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

                                    FORM 13F

                              Form 13F COVER PAGE

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

Check here if Amendment   [     ];    Amendment Number:
This Amendment:    (Check only one.):   [       ]  is a restatement
                                        [       ]  adds new holdings entries.


Institutional Investment Manager Filing this Report:

Name:                      Legg Mason, Inc.
Address:                   100 Light Street
                           Baltimore, MD  21202

13F File Number:           28-1700

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 the Reporting Manager:

Name:             Timothy C. Scheve
Title:            Sr. Ex. Vice President

Signature, Date, and Place of Signing



_______________________________________________________________________________
Timothy C. Scheve            Baltimore, MD                    May 10, 2002

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934

Report Type   (Check only one.):

[      ]          13F HOLDINGS REPORT.
[      ]          13F NOTICE.
[  X   ]          13F COMBINATION REPORT.

Legg Mason, Inc. ('Legg Mason') is the parent company of a number of operating
subsidiaries that qualify as 'institutional investment managers' for purposes
of the reporting requirements under Section 13(f) of the Securities Exchange
Act of 1934 (the 'Act') and the rules promulgated thereunder.  Legg Mason
itself does not in fact exercise, and therefore disclaims, investment
discretion with respect to any Section 13(f) securities positions over which
its subsidiaries exercise investment discretion.  To the extent, however, that
Legg Mason's ownership interest in its subsidiaries gives rise to a Form 13F
filing obligation on behalf of Legg Mason, the information required by Form 13F
is reported herein on behalf of certain of Legg Mason's subsidiaries which are
themselves institutional investment managers subject to Section 13(f) of the
Act.  The Section 13(f) securities positions of Barrett Associates, Inc.,
Bartlett & Co., Batterymarch Financial Management, Inc., Berkshire Asset
Management, Inc., Bingham Legg Advisers LLC, Brandywine Asset Management, LLC
Gray Seifert & Co., Inc., Legg Mason Capital Management, Inc., Legg Mason Focus
Capital, Inc., Legg Mason Funds Management, Inc., Legg Mason Trust, fsb, Legg
Mason Wood Walker, Incorporated, LeggMason Investors Asset Managers, plc,
LMM, LLC, and Perigee Investment Counsel, Inc., all of which are subsidiaries
of Legg Mason, are included in this Form 13F report.

List of other managers reporting for this Manager:
   13F File No.       Manager Name
   -----------        ------------
    28-3428           Private Capital Management, L P
    28-3780           Royce & Associates, LLC

                          FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:         16
Form 13F Information Table Entry Total:    8,649
Form 13F Information Table Value Total:    41,204,608,869


List of Other Included Managers:

No.               13F File No.            Manager Name


1                 28-3658                Barrett Associates, Inc.
2                 28-1891                Bartlett & Co.
3                 28-0377                Batterymarch Financial Management, Inc.
4                 28-5034                Berkshire Asset Management, Inc.
5                 28-6393                Bingham Legg Advisers LLC
6                 28-2204                Brandywine Asset Management, LLC
7                 28-1062                Gray, Seifert & Co., Inc.
8                 28-1701                Legg Mason Capital Management, Inc.
9                 28-6485                Legg Mason Focus Capital, Inc.
10                28-6395                Legg Mason Funds Management, Inc.
11                28-6397                Legg Mason Trust, fsb
12                28-5474                Legg Mason Wood Walker, Incorporated
13                28-6659                LeggMason Investors Asset
                                           Managers, plc
14                28-6399                LMM, LLC
15                28-7412                Perigee Investment Counsel, Inc.






           (1)                  (2)          (3)         (4)           (5)       (6)   (7)                  (8)
      Name of Issuer       Title of Class   CUSIP        FMV         Shares/     Inv  Other       Voting  Authority (Shs.)
                                                       (x1000)       Princ.      Disc  Mgr        (a)       (b)       (c)
        
                                                                                            

