD (CE)     *       NT FIX INC FD      26202F107       163     17864 PRINCIPAL                        X
DREYFUS STRATEGIC MUNS INC (CE)      *       NT FIX INC FD      261932107        20      2109 PRINCIPAL                        X
EATON VANCE MUNICIPAL INCOME TRUST   *       NT FIX INC FD      27826U108        82      5000 PRINCIPAL                        X
MORGAN STAN DEAN QUALITY MUN INC TR  *       NT FIX INC FD      61745P734        21      1413 PRINCIPAL                        X
MORGAN STANLEY INSD MUNI INCOME TR   *       NT FIX INC FD      61745P791        42      2814 PRINCIPAL                        X
MORGAN STANLEY QUALITY MUNI INVST    *       NT FIX INC FD      61745P668        25      1708 PRINCIPAL                        X
MUNICIPAL HIGH INCOME FD INC         *       NT FIX INC FD      626214100        87     10930 PRINCIPAL                        X
MUNIHOLDINGS NEW JERSEY INSD FD INC  *       NT FIX INC FD      625936109        46      3050 PRINCIPAL                        X
MUNIYIELD CALIF INSD FUND INC        *       NT FIX INC FD      62629L104        44      3050 PRINCIPAL                        X
MUNIYIELD QUALITY FUND II            *       NT FIX INC FD      62630T104        89      6850 PRINCIPAL                        X
NUVEEN DIVID ADVANTAGE MUN FD 2      *       NT FIX INC FD      67070F100        35      2251 PRINCIPAL                        X
NUVEEN PREMIER INSD MUNI FD (CE)     *       NT FIX INC FD      670987106         7       410 PRINCIPAL                X
NUVEEN PREMIER INSD MUNI FD (CE)     *       NT FIX INC FD      670987106       254     15446 PRINCIPAL                        X
NUVEEN QUALITY INCOME MUNI FD (CE)   *       NT FIX INC FD      670977107         8       500 PRINCIPAL                X
VAN KAMPEN ADVANTAGE MUNI INCOME TR  *       NT FIX INC FD      921124103       126      7500 PRINCIPAL                        X
VAN KAMPEN PA QUALITY MUNI TR (CE)   *       NT FIX INC FD      920924107        47      2800 PRINCIPAL                X
VAN KAMPEN PA QUALITY MUNI TR (CE)   *       NT FIX INC FD      920924107       105      6250 PRINCIPAL                        X
VAN KAMPEN TRUST INVT GRADE PA MUNI  *       NT FIX INC FD      920934106        57      3425 PRINCIPAL                X