----------------------------------------------------------------------------------------------------------------------------------
Aaon Inc                         Com      000360206           12          450 Shs  Def   6          450
Aar Corp                         Com      000361105        7,025      648,527 Shs  Def   6      638,367          750         9,410
Abc Bancorp                      Com      000400101          654       44,800 Shs  Def   6       44,800
Adc Telecommunications           Com      000886101            8        1,852 Shs  Def   2        1,852
A D C Telecommunications         Com      000886101            7        1,660 Shs  Def   6        1,660
Adc Telecommunications Inc       Com      000886101          212       52,180 Shs  Def  12                    52,180
Ade Corp-Mass                    Com      00089C107           11          700 Shs  Def  12                       700
Acm Income Fd Inc                Cl End Fd000912105        1,572      203,859 Shs  Def  12                   203,859
Acm Government Opportunity       Cl End Fd000918102            8          875 Shs  Def  12                       875
Acm Managed Income Fund Inc      Cl End Fd000919100            2          500 Shs  Def  12                       500
Acm Municipal Securities         Cl End Fd000942102           31        2,606 Shs  Def  12                     2,606
Acm Managed Dollar Income        Cl End Fd000949107            8        1,100 Shs  Def  12                     1,100
Abm Industries Inc               Com      000957100          297        8,100 Shs  Def  12                     8,100
Afc Enterprises Inc              Com      00104Q107        1,963       58,670 Shs  Def   3       57,770                        900
Aflac Incorporated               Com      001055102          118        4,000 Shs  Def   2        4,000
Aflac Inc                        Com      001055102        4,863      164,835 Shs  Def   6      164,835
Aflac Incorporated               Com      001055102           89        3,000 Shs  Def   7        3,000
Aflac Corp. New                  Com      001055102        2,167       73,776 Shs  Def   9                                  73,776
Aflac Inc                        Com      001055102        2,191       74,271 Shs  Def  12                    74,271
Agco Corp                        Com      001084102           54        2,380 Shs  Def  12                     2,380
Agl Capital Trust Ii 8% Trust    Pfd      001198209          108        4,300 Shs  Def  12                     4,300
Agl Resources Inc                Com      001204106          361       15,374 Shs  Def  12                    15,374
Ag Svcs Amer Inc                 Com      001250109          645       46,100 Shs  Def   6       44,600                      1,500
The Aes Corporation              Com      00130H105           25        2,800 Shs  Def   2        2,800
Aes Corp                         Com      00130H105          314       34,905 Shs  Def   5       32,611                      2,294
Aes Corp                         Com      00130H105            8          930 Shs  Def   6          930
The Aes Corporation              Com      00130H105      232,149   25,794,336 Shs  Def   8                25,794,336
Aescorporation                   Com      00130H105            4          450 Shs  Def   9                       450
The Aes Corporation              Com      00130H105      441,739   49,082,080 Shs  Def  10   49,082,080
Aes Corp                         Com      00130H105        3,020      335,597 Shs  Def  12                   335,597
The Aes Corporation              Com      00130H105       49,500    5,500,000 Shs  Def  14    5,500,000
Aes Corporation                  Com      00130H105            4          300 Shs  Def  15          300
Aes Corp                         Com      00130H105          630       70,000 Shs  Def                        70,000
Ak Stl Hldg Corp                 Com      001547108        2,459      171,956 Shs  Def   6      164,056                      7,900
Ak Steel Holding Corp            Com      001547108           49        3,431 Shs  Def  12                     3,431
Amb Property Corp                Com      00163T109           52        1,900 Shs  Def  12                     1,900
Amc Entertainment Inc.           Com      001669100           41        3,000 Shs  Def                         3,000
Amli Residential Properties      Com      001735109            3          100 Shs  Def  12                       100
Amr Corp.                        Com      001765106            5          200 Shs  Def   2          200
Amr Corp                         Com      001765106          859       32,520 Shs  Def   6       32,520
Amr Corp                         Com      001765106          232        9,087 Shs  Def   9                                   9,087
Amr Corp-Del                     Com      001765106          120        4,560 Shs  Def  12                     4,560
Amr Corp                         Pfd      001765866           12          506 Shs  Def  12                       506
Anc Rental Corp                  Com      001813104            3        7,274 Shs  Def  12                     7,274
Anz Exch Pfd Trust               Pfd      001823202           90        3,600 Shs  Def  12                     3,600
Anz Exchangeable Pfd Tr Ii       Pfd      001824101           75        3,000 Shs  Def  12                     3,000
Aol Time Warner, Inc.            Com      00184A105       17,391      735,360 Shs  Def   1      180,667                    554,693
Aol Time Warner Inc.             Com      00184A105       20,897      883,602 Shs  Def   2      882,402                      1,200
Aol Time Warner Inc              Com      00184A105       12,299      520,024 Shs  Def   3      500,074                     19,950
Aol Time Warner                  Com      00184A105           35        1,470 Shs  Def   4        1,470
Aol Time Warner                  Com      00184A105        4,942      208,965 Shs  Def   5      158,559                     50,406
Aol Time Warner                  Com      00184A105        4,003      169,244 Shs  Def   6      169,244
Aol Time Warner Inc.             Com      00184A105        1,232       52,075 Shs  Def   7       52,075
Aol Time Warner Inc.             Com      00184A105      198,265    8,383,284 Shs  Def   8                 8,383,284
Aol Time Warner Inc              Com      00184A105        2,638      113,366 Shs  Def   9                    11,129       102,237
Aol Time Warner Inc.             Com      00184A105      431,266   18,235,363 Shs  Def  10   18,235,363
Aol Time Warner Inc              Com      00184A105          893       37,751 Shs  Def  11       27,956        4,454         5,196
Aol Time Warner Inc              Com      00184A105       34,986    1,479,343 Shs  Def  12                 1,479,343
Aol Time Warner Inc.             Com      00184A105        5,858      157,800 Shs  Def  15      157,800
Apa Optics Inc                   Com      001853100            1          200 Shs  Def  12                       200
Ati Technologies Inc             Com      001941103        1,619      120,800 Shs  Def   3      116,800                      4,000
Ati Technology                   Com      001941103            7          511 Shs  Def   6          511
***Ati Technologies Inc          Com      001941103           32        2,400 Shs  Def  12                     2,400
At & T Corp.                     Com      001957109        3,347      213,170 Shs  Def   2      208,468                      4,702
At&T                             Com      001957109        6,800      433,095 Shs  Def   3      416,330                     16,765
At&T                             Com      001957109          305       19,400 Shs  Def   4       19,400
At&T Corp                        Com      001957109          568       36,191 Shs  Def   5       33,145                      3,046
At&T Corp                        Com      001957109        3,232      205,882 Shs  Def   6      205,882
At & T Corp.                     Com      001957109        1,294       81,664 Shs  Def   9                                  81,664
At&T Corporation                 Com      001957109          286       18,188 Shs  Def  11       16,406        1,482           300
At&T Corp                        Com      001957109        6,027      383,870 Shs  Def  12                   383,870
A T & T Corp.                    Com      001957109        4,987      202,316 Shs  Def  15      202,316
At & T Corp                      Com      001957109          154       10,000 Shs  Def                        10,000
At&T Corp Wireless Tracking      Com      001957406        1,072      119,758 Shs  Def   9                                 119,758
A S V Inc                        Com      001963107           69        5,878 Shs  Def  12                     5,878
Ap Pharma                        Com      00202J104            4        1,580 Shs  Def   4        1,580
Apt Satellite Holdings Ltd       ADR      00203R105           86       27,400 Shs  Def   2       27,400
***Asa Ltd (Sr 0.25 Par)         Com      002050102           83        2,875 Shs  Def  12                     2,875
At&T Capital Corp 8.25%          Pfd      00206J209           52        2,100 Shs  Def  12                     2,100
At&T Cap Corp 8.125%             Pfd      00206J308        1,127       46,185 Shs  Def  12                    46,185
At&T Wireless Services, Inc.     Com      00209A106          562       62,834 Shs  Def   2       62,287                        547
At&T Wireless Services Inc       Com      00209A106        1,250      139,617 Shs  Def   3      133,517                      6,100
At&T Wireless Services           Com      00209A106        8,927      997,426 Shs  Def   4      997,426
At&T Wireless Services           Com      00209A106           93       10,425 Shs  Def   5        6,718                      3,707
At&T Wireless Services Inc       Com      00209A106            4          460 Shs  Def   6          460
At&T Wireless Services Inc       Com      00209A106        1,539      171,986 Shs  Def  12                   171,986
At&T Wireless Services Inc.      Com      00209A106        3,057      216,555 Shs  Def  15      216,555
At & T Wireless Services         Com      00209A106          178       20,500 Shs  Def                        20,500
Atc Healthcare Inc               Com      00209C102           35       15,200 Shs  Def  12                    15,200
Avi Biopharma Inc                Com      002346104            8          960 Shs  Def  12                       960
Avx Corp New                     Com      002444107           54        2,575 Shs  Def  12                     2,575
Axs-One Inc                      Com      002458107            1        1,000 Shs  Def  12                     1,000
Azz Inc                          Com      002474104        1,466       81,900 Shs  Def   6       79,700                      2,200
Aaron Rents Inc                  Com      002535201           17          730 Shs  Def   3          730
Abbott Laboratories              Com      002824100        8,159      155,106 Shs  Def   1       34,000                    121,106
Abbott Laboratories              Com      002824100       14,385      273,472 Shs  Def   2      252,572                     20,900
Abbott Labs  Com                 Com      002824100       28,488      541,594 Shs  Def   3      522,194                     19,400
Abbott Laboratories              Com      002824100        8,817      167,618 Shs  Def   4      167,618
Abbott Laboratories Com          Com      002824100        2,961       56,297 Shs  Def   5       39,483                     16,814
Abbott Labs                      Com      002824100       16,375      310,369 Shs  Def   6      299,104                     11,265
Abbott Laboratories              Com      002824100          442        8,400 Shs  Def   7        8,400
Abbott Labs                      Com      002824100          355        6,660 Shs  Def   9                                   6,660
Abbott Labs                      Com      002824100        1,258       23,911 Shs  Def  11       16,136        2,765         4,410
Abbott Laboratories              Com      002824100       25,051      476,247 Shs  Def  12                   476,247
Abbott Labs.                     Com      002824100          364        4,340 Shs  Def  15        4,340
Abercrombie & Fitch Co.          Com      002896207       20,427      663,200 Shs  Def   8                   663,200
Abercrombie & Fitch Co-Cl A      Com      002896207          431       13,987 Shs  Def  12                    13,987
Abercrombie & Fitch Co.          Com      002896207       77,000    2,500,000 Shs  Def  14    2,500,000
Abbey Natl Plc Adr Sp            Com      002920106          250        8,805 Shs  Def   6          175                      8,630
***Abbey National Plc            Pfd      002920304           31        1,300 Shs  Def  12                     1,300
***Abbey National Plc            Pfd      002920601          107        4,400 Shs  Def  12                     4,400
Aberdeen Asia Pacific Income     Cl End Fd003009107          283       67,146 Shs  Def  12                    67,146
Aberdeen Commonwealth Inco       Cl End Fd003013109           17        2,000 Shs  Def  12                     2,000
Abigail Adams Natl Banco         Com      003390101           57        3,250 Shs  Def   6        3,250
Abigail Adams National Bancorp   Com      003390101          158        9,056 Shs  Def  12                     9,056
Abgenix Inc                      Com      00339B107           45        2,400 Shs  Def  12                     2,400
Abington Bancorp Inc New         Com      00350P100          258       15,700 Shs  Def   6       15,700
Abiomed Inc                      Com      003654100           49        4,400 Shs  Def  12                     4,400
Able Laboratories Inc            Com      00371N100           37       87,500 Shs  Def  12                    87,500
Abn Amro Capital Fdg Trust       Pfd      00371Q202           49        2,000 Shs  Def  12                     2,000
Abn Amro Capital Funding         Pfd      00371T206          117        4,800 Shs  Def  12                     4,800
Acacia Research Corp             Com      003881109            8          660 Shs  Def  12                       660
Abitibi-Consolidated Inc Com     Com      003924107          554       62,200 Shs  Def   3       62,200
Abitibi-Consolidated             Com      003924107          228       25,875 Shs  Def   6          780                     25,095
Access Pharmaceuticals Inc       Com      00431M209          343       93,333 Shs  Def   5       15,000                     78,333
Access Pharmaceuticals Inc       Com      00431M209           37       10,000 Shs  Def  12                    10,000
Ace Capital Trust I              Pfd      004402103           39        1,500 Shs  Def  12                     1,500
Aceto Corp.                      Com      004446100           29        2,500 Shs  Def   2        2,500
Aceto Corp                       Com      004446100          904       78,335 Shs  Def   6       75,835                      2,500
Aceto Corp                       Com      004446100            6          487 Shs  Def  12                       487
Action Products Intl Inc         Com      004920104           13        8,000 Shs  Def  12                     8,000
Activision Inc New               Com      004930202            7          247 Shs  Def  12                       247
Action Performance Cos Inc       Com      004933107        1,655       33,600 Shs  Def   3       33,600
Actel Corp                       Com      004934105           77        3,730 Shs  Def   3        3,730
Acterna Corporation              Com      00503U105            8        5,000 Shs  Def   2        5,000
Active Power Inc                 Com      00504W100            5        1,000 Shs  Def  12                     1,000
Actrade Financial Technologies LtCom      00507P102        1,197       78,000 Shs  Def   3       74,800                      3,200
Actrade Finl Technologie         Com      00507P102          782       51,000 Shs  Def   6       51,000
Actuate Corporation              Com      00508B102          171       23,700 Shs  Def  12                    23,700
Actuant Corp Cl A                Com      00508X203        4,008       92,890 Shs  Def   3       80,090                     12,800
Actuant Corp                     Com      00508X203        1,893       43,880 Shs  Def   6       41,900                      1,980
Actuant Corp                     Com      00508X203           17          400 Shs  Def  12                       400
Acuity Brands Inc                Com      00508Y102           23        1,400 Shs  Def   2        1,400
Acuity Brands Inc                Com      00508Y102           12          720 Shs  Def   3          720
Acuity Brands Inc                Com      00508Y102        8,893      538,000 Shs  Def   6      521,100                     16,900
Acuity Brands Inc                Com      00508Y102          201       12,150 Shs  Def  12                    12,150
Acxiom Corporation               Com      005125109            4          225 Shs  Def   7          225
Acxiom Corporation               Com      005125109       15,897      927,500 Shs  Def   8                   927,500
Acxiom Corp.                     Com      005125109            8          450 Shs  Def   9                       450
Acxiom Corporation               Com      005125109       85,700    5,000,000 Shs  Def  10    5,000,000
Acxiom Corp                      Com      005125109          152        8,880 Shs  Def  12                     8,880
Acxiom Corporation               Com      005125109       54,848    3,200,000 Shs  Def  14    3,200,000
Ubs Ag Registered                Com      005485958           31          369 Shs  Def   7          369
Adams Express Company            Cl End Fd006212104          181       12,803 Shs  Def  12                    12,803
Adaptec Inc  Com  Nasd Indl      Com      00651F108        3,452      258,165 Shs  Def   3      243,565                     14,600
Adaptec Inc                      Com      00651F108           76        5,700 Shs  Def  12                     5,700
Adecco Sa Sponsored A            Com      006754105          489       29,610 Shs  Def   6        1,855                     27,755
Adelphia Business Solutions      Com      006847107            3       82,703 Shs  Def   4       82,703
Adelphia Comm                    Com      006848105        2,599      174,422 Shs  Def   4      174,422
Adelphia Communications A        Com      006848105            1           86 Shs  Def   6           86
Adelphia Communications Corp     Com      006848105          209       14,025 Shs  Def  12                    14,025
Administaff Inc                  Com      007094105           14          500 Shs  Def  12                       500
Adobe Systems Inc.               Com      00724F101          262        6,501 Shs  Def   2        6,501
Adobe Systems Inc                Com      00724F101          185        4,595 Shs  Def  12                     4,595
Adtran Inc                       Com      00738A106           36        1,500 Shs  Def  12                     1,500
Advance Financial Bancorp        Com      007437106            5          300 Shs  Def  12                       300
Advanced Aerodynamics &          Com      00750B107           60      200,000 Shs  Def  12                   200,000
Advanced Auto Parts Inc          Com      00751Y106        3,335       72,506 Shs  Def   6       69,955                      2,551
Advanced Auto Parts Inc          Com      00751Y106          170        3,700 Shs  Def  12                     3,700
Advanced Auto Parts, Inc.        Com      00751Y106           23          500 Shs  Def                           500
Advanced Digital Information     Com      007525108            7          500 Shs  Def  12                       500
Advanced Electronic Support      Com      007534100            1        1,500 Shs  Def  12                     1,500
Advanced Marketing Services      Com      00753T105        1,010       42,100 Shs  Def   3       34,000                      8,100
Advanced Fibre Communica         Com      00754A105            3          170 Shs  Def   6          170
Advanced Fibre Communica         Com      00754A105          340       17,730 Shs  Def  12                    17,730
Advanced Photonix Inc-Cl A       Com      00754E107            4        3,450 Shs  Def  12                     3,450
Advanced Tissue Sciences Inc     Com      00755F103            8        2,500 Shs  Def  12                     2,500
***Advantex Marketing            Com      00756J104            4       25,000 Shs  Def  12                    25,000
Advo Inc                         Com      007585102           32          750 Shs  Def  12                       750
Aeroflex Inc                     Com      007768104            1           40 Shs  Def  12                        40
Advanced Micro Devices Inc.      Com      007903107        1,141       77,600 Shs  Def   2       77,600
Advanced Micro Devices Inc       Com      007903107        1,430       97,200 Shs  Def   3       97,200
Advanced Micro Devices           Com      007903107           66        4,485 Shs  Def   6        4,485
Advanced Micro Devices Inc       Com      007903107          438       29,755 Shs  Def  12                    29,755
Advance Pcs                      Com      00790K109           12          400 Shs  Def  12                       400
Aegon Nv - Ord                   ADR      007924103          164        6,730 Shs  Def   2        6,730
***Aegon Nv-Ord American Reg     Com      007924103        1,212       49,590 Shs  Def  12                    49,590
Advanta Corp                     Com      007942105        3,035      237,860 Shs  Def   6      228,860                      9,000
Advanta Corp-Cl A                Com      007942105           18        1,435 Shs  Def  12                     1,435
Advanced Energy Industries Inc   Com      007973100           18          500 Shs  Def  12                       500
Advent Software                  Com      007974108          296        5,000 Shs  Def   4        5,000
Aes Tr Iii  6.75%                Pfd      00808N202          727       32,300 Shs  Def  12                    32,300
Aether Systems Inc               Com      00808V105          102       23,315 Shs  Def  12                    23,315
Aetna Real Estate Associates     Com      008171100           48        4,191 Shs  Def  12                     4,191
Aetna Inc-New                    Com      00817Y108          422       10,863 Shs  Def   5        6,300                      4,563
Aetna Inc New                    Com      00817Y108           16          421 Shs  Def   6          370                         51
Aetna Inc New                    Com      00817Y108          531       13,668 Shs  Def  12                    13,668
Aetna Inc New                    Pfd      00817Y207           40        1,575 Shs  Def  12                     1,575
Affiliated Computer Services     Com      008190100       19,512      347,620 Shs  Def   3      338,420                      9,200
Affiliated Computer Svc A        Com      008190100            7          129 Shs  Def   6          129
Affiliated Computer Services     Com      008190100           50          890 Shs  Def  12                       890
Affiliated Managers Group        Com      008252108          126        1,750 Shs  Def   7        1,750
Affymetrix Inc.                  Com      00826T108           92        3,160 Shs  Def   2        3,160
Affymetrix Inc                   Com      00826T108          154        5,325 Shs  Def  12                     5,325
Aftermarket Tech Corp Com        Com      008318107        1,653       88,530 Shs  Def   3       88,530
Aftermarket Tech Corp.           Com      008318107           50        2,675 Shs  Def                         2,675
Agere Systems Class A            Com      00845V100       10,804    2,777,430 Shs  Def   6    2,671,730                    105,700
Agere Sys Inc                    Com      00845V100           28        7,275 Shs  Def  12                     7,275
Agilent Technologies Inc         Com      00846U101        2,741       78,404 Shs  Def   2       77,642                        762
Agilent Technologies Inc         Com      00846U101          655       18,740 Shs  Def   5       18,664                         76
Agilent Technologies Inc         Com      00846U101        3,186       91,130 Shs  Def   6       91,130
Agilent Technologies Inc         Com      00846U101            7          190 Shs  Def   7          190
Agilent Technologies Inc         Com      00846U101        3,729      106,674 Shs  Def  12                   106,674
Agilent Technologies Inc.        Com      00846U101            3           57 Shs  Def  15           57
Agile Software Corp Del          Com      00846X105           50        4,150 Shs  Def  12                     4,150
***Agnico Eagle Mines Ltd        Com      008474108          489       36,650 Shs  Def  12                    36,650
Agree Realty Corp                Com      008492100           30        1,675 Shs  Def  12                     1,675
***Agro Pacific Industries Ltd   Com      008921108            3       10,000 Shs  Def  12                    10,000
Air Methods Corp                 Com      009128307          673       93,500 Shs  Def   6       91,700                      1,800
Air Products & Chemicals         Com      009158106           93        1,800 Shs  Def   4        1,800
Air Prods & Chems Inc            Com      009158106        1,884       36,650 Shs  Def   6       29,550                      7,100
Air Products & Chemicals Inc     Com      009158106        1,352       26,183 Shs  Def  12                    26,183
Air T Inc                        Com      009207101            1          200 Shs  Def  12                       200
Airborne Inc Com                 Com      009269101          196       11,400 Shs  Def   9                                  11,400
Airborne Inc                     Com      009269101           19        1,105 Shs  Def  12                     1,105
Airgas Inc  Com                  Com      009363102           54        2,700 Shs  Def   3        2,700
Airgas Inc                       Com      009363102           53        2,630 Shs  Def  12                     2,630
Airgate Pcs Inc                  Com      009367103           12          850 Shs  Def  12                       850
Airnet Sys Inc                   Com      009417106        1,894      181,600 Shs  Def   6      174,300                      7,300
Airnet Communications Corp       Com      00941P106            3        1,500 Shs  Def  12                     1,500
Airtran Hldgs Inc                Com      00949P108        2,398      396,300 Shs  Def   6      377,700                     18,600
Airtran Holdings Inc             Com      00949P108           16        2,675 Shs  Def  12                     2,675
Akamai Technologies Inc          Com      00971T101           23        5,815 Shs  Def  12                     5,815
Aksys Ltd                        Com      010196103            3          300 Shs  Def  12                       300
Electrolux Ab Adr                ADR      010198208          466       13,050 Shs  Def   2       13,050
Akzo Nobel Nv Spons Adr          ADR      010199305          192        4,098 Shs  Def   2        4,098
Alabama National                 Com      010317105          317        8,603 Shs  Def   2        8,603
Alabama Power Capital Trust I    Pfd      010383206           49        2,000 Shs  Def  12                     2,000
Alabama Power Capital Trust Ii   Pfd      010388205           72        2,900 Shs  Def  12                     2,900
Alabama Power Co-4.20% Pfd       Pfd      010392207            2           27 Shs  Def  12                        27
Alabama Power Co 4.52% Pfd       Pfd      010392306            6          100 Shs  Def  12                       100
Alabama Power Company            Pfd      010392587           40        1,600 Shs  Def  12                     1,600
Alabama Power Company            Pfd      010392611           11          500 Shs  Def  12                       500
Alabama Power Co-7% Senior       Pfd      010392629           25        1,000 Shs  Def  12                     1,000
Alabama Power Co-7% Sr Qtrly     Pfd      010392637           15          600 Shs  Def  12                       600
Alabama Power Co-7.125% Sen      Pfd      010392645           15          600 Shs  Def  12                       600
Alaska Communications Sys        Com      01167P101           75       10,000 Shs  Def  12                    10,000
Albany Intl Corp  Cl A           Com      012348108        5,960      196,700 Shs  Def   3      168,000                     28,700
Albany Intl Corp                 Com      012348108        1,586       52,352 Shs  Def   6       52,352
Albany International Corp New    Com      012348108           32        1,050 Shs  Def  12                     1,050
Albany Molecular Research Inc    Com      012423109           13          550 Shs  Def  12                       550
Albemarle Corp                   Com      012653101        1,601       58,100 Shs  Def   3       57,500                        600
Albemarle Corp                   Com      012653101          493       17,900 Shs  Def   6       17,900
Alberta Energy Co Ltd            Com      012873105          711       16,200 Shs  Def   2       16,200
Alberta Energy Co Ltd            Com      012873105        1,454       33,120 Shs  Def   5       26,660                      6,460
Alberta Energy Company Ltd       Com      012873105            2           45 Shs  Def   6           45
Alberta Energy Co Ltd            Com      012873105        5,733      130,598 Shs  Def   7      130,598
Alberto Culver Co  Cl B Conv     Com      013068101       23,311      431,690 Shs  Def   3      400,390                     31,300
Alberto Culver Co-Cl A           Com      013068200          374        7,750 Shs  Def  12                     7,750
Albertson'S, Inc.                Com      013104104           51        1,525 Shs  Def   2        1,525
Albertsons Inc Com               Com      013104104          401       12,100 Shs  Def   5       12,100
Albertsons Inc                   Com      013104104       12,891      388,850 Shs  Def   6      340,950                     47,900
Albertson'S, Inc.                Com      013104104      299,840    9,047,677 Shs  Def   8                 9,047,677
Albertson'S                      Com      013104104            8          250 Shs  Def   9                       250
Albertson'S, Inc.                Com      013104104      612,600   18,485,218 Shs  Def  10   18,485,218
Albertsons Inc                   Com      013104104          207        6,250 Shs  Def  11        6,125
Albertsons Inc                   Com      013104104        5,633      169,971 Shs  Def  12                   169,971
Albertson'S Inc.                 Com      013104104          339        6,800 Shs  Def  15        6,800
Alcan Aluminium Ltd              Com      013716105       27,700      699,241 Shs  Def   6      687,336                     11,905
Alcan Inc                        Com      013716105           77        1,950 Shs  Def  12                     1,950
Alcoa Inc.                       Com      013817101          106        2,815 Shs  Def   2        2,815
Alcoa Inc                        Com      013817101       12,389      328,278 Shs  Def   3      315,378                     12,900
Alcoa                            Com      013817101            5          145 Shs  Def   4          145
Alcoa Inc                        Com      013817101        7,309      193,654 Shs  Def   6      193,654
Alcoa Inc                        Com      013817101        2,586       68,526 Shs  Def  12                    68,526
Alcoa Inc.                       Com      013817101        6,778      112,700 Shs  Def  15      112,700
Alcoa Inc                        PFD      013817200           35          500 Shs  Def   2          500
Alcoa Inc                        Pfd      013817200           14          200 Shs  Def  12                       200
Alcatel Alsthom Sponsored        ADR      013904305          802       56,581 Shs  Def   2       56,581
Alexander & Baldwin Inc          Com      014482103        1,355       49,070 Shs  Def   3       49,070
Alexander & Baldwin I            Com      014482103       11,542      418,800 Shs  Def   6      408,385          320        10,095
Alexander & Baldwin Inc          Com      014482103           30        1,075 Shs  Def  12                     1,075
Alexandria Real Estate           Com      015271109           40          900 Shs  Def  12                       900
Alexion Pharmaceuticals Inc      Com      015351109           16          700 Shs  Def  12                       700
Alfacell Corp                    Com      015404106            5        7,500 Shs  Def  12                     7,500
Alkermes Inc                     Com      01642T108            7          250 Shs  Def   2          250
Alkermes                         Com      01642T108           22          850 Shs  Def   4          850
Alkermes Inc                     Com      01642T108            1           48 Shs  Def  12                        48