SUBTOTALS FOR NONTAXABLE FIXED INCOME FUNDS                                    1587    128172


CLOSED END FIXED INCOME

ABERDEEN ASIA PACIFIC INC FD         *       CLD END FIX INC FD 003009107        20      3000 PRINCIPAL                X
ACM INCOME FUND                      *       CLD END FIX INC FD 000912105       180     20558 PRINCIPAL                        X
ALLIANCE WORLD DLR GOVT FUND (CE)    *       CLD END FIX INC FD 018796102        33      2500 PRINCIPAL                X
AMERICAN STRATEGIC INCOME III FD     *       CLD END FIX INC FD 03009T101        57      4300 PRINCIPAL                X
AMERICAN STRATEGIC INCOME PORT II    *       CLD END FIX INC FD 030099105        62      4400 PRINCIPAL                X
BANCROFT CONVERTIBLE FUND INC        *       CLD END FIX INC FD 059695106         0        25 PRINCIPAL                X
CIGNA HIGH INCOME SHARE (CE)         *       CLD END FIX INC FD 12551D109         1       241 PRINCIPAL                        X
CIM HIGH YIELD SECS SH BEN INT (CE)  *       CLD END FIX INC FD 125527101         1       136 PRINCIPAL                        X
CITICORP INVESTMENTS CORP LN FD      *       CLD END FIX INC FD 17307C107        39      2583 PRINCIPAL                        X
DREYFUS HIGH YIELD STRATEGIES FD     *       CLD END FIX INC FD 26200S101        11      2000 PRINCIPAL                        X
DUFF & PHELPS UTIL & CORP BOND FD    *       CLD END FIX INC FD 26432K108        23      1500 PRINCIPAL                        X
FRANKLIN UNIVERSAL TRUST             *       CLD END FIX INC FD 355145103        25      4200 PRINCIPAL                        X
GERMANY FUND                         *       CLD END FIX INC FD 374143105         9      1257 PRINCIPAL                X
HIGH INCOME OPPORTUNITY FD INC       *       CLD END FIX INC FD 42967Q105        21      2881 PRINCIPAL                X
HYPERION TOTAL RETURN FUND           *       CLD END FIX INC FD 449145101        10      1000 PRINCIPAL                        X
JOHN HANCOCK INVESTORS TRUST         *       CLD END FIX INC FD 410142103         6       300 PRINCIPAL                        X
MFS CHARTER INCOME TRUST             *       CLD END FIX INC FD 552727109         2       166 PRINCIPAL                X
MFS GOVT MARKETS INCOME TRUST        *       CLD END FIX INC FD 552939100         6       856 PRINCIPAL                X
MFS INTERMEDIATE INCOME TRUST        *       CLD END FIX INC FD 55273C107        70     10000 PRINCIPAL                        X
MFS MULTIMARKET INCOME TRUST         *       CLD END FIX INC FD 552737108       181     28245 PRINCIPAL                        X
MFS SPECIAL VALUE TRUST              *       CLD END FIX INC FD 55274E102        25      2125 PRINCIPAL                        X
MORGAN STANLEY HIGH YLD FD INC       *       CLD END FIX INC FD 61744M104         2       300 PRINCIPAL                X
MORGAN STANLEY HIGH YLD FD INC       *       CLD END FIX INC FD 61744M104        18      2750 PRINCIPAL                        X
NATIONS GOVT INCOME TERM TRUST 2004  *       CLD END FIX INC FD 638584102       509     50800 PRINCIPAL                        X
NEW AMERICAN HIGH INCOME FD INC CE   *       CLD END FIX INC FD 641876107         8      3500 PRINCIPAL                        X
NUVEEN PFD & CVRT INCOME FUND        *       CLD END FIX INC FD 67073B106        23      1500 PRINCIPAL                X
NUVEEN QUALITY PFD INCOME FD 2       *       CLD END FIX INC FD 67072C105        39      2350 PRINCIPAL                X
NUVEEN QUALITY PFD INCOME FD 2       *       CLD END FIX INC FD 67072C105       227     13715 PRINCIPAL                        X
PACIFIC AMERICAN INCOME SHS INC CE   *       CLD END FIX INC FD 693796104        23      1500 PRINCIPAL                        X
PIMCO RCM STRAT GLOBAL GOVT          *       CLD END FIX INC FD 72200X104        19      1500 PRINCIPAL                X
PIMCO RCM STRAT GLOBAL GOVT          *       CLD END FIX INC FD 72200X104         0        22 PRINCIPAL                        X
PROSPECT STREET INCOME SHARES INC    *       CLD END FIX INC FD 743590101         2       347 PRINCIPAL                X
PUTNAM MANAGED HIGH YIELD TRUST      *       CLD END FIX INC FD 746819101        23      2650 PRINCIPAL                        X


NONTAXABLE FIXED INCOME FUND

DREYFUS MUNICIPAL INCOME FUND        *          1         N.A.   N.A.     N.A.
DREYFUS STRATEGIC MUN BD FD (CE)     *          1         N.A.   N.A.     N.A.
DREYFUS STRATEGIC MUN BD FD (CE)     *          1         N.A.   N.A.     N.A.
DREYFUS STRATEGIC MUNS INC (CE)      *          1         N.A.   N.A.     N.A.
EATON VANCE MUNICIPAL INCOME TRUST   *          1         N.A.   N.A.     N.A.
MORGAN STAN DEAN QUALITY MUN INC TR  *          1         N.A.   N.A.     N.A.
MORGAN STANLEY INSD MUNI INCOME TR   *          1         N.A.   N.A.     N.A.
MORGAN STANLEY QUALITY MUNI INVST    *          1         N.A.   N.A.     N.A.
MUNICIPAL HIGH INCOME FD INC         *          1         N.A.   N.A.     N.A.
MUNIHOLDINGS NEW JERSEY INSD FD INC  *          1         N.A.   N.A.     N.A.
MUNIYIELD CALIF INSD FUND INC        *          1         N.A.   N.A.     N.A.
MUNIYIELD QUALITY FUND II            *          1         N.A.   N.A.     N.A.
NUVEEN DIVID ADVANTAGE MUN FD 2      *          1         N.A.   N.A.     N.A.
NUVEEN PREMIER INSD MUNI FD (CE)     *          1         N.A.   N.A.     N.A.
NUVEEN PREMIER INSD MUNI FD (CE)     *          1         N.A.   N.A.     N.A.
NUVEEN QUALITY INCOME MUNI FD (CE)   *          1         N.A.   N.A.     N.A.
VAN KAMPEN ADVANTAGE MUNI INCOME TR  *          1         N.A.   N.A.     N.A.
VAN KAMPEN PA QUALITY MUNI TR (CE)   *          1         N.A.   N.A.     N.A.
VAN KAMPEN PA QUALITY MUNI TR (CE)   *          1         N.A.   N.A.     N.A.
VAN KAMPEN TRUST INVT GRADE PA MUNI  *          1         N.A.   N.A.     N.A.