All American Term Trust Inc      Cl End Fd016440109          511       42,380 Shs  Def  12                    42,380
All American Semiconduct         Com      016557407          225       57,600 Shs  Def   6       55,200                      2,400
All Amern Semiconductor Inc      Com      016557407            3          700 Shs  Def  12                       700
Allegheny Energy, Inc.           Com      017361106          309        7,475 Shs  Def   2        7,475
Allegheny Energy Inc             Com      017361106       18,242      441,190 Shs  Def   6      398,420                     42,770
Allegheny Energy Inc             Com      017361106        2,244       54,272 Shs  Def  12                    54,272
Allegheny Technologies Inc       Com      01741R102           97        5,854 Shs  Def  12                     5,854
Allegiant Bancorp Inc            Com      017476102        2,055      119,500 Shs  Def   6      115,500                      4,000
Allegiant Capital Tr Ii          Pfd      01747P209          101        3,916 Shs  Def  12                     3,916
Allegiance Telecom Inc           Com      01747T102            8        2,700 Shs  Def  12                     2,700
Allegiance Telecom Inc.          Com      01747T102           45       15,000 Shs  Def                        15,000
Allen Telecom Inc.               Com      018091108            7        1,000 Shs  Def   2        1,000
Allen Telecom Inc                Com      018091108            8        1,260 Shs  Def  12                     1,260
Allergan Inc.                    Com      018490102          207        3,200 Shs  Def   2        3,200
Allergan Inc                     Com      018490102            7          113 Shs  Def   6          113
Allergan Inc.                    Com      018490102        6,324       97,825 Shs  Def   7       97,825
Allergan Inc                     Com      018490102          377        5,827 Shs  Def  12                     5,827
Allete, Inc.                     Com      018522102           23          800 Shs  Def   2          800
Allete Inc                       Com      018522102          252        8,650 Shs  Def  11          550        8,100
Allete Inc                       Com      018522102          245        8,412 Shs  Def  12                     8,412
Alliance Bancorp New Eng         Com      01852Q109           88        6,200 Shs  Def   6        6,200
Allete Capital I                 Pfd      01853P209           88        3,497 Shs  Def  12                     3,497
Alliance Cap. Mgmt Hldg L.P.     LTD Part 01855A101          325        7,200 Shs  Def   9                                   7,200
Alliance Cap Mgmt Hldg L P       Com      01855A101        1,394       30,039 Shs  Def  12                    30,039
Alliance Gaming Corp  Com        Com      01859P609       11,409      373,710 Shs  Def   3      363,810                      9,900
Alliance Gaming Corp-New         Com      01859P609           14          450 Shs  Def  12                       450
Alliance Natl Mun Income         Cl End Fd01864U106          160       12,000 Shs  Def  12                    12,000
Alliance Pharmaceutical Corp     Com      018772309            4        1,400 Shs  Def                         1,400
Alliance Resource Partners L P   Com      01877R108           67        2,780 Shs  Def  12                     2,780
Alliance World Dollar            Cl End Fd018796102          153       13,834 Shs  Def  12                    13,834
Alliance World Dollar            Cl End Fd01879R106          186       18,000 Shs  Def  12                    18,000
Alliant Energy Corp              Com      018802108        1,545       51,120 Shs  Def   3       49,920                      1,200
Alliant Energy Corp              Com      018802108            5          170 Shs  Def   6          170
Alliant Energy Corp              Com      018802108        6,151      203,530 Shs  Def  12                   203,530
Alliant Techsystem               Com      018804104            2           22 Shs  Def   2           22
Alliant Techsystems Inc          Com      018804104          195        1,912 Shs  Def  12                     1,912
Allied Capital Corp New          Com      01903Q108          873       31,751 Shs  Def  12                    31,751
Alliance Financial Corp Ny       Com      019205103           13          550 Shs  Def   2          550
Allied Irish Banks Plc           ADR      019228402          571       23,800 Shs  Def   2       23,800
Allied Irish Bks Plc             Com      019228402        1,037       41,515 Shs  Def   6        2,015                     39,500
Allied Irish Banks Plc           ADR      019228402            5          200 Shs  Def   7          200
Allied Resh Corp                 Com      019483106        1,647       70,700 Shs  Def   6       67,800                      2,900
Allied Research Corp             Com      019483106            5          200 Shs  Def  12                       200
Allied Waste Industries Inc      Com      019589308          182       14,012 Shs  Def  12                    14,012
Allmerica Financial Corp         Com      019754100           19          414 Shs  Def  12                       414
Allou Health & Beauty Ca         Com      019782101          541       90,400 Shs  Def   6       87,000                      3,400
Allou Health & Beauty Care Inc   Com      019782101            6        1,000 Shs  Def  12                     1,000
Alloy Inc                        Com      019855105          109        7,225 Shs  Def  12                     7,225
Allmerica Securities Trust       Cl End Fd019921105           57        6,000 Shs  Def  12                     6,000
The Allstate Corp.               Com      020002101          370        9,804 Shs  Def   2        9,804
Allstate Corp                    Com      020002101        2,614       69,200 Shs  Def   3       65,600                      3,600
Allstate Corp                    Com      020002101          882       23,338 Shs  Def   6       23,338
Allstate Corp                    Com      020002101        5,709      151,157 Shs  Def  12                   151,157
Allstate Corp-7.125% Sr Qtrly    Pfd      020002200            7          300 Shs  Def  12                       300
Alltel Corp.                     Com      020039103          448        8,056 Shs  Def   2        7,256                        800
Alltel Corp  Com                 Com      020039103        2,900       52,200 Shs  Def   3       49,700                      2,500
Alltel                           Com      020039103       12,892      232,074 Shs  Def   4      232,074
Alltel Corp.                     Com      020039103       10,277      185,000 Shs  Def  10      185,000
Alltel Corp                      Com      020039103        1,916       34,499 Shs  Def  12                    34,499
Alltel                           Com      020039103          265        4,800 Shs  Def                         4,800
Almost Family Inc                Com      020409108           23        2,000 Shs  Def  12                     2,000
Alphanet Solutions Inc           Com      020787107            2        1,200 Shs  Def  12                     1,200
Alpharma Inc Cl A                Com      020813101        1,313       91,803 Shs  Def   6       91,803
***Altarex Corp                  Com      020927307            1        1,250 Shs  Def  12                     1,250
***Altair International Inc      Com      02136W102            6        5,800 Shs  Def  12                     5,800
Altera Cp                        Com      021441100            8          377 Shs  Def   6          377
Altera Corp                      Com      021441100          488       22,304 Shs  Def  12                    22,304
Alternative Technology           Com      02145H104            1          500 Shs  Def  12                       500
Amazon.Com, Inc.                 Com      023135106           11          800 Shs  Def   2          800
Amazon.Com, Inc.                 Com      023135106      264,487   18,495,578 Shs  Def   8                18,495,578
Amazon.Com                       Com      023135106          918       64,175 Shs  Def   9                    62,775         1,400
Amazon.Com, Inc.                 Com      023135106      556,934   38,946,452 Shs  Def  10   38,946,452
Amazon.Com Inc                   Com      023135106        8,785      614,309 Shs  Def  12                   614,309
Amazon.Com, Inc.                 Com      023135106       88,660    6,200,000 Shs  Def  14    6,200,000
Amazon.Com Inc.                  Com      023135106           23        1,000 Shs  Def  15        1,000
Ambac Inc                        Com      023139108        7,795      132,718 Shs  Def   6      112,860                     19,858
Ambac Financial Group, Inc.      Com      023139108          151        2,557 Shs  Def   7        2,557
Ambac Financial Group Inc        Com      023139108          266        4,501 Shs  Def  12                     4,501
Ambac Financial Group Inc        Pfd      023139306           43        1,775 Shs  Def  12                     1,775
Ambac Financial Group Inc        Pfd      023139405           57        2,300 Shs  Def  12                     2,300
Ambase Corp                      Com      023164106            4        2,875 Shs  Def  12                     2,875
Ambassadors Group Inc            Com      023177108        1,332       96,700 Shs  Def   6       92,300                      4,400
Ambassadors Intl Inc             Com      023178106          979      114,500 Shs  Def   6      110,100                      4,400
Amcast Industrial Corp           Com      023395106            6        1,000 Shs  Def  12                     1,000
Amcor Limited Adr                ADR      02341R302          432       26,500 Shs  Def   2       26,500
Amerada Hess Corp  Com           Com      023551104          246        3,100 Shs  Def   3        3,100
Amerada Hess Corp Com            Com      023551104          748        9,425 Shs  Def   5        7,325                      2,100
Amerada Hess Corp                Com      023551104        4,598       57,940 Shs  Def   6       57,940
Amerada Hess Corp                Com      023551104           24          300 Shs  Def  12                       300
Amerco                           Com      023586100          303       17,400 Shs  Def   6       17,400
Ameren Corp.                     Com      023608102           13          300 Shs  Def   2          300
Ameren Corp                      Com      023608102           15          360 Shs  Def   6          360
Ameren Corp.                     Com      023608102        1,210       28,700 Shs  Def   9                                  28,700
Ameren Corp                      Com      023608102          915       21,408 Shs  Def  12                    21,408
Ameriana Bancorp                 Com      023613102           10          700 Shs  Def  12                       700
Aol Time Warner Inc              Com      02364J104          160        6,785 Shs  Def                         6,785
America Online Inc Del           Bond     02364JAC8       95,625    1,800,000 Shs  Def  12                 1,800,000
American First Tax Exempt Invs   Com      02364V107          336       44,450 Shs  Def  12                    44,450
America Movil S. A. De C. V.     ADR      02364W105          114        5,724 Shs  Def   2        5,724
America Mobil Sa Adr             ADR      02364W105          351       17,672 Shs  Def   3       17,672
America First Real Estate Invt   Com      02364Y101           27        3,768 Shs  Def  12                     3,768
America West Holding Corp-Cl B   Com      023657208            2          340 Shs  Def  12                       340
America Online Latin Amer Inc    Com      02365B100            2          750 Shs  Def  12                       750
American Annuity Group Capital   Pfd      023833205           43        1,720 Shs  Def  12                     1,720
Amcore Financial Inc             Com      023912108          475       20,200 Shs  Def   3       13,300                      6,900
***America Mineral Fields Inc    Com      023925100            1        1,800 Shs  Def  12                     1,800
America First Apartment          Com      023929102          177       16,000 Shs  Def  12                    16,000
America First Mort Inv Inc       Com      023934102            3          307 Shs  Def   6          307
America First Mortgage           Com      023934102          826       92,305 Shs  Def  12                    92,305
American Axle & Mfg Hldgs        Com      024061103       12,445      429,150 Shs  Def   3      400,950                     28,200
American Axle & Manufacturing    Com      024061103           30        1,025 Shs  Def  12                     1,025
American Axle & Mfg. Hldgs. Inc. Com      024061103           87        3,000 Shs  Def                         3,000
American Biltrite Inc            Com      024591109          189       13,500 Shs  Def   6       11,900                      1,600
American Business Finl S         Com      02476B106          402       36,470 Shs  Def   6       36,140                        330
American Capital Strategies      Com      024937104          536       17,302 Shs  Def  12                    17,302
American Electric Power Co       Com      025537101          676       14,663 Shs  Def   2       14,538                        125
American Elec Pwr Inc  Com       Com      025537101       12,845      278,700 Shs  Def   3      275,800                      2,900
American Electric Pwr Co Inc C   Com      025537101        1,552       33,677 Shs  Def   5       27,160                      6,517
American Electric Pow            Com      025537101       22,029      477,830 Shs  Def   6      466,900                     10,930
American Electric Power Co Inc   Com      025537101        1,723       37,379 Shs  Def  12                    37,379
American Electric Power Co Inc   Com      025537101       15,191      330,000 Shs  Def  13      330,000
American Eagle Outfitters New    Com      02553E106            6          250 Shs  Def   6          250
American Eagle Outfitters Inc    Com      02553E106            2           75 Shs  Def  12                        75
American Express Co.             Com      025816109          582       14,200 Shs  Def   1        6,300                      7,900
American Express Company         Com      025816109        1,235       30,144 Shs  Def   2       30,144
American Express Co  Com         Com      025816109        6,294      153,658 Shs  Def   3      147,458                      6,200
American Express                 Com      025816109        4,135      100,940 Shs  Def   4      100,940
American Express Co              Com      025816109       15,254      372,412 Shs  Def   6      372,412
American Express Company         Com      025816109          328        8,000 Shs  Def   7        8,000
American Express Company         Com      025816109           62        1,520 Shs  Def   8                     1,520
American Express Co.             Com      025816109        2,576       64,107 Shs  Def   9                    25,515        38,592
American Express Company         Com      025816109       10,240      250,000 Shs  Def  10      250,000
American Express Co              Com      025816109          264        6,442 Shs  Def  11        5,676          450           316
American Express Company         Com      025816109       14,267      348,304 Shs  Def  12                   348,304
American Express Co.             Com      025816109        4,882       74,800 Shs  Def  15       74,800
American Express Co Cap Tr 1     Pfd      02583Y205          105        4,200 Shs  Def  12                     4,200
Amercian Finl Group Inc Ohio     Com      025932104          566       19,700 Shs  Def   3       18,100                      1,600
American Finl Group Inc          Com      025932104            4          140 Shs  Def   6          140
American Financial Group Inc     Com      025932104           86        3,003 Shs  Def  12                     3,003
American Financial Holdings      Com      026075101          198        7,450 Shs  Def  12                     7,450
American Financial Cap Tr I      Pfd      026077206           91        3,610 Shs  Def  12                     3,610
American Financial Corp-Ohio     Pfd      026087858            8          350 Shs  Def  12                       350
American Greetings Corp.         Com      026375105            5          300 Shs  Def   2          300
American Greetings Corp          Com      026375105       20,381    1,122,900 Shs  Def   6    1,091,000                     31,900
American Greetings Corp-Cl A     Com      026375105          696       38,330 Shs  Def  12                    38,330
American General Capital I       Pfd      02638N105           30        1,150 Shs  Def  12                     1,150
American General Cap Trust Iii   Pfd      02638W204           80        3,000 Shs  Def  12                     3,000
American Healthways Inc          Com      02649V104          204        7,500 Shs  Def  12                     7,500
American Express Co Com          Com      026609107          205        5,005 Shs  Def   5        3,225                      1,780
American Home Mtg Hldgs          Com      02660M108        2,353      151,800 Shs  Def   6      147,100                      4,700
American International Group     Com      026874107       32,700      453,288 Shs  Def   1      106,060                    347,228
American International           Com      026874107        4,890       67,780 Shs  Def   2       67,262                        518
American Intl Group Inc  Com     Com      026874107       23,095      320,148 Shs  Def   3      307,728                     12,420
Aig                              Com      026874107        8,796      121,923 Shs  Def   4      121,923
American Intl Group Inc Com      Com      026874107        4,339       60,143 Shs  Def   5       57,065                      3,078
American International Gp        Com      026874107        5,861       81,247 Shs  Def   6       81,247
American International Group     Com      026874107        8,675      120,254 Shs  Def   7      120,254
American International Group     Com      026874107        2,945       41,541 Shs  Def   9                                  41,541
American International Group     Com      026874107        2,469       34,226 Shs  Def  11       26,379        6,703           744
American International Group     Com      026874107       19,305      267,610 Shs  Def  12                   267,610
American Int'L Group             Com      026874107          536        4,662 Shs  Def  15        4,662
American Intl Group              Com      026874107          246        3,400 Shs  Def                         3,400
American Italian Pasta Co-A      Com      027070101        7,073      155,788 Shs  Def   7      155,788
American Italian Pasta Co-Cl A   Com      027070101           68        1,500 Shs  Def  12                     1,500
American Management Systems      Com      027352103          479       25,625 Shs  Def  12                    25,625
American Medical Security        Com      02744P101            2          100 Shs  Def  12                       100
American Mtg Accep Co            Com      027568104           49        3,800 Shs  Def  12                     3,800
American National Bankshares     Com      027745108            6          282 Shs  Def  12                       282
American Natl Ins Co             Com      028591105            6           60 Shs  Def   6           60
American Pac Corp                Com      028740108          394       39,800 Shs  Def   6       37,400                      2,400
American Pacific Corp            Com      028740108           22        2,235 Shs  Def  12                     2,235
American Power Conversion        Com      029066107            3          200 Shs  Def   2          200
American Power Conversion Corp   Com      029066107          401       27,120 Shs  Def  12                    27,120
American Real Estate Partners    Com      029169109           22        2,467 Shs  Def  12                     2,467
American Shared Hospital         Com      029595105           27        8,300 Shs  Def   6        8,300
American Stand Cos Inc Com       Com      029712106       35,057      495,500 Shs  Def   3      475,900                     19,600
American Std Cos Inc Del         Com      029712106           11          150 Shs  Def   6          150
American Standard Companies      Com      029712106          241        3,410 Shs  Def  12                     3,410
American States Water Co         Com      029899101          310        8,790 Shs  Def  12                     8,790
American Tower Corp              Com      029912201          161       29,836 Shs  Def  12                    29,836
American Strategic Income        Cl End Fd030098107           54        4,482 Shs  Def  12                     4,482
American Strategic Income        Cl End Fd030099105           18        1,441 Shs  Def  12                     1,441
American Strategic Income        Cl End Fd03009T101           70        5,860 Shs  Def  12                     5,860
American Superconductor Corp     Com      030111108          102       13,450 Shs  Def  12                    13,450
American Technicnal Cera         Com      030137103        1,084      122,500 Shs  Def   6      119,200                      3,300
American Vanguard Corp           Com      030371108          638       28,274 Shs  Def   6       26,500                      1,774
American Water Works Co Inc      Com      030411102          344        7,868 Shs  Def   5                                   7,868
American Water Works Co Inc      Com      030411102          166        3,788 Shs  Def  12                     3,788
American Woodmark Corp Com       Com      030506109        7,187      113,940 Shs  Def   3      106,240                      7,700
Americanwest Bancorporat         Com      03058P109          842       68,717 Shs  Def   6       67,419                      1,298
Americredit Corp                 Com      03060R101       25,549      672,795 Shs  Def   6      628,140                     44,655
Americredit Corp.                Com      03060R101       17,563      462,300 Shs  Def   8                   462,300
Americredit                      Com      03060R101           13          350 Shs  Def   9                       350
Americredit Corp.                Com      03060R101       98,774    2,600,000 Shs  Def  10    2,600,000
Americredit Corp                 Com      03060R101        1,448       38,128 Shs  Def  12                    38,128
Americredit Corp.                Com      03060R101      151,960    4,000,000 Shs  Def  14    4,000,000
Americasbank Corp-Md             Com      03061G104           63       19,584 Shs  Def  12                    19,584
Ameristar Casinos Inc            Com      03070Q101            3          100 Shs  Def  12                       100
Ameron Intl Inc                  Com      030710107        4,327       60,300 Shs  Def   6       59,300                      1,000
Ameron International Corp        Com      030710107           56          775 Shs  Def  12                       775
Ameritrade Holding Corp-Cl A     Com      03072H109           12        1,900 Shs  Def  12                     1,900
Amerus Life Hldgs Inc Com        Com      03072M108          150        3,900 Shs  Def   3        3,900
Amerus Group Co                  Com      03072M108       18,630      484,536 Shs  Def   6      475,674                      8,862
Amerus Group Co                  Com      03072M108            2           51 Shs  Def  12                        51
Amerisourcebergen Corp           Com      03073E105            7          100 Shs  Def   2          100
Amerisourcebergen Corp           Com      03073E105           15          211 Shs  Def   6          211
Amerisourcebergen Corp           Com      03073E105          102        1,498 Shs  Def  12                     1,498
Amerigroup Corporation           Com      03073T102        1,456       51,740 Shs  Def   3       48,240                      3,500
Ameriserv Finl Inc               Com      03074A102          508      102,500 Shs  Def   6       97,600                      4,900
Ameriserv Financial Inc          Com      03074A102           26        5,175 Shs  Def  12                     5,175
Ameriserv Finl Cap Tr I          Pfd      03074B100          459       20,285 Shs  Def  12                    20,285
Ames Department Stores Inc       Com      030789507            1        7,080 Shs  Def  12                     7,080
Amerigas Partners L P            LTD Part 030975106          171        7,938 Shs  Def   9                                   7,938
Amerigas Partners Lp             Com      030975106          170        7,889 Shs  Def  12                     7,889
Ametek Inc New                   Com      031100100          268        7,200 Shs  Def   6        7,200
Ametek Inc New                   Com      031100100           65        1,750 Shs  Def  12                     1,750
Amf Bowling Inc                  Com      03113V109            1        7,944 Shs  Def  12                     7,944
Amgen, Inc.                      Com      031162100        3,799       63,659 Shs  Def   1       23,434                     40,225
Amgen Inc.                       Com      031162100        1,580       26,478 Shs  Def   2       26,478
Amgen Inc  Com  Nasd Indl        Com      031162100        7,609      127,492 Shs  Def   3      122,592                      4,900
Amgen                            Com      031162100           96        1,603 Shs  Def   4        1,603
Amgen Inc                        Com      031162100        1,380       23,129 Shs  Def   5       21,429                      1,700
Amgen Inc                        Com      031162100            3           45 Shs  Def   6           45
Amgen Inc.                       Com      031162100           54          900 Shs  Def   7          900
Amgen Inc.                       Com      031162100          925       15,068 Shs  Def   9                                  15,068
Amgen Inc                        Com      031162100        2,310       38,700 Shs  Def  11       31,363        6,531           406
Amgen Inc                        Com      031162100       22,906      383,814 Shs  Def  12                   383,814
Amgen Inc.                       Com      031162100        6,323       66,900 Shs  Def  15       66,900
Amkor Technology Inc             Com      031652100           16          700 Shs  Def  12                       700
Amnis Systems Inc                Com      03167Y108            2        2,800 Shs  Def  12                     2,800
Ampal American Israel Corp       Com      032015109            4        1,000 Shs  Def  12                     1,000
Ampal Amern Israel Corp.         PFD      032015307           29        2,228 Shs  Def   2        2,228
Ampal American Israel Corp       Pfd      032015307            3          204 Shs  Def  12                       204
Ampco-Pittsburgh Corp            Com      032037103        1,498      128,600 Shs  Def   6      124,200                      4,400
Amphenol Corp New Cl A           Com      032095101       12,217      261,050 Shs  Def   3      249,350                     11,700
Amphenol Corp New-Cl A           Com      032095101        1,039       22,205 Shs  Def  12                    22,205
Amrecorp Realty Fund Ii          Com      032157109            1            6 Shs  Def  12                         6
Amsouth Bancorp                  Com      032165102           11          505 Shs  Def   2          505
Amsouth Bancorporation  Com      Com      032165102        7,708      350,700 Shs  Def   3      350,700
Amsouth Bancorporation           Com      032165102           21          942 Shs  Def   6          942
Amsouth Bancorporation           Com      032165102        1,833       83,400 Shs  Def  12                    83,400
Amtech Sys Inc                   Com      032332504          125       17,900 Shs  Def   6       16,900                      1,000
Amtech Systems Inc               Com      032332504            1          200 Shs  Def  12                       200
Amylin Pharmaceuticals Inc.      Com      032346108           12        1,200 Shs  Def   2        1,200
Amylin Pharmaceuticals Inc       Com      032346108            1           70 Shs  Def  12                        70
Anadarko Petroleum               Com      032511107       21,731      385,033 Shs  Def   1      131,500                    253,533
Anadarko Pete Corp.              Com      032511107        1,826       32,349 Shs  Def   2       32,349
Anadarko Petroleum Corp Com      Com      032511107          405        7,178 Shs  Def   5        7,178
Anadarko Pete Corp Co            Com      032511107       12,443      220,355 Shs  Def   6      191,277                     29,078
Anadarko Pete Corp.              Com      032511107        3,121       55,300 Shs  Def  10       55,300
Anadarko Pete Corp               Com      032511107        1,786       31,652 Shs  Def  11       28,102        3,150
Anadarko Petroleum Corp          Com      032511107          774       13,713 Shs  Def  12                    13,713
Analog Devices Inc.              Com      032654105          207        4,598 Shs  Def   2        4,598
Analog Devices Inc               Com      032654105          299        6,644 Shs  Def   5        5,844                        800
Analog Devices Inc               Com      032654105          988       21,935 Shs  Def  12                    21,935
Analog Devices                   Com      032654105           93        1,300 Shs  Def  15        1,300
Analogic Corp New                Com      032657207           15          360 Shs  Def  12                       360
Andersons Inc                    Com      034164103        1,195      117,000 Shs  Def   6      114,500                      2,500
Andrea Electronics Corp          Com      034393108            1        1,000 Shs  Def  12                     1,000
Andrew Corp  Com  Nasd Indl      Com      034425108        4,570      273,155 Shs  Def   3      244,155                     29,000
Andrew Corp                      Com      034425108           49        2,950 Shs  Def  12                     2,950
Andrx Group                      Com      034553107          180        4,735 Shs  Def  12                     4,735
Angeles Income Properties Ltd    Com      03464D401            1            8 Shs  Def  12                         8
Angelica Corp.                   Com      034663104           27        1,750 Shs  Def   2        1,750
Anglogold Ltd (New)              ADR      035128206           20          800 Shs  Def   2          800
Anglogold Ltd Ads                Com      035128206            4          146 Shs  Def   6          146
Anheuser-Busch Companies         Com      035229103       29,600      567,059 Shs  Def   2      557,459                      9,600
Anheuser Busch Cos Inc  Com      Com      035229103       17,865      342,250 Shs  Def   3      329,350                     12,900
Anheuser Busch Cos Inc Com       Com      035229103        7,082      135,677 Shs  Def   5      111,112                     24,565
User-Busch Companies Inc         Com      035229103            2           43 Shs  Def   6                                      43
Anheuser Busch Companies         Com      035229103        2,061       39,475 Shs  Def  11       35,235        3,550           240
Anheuser Busch Companies Inc     Com      035229103        9,218      176,592 Shs  Def  12                   176,592
Anheuser Busch Co. Inc.          Com      035229103           75          900 Shs  Def  15          900
Anheuser Busch                   Com      035229103          332        6,300 Shs  Def                         6,300
Anixter International Inc.       Com      035290105           41        1,400 Shs  Def   2        1,400
Anixter International Inc        Com      035290105            9          314 Shs  Def  12                       314
Annaly Mortgage Management       Com      035710409        2,812      165,600 Shs  Def   3      154,900                     10,700
Annaly Mortgage Management       Com      035710409        1,695       99,814 Shs  Def  12                    99,814
Anntaylor Stores Corp            Com      036115103           22          500 Shs  Def  12                       500
Ansoft Corp                      Com      036384105            6          300 Shs  Def  12                       300
Anthem, Inc                      Com      03674B104            5           88 Shs  Def   2           88
Anthem, Inc                      Com      03674B104       13,558      235,500 Shs  Def   8                   235,500
Anthem Inc.                      Com      03674B104            9          150 Shs  Def   9                       150
Anthem, Inc                      Com      03674B104       52,941      919,600 Shs  Def  10      919,600
Anthem Inc                       Com      03674B104           12          208 Shs  Def  12                       208
Anteon Intl Corp                 Com      03674E108           34        1,625 Shs  Def  12                     1,625
Anteon International Corp.       Com      03674E108           21        1,000 Shs  Def                         1,000