CLOSED END FIXED INCOME

ABERDEEN ASIA PACIFIC INC FD         *          1         N.A.   N.A.     N.A.
ACM INCOME FUND                      *          1         N.A.   N.A.     N.A.
ALLIANCE WORLD DLR GOVT FUND (CE)    *          1         N.A.   N.A.     N.A.
AMERICAN STRATEGIC INCOME III FD     *          1         N.A.   N.A.     N.A.
AMERICAN STRATEGIC INCOME PORT II    *          1         N.A.   N.A.     N.A.
BANCROFT CONVERTIBLE FUND INC        *          1         N.A.   N.A.     N.A.
CIGNA HIGH INCOME SHARE (CE)         *          1         N.A.   N.A.     N.A.
CIM HIGH YIELD SECS SH BEN INT (CE)  *          1         N.A.   N.A.     N.A.
CITICORP INVESTMENTS CORP LN FD      *          1         N.A.   N.A.     N.A.
DREYFUS HIGH YIELD STRATEGIES FD     *          1         N.A.   N.A.     N.A.
DUFF & PHELPS UTIL & CORP BOND FD    *          1         N.A.   N.A.     N.A.
FRANKLIN UNIVERSAL TRUST             *          1         N.A.   N.A.     N.A.
GERMANY FUND                         *          1         N.A.   N.A.     N.A.
HIGH INCOME OPPORTUNITY FD INC       *          1         N.A.   N.A.     N.A.
HYPERION TOTAL RETURN FUND           *          1         N.A.   N.A.     N.A.
JOHN HANCOCK INVESTORS TRUST         *          1         N.A.   N.A.     N.A.
MFS CHARTER INCOME TRUST             *          1         N.A.   N.A.     N.A.
MFS GOVT MARKETS INCOME TRUST        *          1         N.A.   N.A.     N.A.
MFS INTERMEDIATE INCOME TRUST        *          1         N.A.   N.A.     N.A.
MFS MULTIMARKET INCOME TRUST         *          1         N.A.   N.A.     N.A.
MFS SPECIAL VALUE TRUST              *          1         N.A.   N.A.     N.A.
MORGAN STANLEY HIGH YLD FD INC       *          1         N.A.   N.A.     N.A.
MORGAN STANLEY HIGH YLD FD INC       *          1         N.A.   N.A.     N.A.
NATIONS GOVT INCOME TERM TRUST 2004  *          1         N.A.   N.A.     N.A.
NEW AMERICAN HIGH INCOME FD INC CE   *          1         N.A.   N.A.     N.A.
NUVEEN PFD & CVRT INCOME FUND        *          1         N.A.   N.A.     N.A.
NUVEEN QUALITY PFD INCOME FD 2       *          1         N.A.   N.A.     N.A.
NUVEEN QUALITY PFD INCOME FD 2       *          1         N.A.   N.A.     N.A.
PACIFIC AMERICAN INCOME SHS INC CE   *          1         N.A.   N.A.     N.A.
PIMCO RCM STRAT GLOBAL GOVT          *          1         N.A.   N.A.     N.A.
PIMCO RCM STRAT GLOBAL GOVT          *          1         N.A.   N.A.     N.A.
PROSPECT STREET INCOME SHARES INC    *          1         N.A.   N.A.     N.A.
PUTNAM MANAGED HIGH YIELD TRUST      *          1         N.A.   N.A.     N.A.