Answerthink Inc                  Com      036916104            3          400 Shs  Def   6          400
Answerthink Inc                  Com      036916104            3          500 Shs  Def  12                       500
Anthracite Capital Inc           Com      037023108           98        8,500 Shs  Def  12                     8,500
Antigenics Inc Del               Com      037032109           16        1,138 Shs  Def  12                     1,138
Anworth Mortgage Asset Corp      Com      037347101           10        1,000 Shs  Def  12                     1,000
Ao Mosenergo Adr Russia          ADR      037376308           78       19,350 Shs  Def   3       19,350
Aon Corporation                  Com      037389103            5          150 Shs  Def   2          150
Aon Corp                         Com      037389103            9          230 Shs  Def   6          116                        114
Aon Corp                         Com      037389103        4,023      114,956 Shs  Def  11      114,956
Aon Corp                         Com      037389103          279        7,966 Shs  Def  12                     7,966
Apache Corp.                     Com      037411105          494        8,680 Shs  Def   2        8,680
Apache Corp Com                  Com      037411105        1,082       18,845 Shs  Def   6       14,610                      4,235
Apache Corp.                     Com      037411105          386        6,792 Shs  Def   7        6,792
Apache Corp                      Com      037411105        4,019       70,661 Shs  Def  12                    70,661
Apasco S A De C V Adr            Com      037488103          325        9,825 Shs  Def   6          130                      9,695
***Apco Argentina Inc (Caymen    Com      037489101            1           36 Shs  Def  12                        36
Apartment Investment & Mgt       Com      03748R101           60        1,250 Shs  Def   2        1,250
Apartment Investment &           Com      03748R101          115        2,379 Shs  Def  12                     2,379
Apartment Investment & Mgt       Pfd      03748R200          222        9,000 Shs  Def  12                     9,000
Apartment Investment & Mgt       Pfd      03748R309          156        6,400 Shs  Def  12                     6,400
Apartment Investment & Mgt       Pfd      03748R408           73        2,845 Shs  Def  12                     2,845
Apartment Invt & Mgmt Co         Pfd      03748R861           39        1,573 Shs  Def  12                     1,573
Apex Mortgage Capital Inc        Com      037564101        1,457      125,680 Shs  Def   3      114,080                     11,600
Apex Mortgage Capital Inc        Com      037564101           87        7,500 Shs  Def  12                     7,500
Apex Municipal Fund Inc          Cl End Fd037580107           25        3,000 Shs  Def  12                     3,000
Apogee Enterprises Inc  Com      Com      037598109        3,523      288,800 Shs  Def   3      269,600                     19,200
Apollo Group Inc-Cl A            Com      037604105          538       10,040 Shs  Def  12                    10,040
Apollo Group Inc                 Com      037604204          806       19,255 Shs  Def  12                    19,255
Apogent Technologies Inc         Com      03760A101        1,125       45,600 Shs  Def   3       45,600
Apogent Tech Inc                 Com      03760A101            3          113 Shs  Def   6          113
Apogent Technologies Inc.        Com      03760A101           99        4,000 Shs  Def   7        4,000
Apogent Technologies Inc         Com      03760A101          257       10,425 Shs  Def  11       10,425
Apogent Technologies Inc         Com      03760A101        1,647       66,740 Shs  Def  12                    66,740
Appalachian Power Co-7.30%       Pfd      037735784           26        1,100 Shs  Def  12                     1,100
Appalachian Power Co-7.20%       Pfd      037735792           24        1,000 Shs  Def  12                     1,000
Appalachian Power Co-8% Jr       Pfd      037735818           10          400 Shs  Def  12                       400
Appalachian Power Co-8.25% Jr    Pfd      037735826           70        2,800 Shs  Def  12                     2,800
Apple Computer                   Com      037833100          365       15,404 Shs  Def   2       15,404
Apple Computer Inc Com           Com      037833100          615       26,000 Shs  Def   5       22,000                      4,000
Apple Computer Inc               Com      037833100            2          100 Shs  Def   6          100
Apple Computer Inc               Com      037833100        1,233       52,095 Shs  Def  12                    52,095
Apple Computer Inc.              Com      037833100           60        1,600 Shs  Def  15        1,600
Applebees Intl Inc               Com      037899101       11,330      312,110 Shs  Def   3      290,660                     21,450
Applebees International Inc      Com      037899101           11          300 Shs  Def  12                       300
Applied Innovation Inc.          Com      037916103            2          400 Shs  Def   2          400
Apria Healthcare Group           Com      037933108          593       24,200 Shs  Def   3       24,200
Apria Healthcare Group Inc       Com      037933108          344       14,050 Shs  Def  12                    14,050
Applera                          Com      038020103           45        2,017 Shs  Def   2        2,017
Applera Corp                     Com      038020103          158        7,067 Shs  Def  12                     7,067
Applera Corp-Celera              Com      038020202           14          702 Shs  Def   2          702
Applera Corp                     Com      038020202        5,419      263,700 Shs  Def   6      230,200                     33,500
Applera Corp                     Com      038020202          188        9,148 Shs  Def  12                     9,148
Applica Inc                      Com      03815A106           10        1,200 Shs  Def  12                     1,200
Applied Digital Solutions Inc    Com      038188108           12       27,000 Shs  Def  12                    27,000
Applied Industrial               Com      03820C105           17          900 Shs  Def  12                       900
Applied Materials Inc.           Com      038222105        8,605      158,560 Shs  Def   2      158,560
Applied Materials                Com      038222105        5,286       97,400 Shs  Def   3       93,500                      3,900
Applied Materials Inc            Com      038222105        2,246       41,385 Shs  Def   5       31,020                     10,365
Applied Materials Inc            Com      038222105            4           71 Shs  Def   6           71
Applied Materials Inc.           Com      038222105           22          400 Shs  Def   7          400
Applied Materials Inc            Com      038222105          455        8,200 Shs  Def   9                                   8,200
Applied Materials Inc            Com      038222105          812       14,960 Shs  Def  11       11,970          190         2,800
Applied Materials Inc            Com      038222105        8,869      163,422 Shs  Def  12                   163,422
Applied Micro Circuits Corp      Com      03822W109           72        8,965 Shs  Def  12                     8,965
Applied Signal Technology Inc    Com      038237103           15        1,665 Shs  Def  12                     1,665
Aptargroup Inc                   Com      038336103          270        7,700 Shs  Def  12                     7,700
Aquila Inc.                      Com      03840J106          366       14,750 Shs  Def                        14,750
Aquacell Technologies Inc        Com      03840N107          213       70,000 Shs  Def  12                    70,000
***Aquila Inc                    Com      03840P102          121        4,885 Shs  Def  12                     4,885
Aradigm Corp                     Com      038505103           21        4,445 Shs  Def  12                     4,445
Aramark Corp - Cl B              Com      038521100          855       32,400 Shs  Def   3       27,800                      4,600
Aramark Corp                     Com      038521100           11          400 Shs  Def  12                       400
Arbitron Inc                     Com      03875Q108           43        1,282 Shs  Def   6        1,282
Arbitron Inc                     Com      03875Q108          285        8,433 Shs  Def  12                     8,433
Arc Wireless Solutions Inc       Com      03878K108            5       32,000 Shs  Def  12                    32,000
Arcadis N V N Y Regis            Com      03923E107          232       25,599 Shs  Def   6                                  25,599
Arch Chemicals Inc               Com      03937R102        5,036      228,395 Shs  Def   6      228,395
Arch Chemicals Inc               Com      03937R102           20          900 Shs  Def  12                       900
Arch Coal Company                Com      039380100            5          246 Shs  Def   4          246
Arch Coal Inc Com                Com      039380100       14,512      663,555 Shs  Def   6      610,095          410        53,050
Archer-Daniels-Midland Co.       Com      039483102           51        3,644 Shs  Def   2        3,644
Archer Daniels Midland Co  Com   Com      039483102        5,394      387,200 Shs  Def   3      375,700                     11,500
Archer Daniels Midland C         Com      039483102           23        1,679 Shs  Def   6        1,679
Archer-Daniels-Midland Co        Com      039483102          305       21,913 Shs  Def  12                    21,913
Archstone-Smith Tr               Com      039583109        3,187      118,958 Shs  Def  12                   118,958
Archstone-Smith Trust            Pfd      039583307           51        2,000 Shs  Def  12                     2,000
Arctic Cat Inc                   Com      039670104          590       29,300 Shs  Def   6       29,300
Arden Realty Inc                 Com      039793104           82        2,900 Shs  Def  12                     2,900
Area Bancshares Corp New         Com      039872106           69        3,299 Shs  Def   6        3,299
Arena Pharmaceuticals Inc        Com      040047102            1           96 Shs  Def  12                        96
Argonaut Group Inc               Com      040157109           36        1,721 Shs  Def  12                     1,721
Argosy Gaming Corp               Com      040228108        5,084      138,560 Shs  Def   3      115,960                     22,600
Argosy Gaming Corp               Com      040228108           28          750 Shs  Def  12                       750
Ariad Pharmaceuticals Inc-Del    Com      04033A100            5        1,000 Shs  Def  12                     1,000
Ariba Inc                        Com      04033V104            2          400 Shs  Def   2          400
Ariba                            Com      04033V104            1          200 Shs  Def   4          200
Ariba Inc                        Com      04033V104           57       12,480 Shs  Def  12                    12,480
Aristotle Corp New               Com      040448201            1          130 Shs  Def  12                       130
Arkansas Best Corp               Com      040790107        3,757      135,200 Shs  Def   3      129,300                      5,900
Arkansas Best Corp Del           Com      040790107        8,821      317,400 Shs  Def   6      308,700                      8,700
Armstrong Holdings Inc           Com      042384107           53       16,960 Shs  Def  12                    16,960
Armstrong World Industries, Inc  Com      042476101           47       15,173 Shs  Def   1                                  15,173
Armstrong World Industries       Pfd      042476606            3          200 Shs  Def  12                       200
Arqule Inc                       Com      04269E107           83        6,600 Shs  Def  12                     6,600
Arris Group Inc                  Com      04269Q100            3          350 Shs  Def  12                       350
Array Biopharma Inc              Com      04269X105          106        8,200 Shs  Def  12                     8,200
Armor Holdings Inc               Com      042735100          481       17,750 Shs  Def   5       17,750
Arrow Electronics Inc            Com      042735100          441       15,775 Shs  Def   5       13,275                      2,500
Arrow Electrs Inc                Com      042735100            6          210 Shs  Def   6          210
Arrow Electronics Inc            Com      042735100          564       20,175 Shs  Def  12                    20,175
Arrow Finl Corp                  Com      042744102          352       12,230 Shs  Def   6       12,230
Arrow International Inc          Com      042764100          367        7,770 Shs  Def  12                     7,770
Artesyn Technologies Inc         Com      043127109            2          200 Shs  Def  12                       200
Artisoft Inc                     Com      04314L106            4        2,375 Shs  Def  12                     2,375
Arvinmeritor Inc                 Com      043353101        1,845       64,620 Shs  Def   3       63,920                        700
Arvinmeritor, Inc.               Com      043353101       29,218    1,024,830 Shs  Def   6      999,550          250        25,030
Arvinmeritor Inc                 Com      043353101           49        1,719 Shs  Def  12                     1,719
Ascential Software Corp          Com      04362P108            6        1,673 Shs  Def  12                     1,673
***Ashanti Goldfields Co Ltd     Com      043743202            6        1,180 Shs  Def  12                     1,180
Ashland Inc  Com                 Com      044204105        6,235      137,000 Shs  Def   3      133,300                      3,700
Ashland Inc                      Com      044204105           46        1,000 Shs  Def   4        1,000
Ashland Inc                      Com      044204105            7          150 Shs  Def   6          150
Ashland Inc                      Com      044204105           40          871 Shs  Def  12                       871
Asia Pacific Fund Inc            Com      044901106           41        4,085 Shs  Def  12                     4,085
Ashworth, Inc.                   Com      04516H101           20        2,500 Shs  Def   2        2,500
Asia Tigers Fund Inc             Cl End Fd04516T105           25        3,000 Shs  Def  12                     3,000
Asia Satellite Teleco            Com      04516X106        1,242       82,794 Shs  Def   6       82,054                        740
Asiainfo Holdings Inc            Com      04518A104       26,717    2,030,150 Shs  Def   3    1,960,150                     70,000
Asiainfo Holdings Inc            Com      04518A104            1          100 Shs  Def  12                       100
Aspect Communications Corp       Com      04523Q102           12        3,102 Shs  Def  12                     3,102
Aspen Group Resources            Com      045297207            4       11,000 Shs  Def  12                    11,000
Associated Banc Corp             Com      045487105            5          140 Shs  Def   6          140
Associated Banc Corp             Com      045487105          234        6,140 Shs  Def  12                     6,140
Associated Estates Realty Corp   Com      045604105           57        5,535 Shs  Def  12                     5,535
Associated Materials Inc         Com      045709102           67        1,310 Shs  Def   3        1,310
Associated Matls Inc             Com      045709102        3,779       74,100 Shs  Def   6       70,800                      3,300
At Home Corp-Ser A               Com      045919107            2      286,410 Shs  Def  12                   286,410
Astoria Financial Corp.          Com      046265104           29        1,000 Shs  Def   2        1,000
Astoria Finl Corp                Com      046265104       40,756    1,402,960 Shs  Def   3    1,352,760                     50,200
Astoria Finl Corp                Com      046265104            6          190 Shs  Def   6          190
Astoria Financial Corp           Com      046265104           12          420 Shs  Def  12                       420
Astoria Financial Corp.          Com      046265104          231        5,000 Shs  Def  15        5,000
Astrazena Plc -Spons Adr         ADR      046353108           99        1,999 Shs  Def   7        1,999
Astrazeneca Plc Spon Adr         Com      046353108          248        5,000 Shs  Def                         5,000
Astronics Corp                   Com      046433108          494       53,300 Shs  Def   6       51,900                      1,400
Astropower Inc                   Com      04644A101          270        6,460 Shs  Def  12                     6,460
Asyst Technology Corp            Com      04648X107        1,590       87,355 Shs  Def   6       87,355
Asyst Technologies Inc           Com      04648X107            9          500 Shs  Def  12                       500
Atlantic Capital I-8.25%         Pfd      048272207          309       12,315 Shs  Def  12                    12,315
Atlantic Capital Trust Ii        Pfd      04827P206          130        5,300 Shs  Def  12                     5,300
Atlas Air Worldwide Hldg         Com      049164106        4,358      330,900 Shs  Def   6      320,600                     10,300
Atlas Air Worldwide Hldgs Inc    Com      049164106            6          450 Shs  Def  12                       450
Atmel Corporation                Com      049513104           14        1,395 Shs  Def   6        1,395
Atmel Corp                       Com      049513104        1,751      172,728 Shs  Def  12                   172,728
Atmos Energy Corporation         Com      049560105           72        3,064 Shs  Def   2        3,064
Atmos Energy Corp                Com      049560105          467       19,798 Shs  Def  12                    19,798
Atrion Corp                      Com      049904105           31        1,108 Shs  Def  12                     1,108
Audiovox Corp                    Com      050757103        1,646      229,200 Shs  Def   6      220,800                      8,400
Audiovox Corp Cl A               Com      050757103           48        6,750 Shs  Def  12                     6,750
Aurora Foods Inc                 Com      05164B106            3          690 Shs  Def  12                       690
***Australia & N Z Bkg Group     Pfd      052528403            4          150 Shs  Def  12                       150
Authentidate Holding Corp        Com      052666104            5        1,000 Shs  Def  12                     1,000
Autodesk Inc  Com  Nasd Indl     Com      052769106       32,542      696,980 Shs  Def   3      662,286                     34,694
Autodesk Inc Com                 Com      052769106        1,435       30,900 Shs  Def   6       25,000                      5,900
Autodesk Inc                     Com      052769106          380        8,129 Shs  Def  12                     8,129
Autolliv, Inc.                   Com      052800109           15          613 Shs  Def   2          613
Autoliv Inc                      Com      052800109           95        3,900 Shs  Def   3                                   3,900
Autoliv Inc                      Com      052800109           11          436 Shs  Def  12                       436
Automatic Data Processing        Com      053015103       32,223      553,003 Shs  Def   1      111,511                    441,492
Automatic Data Processing        Com      053015103       11,501      197,378 Shs  Def   2      193,178                      4,200
Automatic Data Processing Inc  CoCom      053015103       14,061      241,306 Shs  Def   3      232,106                      9,200
Automatic Data Processing        Com      053015103           62        1,062 Shs  Def   4        1,062
Automatic Data Processing Inc    Com      053015103          601       10,322 Shs  Def   5        9,172                      1,150
Matic Data Processing Inc.       Com      053015103            2           34 Shs  Def   6                                      34
Automatic Data Proc. Inc.        Com      053015103           96        1,675 Shs  Def   9                                   1,675
Automatic Data Processing        Com      053015103        1,433       24,590 Shs  Def  11        3,665        3,053        17,872
Automatic Data Processing Inc    Com      053015103       10,697      183,578 Shs  Def  12                   183,578
Automatic Data Processing        Com      053015103          139        1,500 Shs  Def  15        1,500
Autonation Inc                   Com      05329W102        2,085      149,790 Shs  Def   3      149,790
Autonation Inc                   Com      05329W102        4,576      327,300 Shs  Def   6      327,300
Autonation Inc Del               Com      05329W102        1,048       75,303 Shs  Def  12                    75,303
Autozone Inc                     Com      053332102       32,334      469,630 Shs  Def   3      454,630                     15,000
Autozone Inc                     Com      053332102          210        3,050 Shs  Def  12                     3,050
Avalonbay Communities Inc        Com      053484101        1,080       21,690 Shs  Def   5       21,690
Avalonbay Communities Inc        Com      053484101          341        6,852 Shs  Def  12                     6,852
Avalonbay Communities Inc        Pfd      053484705           40        1,513 Shs  Def  12                     1,513
Avant Corp Com                   Com      053487104       19,452      980,468 Shs  Def   6      961,718        1,080        17,670
Avanir Pharmaceuticals-Cl A      Com      05348P104            3        1,150 Shs  Def  12                     1,150
Avanex Corp                      Com      05348W109           97       24,225 Shs  Def  12                    24,225
Avant Immunotherapeutics Inc     Com      053491106           15        8,900 Shs  Def  12                     8,900
Avatar Holdings Inc              Com      053494100           57        2,125 Shs  Def  12                     2,125
Avaya Inc                        Com      053499109           16        2,124 Shs  Def   2        2,124
Avaya Inc.                       Com      053499109            1           79 Shs  Def   4           79
Avaya Inc                        Com      053499109            4          590 Shs  Def   6          590
Avaya Inc                        Com      053499109            1           83 Shs  Def   7           83
Avaya Inc                        Com      053499109          129       17,423 Shs  Def  12                    17,423
Avaya Inc.                       Com      053499109            1           43 Shs  Def  15           43
Aventis                          ADR      053561106          354        5,150 Shs  Def   2        5,150
Avenue A Inc                     Com      053566105            7        2,000 Shs  Def  12                     2,000
Avery Dennison Corp.             Com      053611109           49          800 Shs  Def   2          800
Avery Dennison Corp              Com      053611109          758       12,423 Shs  Def  12                    12,423
Aviall Inc New                   Com      05366B102        2,133      236,200 Shs  Def   6      229,000                      7,200
Aviall Inc New                   Com      05366B102           11        1,250 Shs  Def  12                     1,250
Avici Systems Inc                Com      05367L109            2        1,240 Shs  Def  12                     1,240
Avid Technology Inc              Com      05367P100          149       10,690 Shs  Def  11                    10,690
Avid Technology Inc              Com      05367P100          159       11,420 Shs  Def  12                    11,420
Avista Corp                      Com      05379B107       15,330      987,150 Shs  Def   6      962,650                     24,500
Avista Corp                      Com      05379B107           51        3,299 Shs  Def  12                     3,299
Avista Cap I 7.875% Trust Orig   Pfd      05379G205           92        3,900 Shs  Def  12                     3,900
Avitar Inc                       Com      053801106           14       20,000 Shs  Def   5       20,000
Avitar Inc New                   Com      053801106            7       10,000 Shs  Def  12                    10,000
Avnet Inc Com                    Com      053807103          313       11,575 Shs  Def   5        7,925                      3,650
Avnet Inc                        Com      053807103            6          240 Shs  Def   6          240
Avnet Inc                        Com      053807103          239        8,848 Shs  Def  12                     8,848
Avoca Inc                        Com      053843108            9          500 Shs  Def  12                       500
Avocent Corporation              Com      053893103        2,008       74,945 Shs  Def   3       66,445                      8,500
Avocent Corp                     Com      053893103          389       14,531 Shs  Def  12                    14,531
Avon Products, Inc.              Com      054303102           65        1,200 Shs  Def   2        1,200
Avon Products                    Com      054303102           65        1,200 Shs  Def   9                                   1,200
Avon Products, Inc.              Com      054303102        2,531       46,600 Shs  Def  10       46,600
Avon Products Inc                Com      054303102          475        8,747 Shs  Def  11        7,512          910           325
Avon Products Inc                Com      054303102        2,422       44,584 Shs  Def  12                    44,584
Axa-Uap - Sponsored Adr          ADR      054536107          617       27,500 Shs  Def   2       27,500
Axa-Uap Sponsored Adr            Com      054536107        7,373      331,832 Shs  Def   6      292,002                     39,830
Aware Inc-Mass                   Com      05453N100            1          200 Shs  Def  12                       200
Axcelis Technologies Inc         Com      054540109           46        3,239 Shs  Def   2        3,239
Axcelis Technologies Inc         Com      054540109           28        1,931 Shs  Def  12                     1,931
Aztar Corp Com                   Com      054802103       13,128      599,460 Shs  Def   3      585,760                     13,700
Aztar Corp                       Com      054802103       12,373      569,646 Shs  Def   6      559,256          745         9,645
***Axcan Pharma Inc              Com      054923107           10          775 Shs  Def  12                       775
Bb&T Corp.                       Com      054937107        2,371       62,205 Shs  Def   2       62,205
Bb&T Corp Com                    Com      054937107        5,011      131,500 Shs  Def   3      123,500                      8,000
Bb&T Corp.                       Com      054937107        2,767       72,600 Shs  Def   7       72,600
Bb&T Corp                        Com      054937107          255        6,700 Shs  Def  11        3,700                      3,000
Bb&T Corp                        Com      054937107       12,218      320,604 Shs  Def  12                   320,604
Bcsb Bankcorp Inc                Com      054948104            5          500 Shs  Def  12                       500
Bac Capital Trust I              Pfd      055187207          589       23,950 Shs  Def  12                    23,950
Bac Capital Trust Ii             Pfd      055188205          216        8,800 Shs  Def  12                     8,800
Baa Plc Sponsored Adr            Com      05518L206          408       44,552 Shs  Def   6          945                     43,607
Bae Systems Plc                  ADR      05523R107            6          316 Shs  Def   2          316
Bbc Capital Trust I              Pfd      05527J200          433       17,330 Shs  Def  12                    17,330
Bbc Cap Tr Ii                    Pfd      05527K207          525       21,150 Shs  Def  12                    21,150
Banco Bilbao Vizcaya             Pfd      05529T206           10          400 Shs  Def  12                       400
Bce Inc.                         Com      05534B109          405       22,975 Shs  Def   2       22,975
Bce Inc  Com                     Com      05534B109          462       26,200 Shs  Def   3       24,800                      1,400
Bce Inc                          Com      05534B109          605       34,001 Shs  Def   6       26,501                      7,500
***Bce Inc                       Com      05534B109           55        3,141 Shs  Def  12                     3,141
Bei Medical Systems Co Inc       Com      05538E109            9        1,500 Shs  Def  12                     1,500
Bei Technologies Inc             Com      05538P104          270       14,300 Shs  Def   3        7,200                      7,100
Bf Goodrich Capital-8.30% Cum    Pfd      05538W208           83        3,300 Shs  Def  12                     3,300
Bge Capital Trust 1              Pfd      055415202        1,146       47,075 Shs  Def  12                    47,075
Bgi Inc                          Com      055431100            6       25,000 Shs  Def  12                    25,000
Bg Plc Adr Fnl Instll            Com      055434203          358       15,732 Shs  Def   6        1,285                     14,447
The Bisys Group, Inc.            Com      055472104        9,379      266,072 Shs  Def   7      266,072
Bisys Group Inc                  Com      055472104           49        1,400 Shs  Def  12                     1,400
Bj Svcs Co Com                   Com      055482103          472       13,700 Shs  Def   3        5,300                      8,400
Bj Services Co                   Com      055482103          214        6,214 Shs  Def  12                     6,214
Bjs Wholesale Club Inc Com       Com      05548J106        5,442      121,747 Shs  Def   5      101,972                     19,775
Bjs Wholesale Club Inc           Com      05548J106        2,225       49,780 Shs  Def   6       49,780
Bj'S Wholesale Club Inc.         Com      05548J106        4,734      105,900 Shs  Def   7      105,900
Bjs Wholesale Club Inc           Com      05548J106        4,113       92,004 Shs  Def  12                    92,004
Bmc Inds Inc Minn                Com      055607105          464      281,100 Shs  Def   6      265,100                     16,000
Boc Group Plc Adr                Com      055617609        6,359      209,728 Shs  Def   6      181,033                     28,695
Bp Plc                           Com      055622104       20,867      392,969 Shs  Def   1      106,598                    286,371
Bp P.L.C Sponsored Adr           ADR      055622104       19,842      373,678 Shs  Def   2      371,678                      2,000
Bp Amoco Plc                     Com      055622104       23,308      438,945 Shs  Def   5      412,251                     26,694
Bp Amoco Ads                     Com      055622104       16,033      299,983 Shs  Def   6      256,146                     43,837
Bp P.L.C Sponsored Adr           ADR      055622104        1,750       32,952 Shs  Def   7       32,952
Bp Amoco                         Com      055622104           17          328 Shs  Def   9                                     328
Bp Plc Adr                       Com      055622104          951       17,909 Shs  Def  11       14,881        3,028
Bp Plc                           SPON ADR 055622104          192        2,640 Shs  Def  15        2,640
Bp Prudhoe Bay Royalty Trust     Com      055630107           59        4,325 Shs  Def  12                     4,325
Bny Capital Iii-7.05% Trust      Pfd      05563W206          114        4,700 Shs  Def  12                     4,700
Bre Properties Inc. Cl A         Com      05564E106           26          800 Shs  Def   7          800
Bre Properties Inc. Cl A         Com      05564E106        1,843       56,700 Shs  Def   9                                  56,700
Bre Properties Inc               Com      05564E106          458       14,079 Shs  Def  12                    14,079
Bre Properties Perp Pfd          Pfd      05564E205           15          600 Shs  Def  12                       600
Bnp Residential Pptys Inc        Com      05564T103           26        2,245 Shs  Def  12                     2,245
Bsb Bancorp                      Com      055652101           57        1,900 Shs  Def   4        1,900
Bsb Bancorp Inc                  Com      055652101           15          505 Shs  Def  12                       505
Bt Group Plc                     ADR      05577E101          253        6,300 Shs  Def   2        6,300
Bmc Software, Inc.               Com      055921100            6          300 Shs  Def   2          300
Bmc Software, Inc.               Com      055921100            4          226 Shs  Def   7          226
Bmc Software Inc                 Com      055921100          323       16,614 Shs  Def  12                    16,614
B2B Internet Holders Trust       Com      056033103            6        1,400 Shs  Def  12                     1,400
Back Yard Burgers Inc            Com      05635W101           28        4,200 Shs  Def  12                     4,200
Bairnco Corp                     Com      057097107          727      129,200 Shs  Def   6      124,400                      4,800