                                    63 OF 64                           5/14/2004




                                                                                                 
PUTNAM PREMIER INCOME TRUST          *       CLD END FIX INC FD 746853100         2       300 PRINCIPAL                        X
TEMPLETON GLOBAL INCOME FD           *       CLD END FIX INC FD 880198106       377     41543 PRINCIPAL                X
VAN KAMPEN SENIOR INCOME TRUST       *       CLD END FIX INC FD 920961109        96     11000 PRINCIPAL                X
VAN KAMPEN SENIOR INCOME TRUST       *       CLD END FIX INC FD 920961109         9      1000 PRINCIPAL                        X

SUBTOTALS FOR CLOSEDEND FIXED INCOME                                           2159    227050


PARTNERSHIPS

FERRELLGAS PARTNERS LP               *       PARTNERSHIP        315293100        25      1000 PRINCIPAL                X
FERRELLGAS PARTNERS LP               *       PARTNERSHIP        315293100       202      8000 PRINCIPAL                        X
ML MACADAMIA ORCHARDS L P            *       PARTNERSHIP        55307U107         0       100 PRINCIPAL                        X
NORTHERN BORDER PARTNERS LP UNIT LTD *       PARTNERSHIP        664785102       211      5000 PRINCIPAL                        X
PHOSPHATE RESOURCES LTD PARTNERS     *       PARTNERSHIP        719217101         6      2000 PRINCIPAL                X
PHOSPHATE RESOURCES LTD PARTNERS     *       PARTNERSHIP        719217101         6      2000 PRINCIPAL                        X

SUBTOTALS FOR PARTNERSHIPS                                                      450     18100


PUTNAM PREMIER INCOME TRUST          *          1         N.A.   N.A.     N.A.
TEMPLETON GLOBAL INCOME FD           *          1         N.A.   N.A.     N.A.
VAN KAMPEN SENIOR INCOME TRUST       *          1         N.A.   N.A.     N.A.
VAN KAMPEN SENIOR INCOME TRUST       *          1         N.A.   N.A.     N.A.

PARTNERSHIPS

FERRELLGAS PARTNERS LP               *          1         N.A.   N.A.     N.A.
FERRELLGAS PARTNERS LP               *          1         N.A.   N.A.     N.A.
ML MACADAMIA ORCHARDS L P            *          1         N.A.   N.A.     N.A.
NORTHERN BORDER PARTNERS LP UNIT LTD *          1         N.A.   N.A.     N.A.
PHOSPHATE RESOURCES LTD PARTNERS     *          1         N.A.   N.A.     N.A.
PHOSPHATE RESOURCES LTD PARTNERS     *          1         N.A.   N.A.     N.A.

*SUMMARY PAGE FOR C. OTHER *



MINOR ASSET TYPE

                                                                                 
68 CLOSEDEND FIXED INCOME                                                      2159    227050
32 CONVERTIBLE CORPORATE BONDS                                                 5911   6130000
65 CLOSEDEND NONTAXABLE INCOME                                                 2811    200051
63 CLOSED END EQUITY MUTUAL FUND                                              11847    442184
88 PARTNERSHIPS                                                                 450     18100
59 DOMESTIC EQUITY MUTUAL FUNDS                                                  86      1500
60 GLOBAL EQUITY MUTUAL FUNDS                                                  4617     44704
67 NONTAXABLE FIXED INCOME FUNDS                                               1587    128172
61 INTL EQUITY MUTUAL FUNDS                                                       4       160
33 FOREIGN CORPORATE BONDS                                                     1275   1070000
29 VARIABLE RATE GOVERNMENT                                                     120    120000

*SUBTOTALS*                                                                   30867   8381921


* THESE ASSETS ARE CODED 13(F) ELIGIBLE, HOWEVER, THE MINOR ASSET TYPE IS NOT IN THE MAPPING


**SUMMARY PAGE FOR: M & T BANK (SERVICE BUREAU) * *

CATEGORY
A. COMMON STOCK                                                             4218239 122680568
B. PREFERRED STOCK                                                            12928    302874
C. OTHER                                                                      30867   8381921

**GRAND TOTALS**                                                            4262034 131365363


                                    64 OF 64                           5/14/2004




                                                        13-F Summary Page

Number of Other Included Managers:                                            3

Form 13-F Information Table Entry Total:                                   3,901

Form 13-F Information Table Value Total:                               4,262,034

List of Other Included Managers:


No.    Form 13F File Number             Name

 1     28-39800                         Manufacturers & Traders Trust Company
 2                                      Zirkin-Cutler Investments, Inc.
 3                                      MTB Investment Advisors, Inc.