***Bakbone Software Inc          Com      057101107            1        1,000 Shs  Def  12                     1,000
Baker Michael Corp               Com      057149106           14        1,000 Shs  Def  12                     1,000
Baker Hughes Inc                 Com      057224107          355        9,273 Shs  Def  12                     9,273
Baldor Electric Co               Com      057741100           85        3,750 Shs  Def  12                     3,750
Ball Corp                        Com      058498106       43,775      927,972 Shs  Def   6      915,835          970        11,167
Ball Corp                        Com      058498106          155        3,278 Shs  Def  12                     3,278
***Ballard Power Systems Inc     Com      05858H104          275        8,950 Shs  Def  12                     8,950
Bally Total Fitness Hldg         Com      05873K108       12,101      551,300 Shs  Def   6      537,200                     14,100
Ballys Total Fitness Holding     Com      05873K108            4          175 Shs  Def  12                       175
Baltek Corp                      Com      058822107          106       13,400 Shs  Def   6       13,200                        200
Bancinsurance Corp               Com      05945K102           42        8,830 Shs  Def   6        8,830
Banco Bilbao Vizcaya             Com      05946K101          563       46,945 Shs  Def   6        1,005                     45,940
Banco Comercial Portugues        ADR      059479303           25        1,406 Shs  Def   2        1,406
Bancorp Conn Inc                 Com      059684100          108        4,800 Shs  Def   6        4,800
Bancorp Connecticut Inc          Com      059684100          119        5,300 Shs  Def  12                     5,300
Bancorpsouth Ind Com Nasd Bk Ins Com      059692103          624       31,650 Shs  Def   3       30,850                        800
Bancorpsouth Inc                 Com      059692103          286       14,500 Shs  Def  12                    14,500
Bandag Inc                       Com      059815100        1,797       47,700 Shs  Def   6       47,700
Bandag Inc                       Com      059815100            7          175 Shs  Def  12                       175
Bandag Inc                       Com      059815308        1,899       57,300 Shs  Def   6       57,300
Bankamerica Corp.                Com      060505104          411        6,039 Shs  Def   1          313                      5,726
Bank Of America                  Com      060505104          818       12,029 Shs  Def   2       12,029
Bank Of America Corp             Com      060505104       43,035      632,684 Shs  Def   3      608,532                     24,152
Bank Of America                  Com      060505104           30          435 Shs  Def   4          435
Bank Of America Corporation      Com      060505104        2,923       42,972 Shs  Def   5       29,586                     13,386
Bank Of America Corp             Com      060505104       55,681      818,593 Shs  Def   6      797,493                     21,100
Bank Of America Corporation      Com      060505104          202        2,975 Shs  Def   7        2,975
Bank Of America Corp.            Com      060505104          210        3,078 Shs  Def   9                                   3,078
Bank Of America Corporation      Com      060505104       13,475      198,100 Shs  Def  10      198,100
Bank Of America Corp             Com      060505104          485        7,135 Shs  Def  11        4,034        2,746           355
Bank Of Amer Corp                Com      060505104       22,382      329,056 Shs  Def  12                   329,056
Bank Of America Corp.            Com      060505104          599        5,525 Shs  Def  15        5,525
Bank Of Granite Corp             Com      062401104           44        1,907 Shs  Def  12                     1,907
Bank Of Kentucky Financial       Com      062896105           11          564 Shs  Def   2          564
Bank Of Kentucky Financial       Com      062896105           32        1,573 Shs  Def  12                     1,573
Bank Of The Ozarks Inc           Com      063904106        1,580       53,300 Shs  Def   6       51,700                      1,600
Bank Of New York, Inc.           Com      064057102        2,103       50,040 Shs  Def   1        4,740                     45,300
Bank Of New York Co. Inc.        Com      064057102          261        6,214 Shs  Def   2        5,438                        776
Bank New York Inc  Com           Com      064057102        3,715       88,400 Shs  Def   3       84,900                      3,500
Bank Of New York                 Com      064057102          395        9,400 Shs  Def   4        9,400
Bank New York Inc Com            Com      064057102          620       14,756 Shs  Def   5        6,106                      8,650
New York Inc                     Com      064057102            3           67 Shs  Def   6                                      67
Bank Of New York Co. Inc.        Com      064057102          185        4,400 Shs  Def   7        4,400
Bank Of New York                 Com      064057102          793       19,200 Shs  Def   9                                  19,200
Bank Of New York Co Inc          Com      064057102        1,867       44,443 Shs  Def  12                    44,443
Bank Of New York Co. Inc.        Com      064057102           87        1,300 Shs  Def  15        1,300
Bank Of New York                 Com      064057102          164        3,800 Shs  Def                         3,800
Banque De Nouvelle-Ecosse        Com      064149107            7          200 Shs  Def  12                       200
Bank Of The Northwest            Com      064206105          389       22,000 Shs  Def   7       22,000
Bank One Capital I               Pfd      06421B202           91        3,539 Shs  Def  12                     3,539
Bank One Cap Ii                  Pfd      06422D108          105        3,900 Shs  Def  12                     3,900
Bank One Corporation             Com      06423A103          348        8,333 Shs  Def   2        8,333
Bank One Corp                    Com      06423A103       19,149      458,328 Shs  Def   3      441,770                     16,558
Banc One                         Com      06423A103           21          500 Shs  Def   4          500
Bank One Corporation             Com      06423A103        1,074       25,700 Shs  Def   5       17,525                      8,175
Bank One Corp                    Com      06423A103          295        7,055 Shs  Def   6        7,055
Bank One Corporation             Com      06423A103      282,548    6,762,760 Shs  Def   8                 6,762,760
Bank One Corp.                   Com      06423A103            3           76 Shs  Def   9                                      76
Bank One Corporation             Com      06423A103      560,920   13,425,567 Shs  Def  10   13,425,567
Bank One Corp                    Com      06423A103          497       11,896 Shs  Def  11       11,204          692
Bank One Corp                    Com      06423A103       11,327      271,100 Shs  Def  12                   271,100
Bank One Corporation             Com      06423A103          728       11,300 Shs  Def  15       11,300
Bank One Capital V               Pfd      06423P209           50        1,954 Shs  Def  12                     1,954
Bank Of Carolinas Mocksville     Com      06423T102            1          120 Shs  Def  12                       120
Bank One Capital Trust Vi        Pfd      06423W204          382       15,480 Shs  Def  12                    15,480
Bankatlantic Bancorp Cl A        Com      065908501           33        2,500 Shs  Def   3                                   2,500
Bankatlantic Bancorp Inc-Cl A    Com      065908501            7          500 Shs  Def  12                       500
Bankamerica Capital Iv-7% Cum    Pfd      066044207           13          535 Shs  Def  12                       535
Banknorth Group Inc New          Com      06646R107            8          290 Shs  Def   6          290
Banknorth Group, Inc.            Com      06646R107        4,510      171,175 Shs  Def   7      171,175
Banknorth Group, Inc.            Com      06646R107        1,339       50,800 Shs  Def   8                    50,800
Banknorth Group, Inc.            Com      06646R107       42,160    1,600,000 Shs  Def  10    1,600,000
Banknorth Group Inc              Com      06646R107          375       14,218 Shs  Def  12                    14,218
Banknorth Capital Trust 8%       Pfd      06646Y201           40        1,600 Shs  Def  12                     1,600
Bankunited Capital Ii-9.60%      Pfd      06651W207           13          500 Shs  Def  12                       500
Bankunited Financial Corp        Com      06652B103        4,520      301,740 Shs  Def   3      286,840                     14,900
Banner Corp                      Com      06652V109        3,554      161,980 Shs  Def   6      157,870                      4,110
Banta Corp  Com  Nasd Indl       Com      066821109        2,222       62,225 Shs  Def   3       55,925                      6,300
Bankunited Capital Iii           Pfd      066918202          117        4,635 Shs  Def  12                     4,635
C R Bard Inc                     Com      067383109          461        7,805 Shs  Def  12                     7,805
***Barclays Bank Plc-Cv Cap Nt   Pfd      06738C836          318       12,650 Shs  Def  12                    12,650
Barnes & Noble Inc.              Com      067774109           15          500 Shs  Def   2          500
Barnes & Noble Inc               Com      067774109            4          140 Shs  Def   6          140
Barnes & Noble Inc               Com      067774109           95        3,080 Shs  Def  12                     3,080
Barnes Group Inc                 Com      067806109        1,485       60,600 Shs  Def   6       60,400                        200
Barnesandnoble.Com Inc           Com      067846105            2          950 Shs  Def  12                       950
***Barrick Gold Corp             Com      067901108          168        9,060 Shs  Def  12                     9,060
Barrick Gold Corp                Com      067901108           74        4,000 Shs  Def                         4,000
Barr Laboratories Inc            Com      068306109          246        3,744 Shs  Def  12                     3,744
Barra Inc                        Com      068313105           15          250 Shs  Def  12                       250
R G Barry Corp-Ohio              Com      068798107           15        2,468 Shs  Def  12                     2,468
Base Ten Sys Inc                 Com      069779304            1       12,708 Shs  Def  12                    12,708
Bassett Furniture Inds I         Com      070203104          324       15,800 Shs  Def   6       15,800
Baton Rouge Water Works Co       Com      071302103          127        3,804 Shs  Def  12                     3,804
Bausch & Lomb Inc  Com           Com      071707103          111        2,500 Shs  Def   3        2,500
Bausch & Lomb Inc                Com      071707103            5          110 Shs  Def   6          110
Bausch & Lomb Inc.               Com      071707103        1,408       33,794 Shs  Def   9                                  33,794
Bausch & Lomb Inc                Com      071707103          633       14,212 Shs  Def  12                    14,212
Baxter Intl Inc                  Com      071813109        1,288       21,642 Shs  Def   2       19,424                      2,218
Baxter Intl Inc  Com             Com      071813109        6,459      108,512 Shs  Def   3      105,412                      3,100
Baxter International             Com      071813109           29          491 Shs  Def   4          491
Baxter Intl Inc                  Com      071813109            8          128 Shs  Def   6          128
Baxter Intl Inc                  Com      071813109        6,619      111,200 Shs  Def   7      111,200
Baxter International Inc         Com      071813109          201        3,379 Shs  Def  11        2,185        1,072           122
Baxter International Inc         Com      071813109        4,278       71,867 Shs  Def  12                    71,867
Baxter Intl Inc.                 Com      071813109          161        1,700 Shs  Def  15        1,700
Bay National Corp                Com      072500101           71       10,000 Shs  Def  11       10,000
Bay National Corp                Com      072500101            7        1,000 Shs  Def  12                     1,000
Bay View Capital Corp-Del        Com      07262L101           25        3,600 Shs  Def  12                     3,600
Bay View Cap I Gtd Tr Pfd Secs   Pfd      07262R207           65        2,510 Shs  Def  12                     2,510
Baycorp Hldgs Corp               Com      072728108        1,054      107,500 Shs  Def   6      103,400                      4,100
Bayer Ag Spons Adr               ADR      072730302          282        8,370 Shs  Def   2        8,370
Be Aerospace Inc                 Com      073302101        4,561      459,300 Shs  Def   6      447,100                     12,200
Be Aerospace Inc                 Com      073302101           28        2,775 Shs  Def  12                     2,775
Be Free Inc                      Com      073308108            2        1,500 Shs  Def  12                     1,500
Be Semiconductor Inds            Com      073320103        4,014      513,474 Shs  Def   6      451,519                     61,955
Bea Systems Inc.                 Com      073325102            8          600 Shs  Def   2          600
Bea Systems                      Com      073325102           48        3,500 Shs  Def   4        3,500
Bea Systems Inc                  Com      073325102          349       25,428 Shs  Def  12                    25,428
Bear Stearns Captl Trust Ii      Pfd      07383J209          224        9,099 Shs  Def  12                     9,099
Bear Stearns Captial Tr Iii      Pfd      07384T206           35        1,400 Shs  Def  12                     1,400
The Bear Stearns Companies       Com      073902108          375        5,975 Shs  Def   2        5,975
Bear Stearns Cos Inc  Com        Com      073902108          333        5,300 Shs  Def   3        1,800                      3,500
Bear Stearns Cos Inc             Com      073902108          641       10,211 Shs  Def   5          347                      9,864
Bear Stearns Cos Inc             Com      073902108       23,102      368,155 Shs  Def   6      364,460                      3,695
The Bear Stearns Companies       Com      073902108       78,160    1,245,578 Shs  Def   8                 1,245,578
The Bear Stearns Companies       Com      073902108      154,998    2,470,092 Shs  Def  10    2,470,092
Bear Stearns Companies Inc       Com      073902108          884       14,082 Shs  Def  12                    14,082
Bear Stearns Inc.                Com      073902108           10          100 Shs  Def  15          100
Bear Stearns Companies Inc       Pfd      073902207           21          500 Shs  Def  12                       500
Bear Stearns Companies Inc       Pfd      073902702           19          450 Shs  Def  12                       450
Beazer Homes Usa Inc             Com      07556Q105           70          900 Shs  Def   3          600                        300
Beazer Homes Usa Inc             Com      07556Q105        9,230      119,021 Shs  Def   6      115,221                      3,800
Beckman Coulter Inc              Com      075811109        5,347      104,700 Shs  Def   3      104,700
Beckman Coulter Inc              Com      075811109            4           78 Shs  Def   6           78
Beckman Coulter Inc              Com      075811109        1,019       19,949 Shs  Def  12                    19,949
Becton Dickinson & Co            Com      075887109           19          500 Shs  Def   2          500
Becton Dickinson & Co  Com       Com      075887109        1,694       44,900 Shs  Def   3       44,900
Becton Dickinson & Co            Com      075887109          730       19,350 Shs  Def   5       18,350                      1,000
Becton Dickinson & Co            Com      075887109           19          500 Shs  Def   6          500
Becton Dickinson & Co            Com      075887109        3,086       81,818 Shs  Def  12                    81,818
Bed, Bath, & Beyond              Com      075896100            8          244 Shs  Def   4          244
Bed Bath & Beyond Inc            Com      075896100          861       25,500 Shs  Def  12                    25,500
Bedford Bancshares Inc           Com      076014109           16        1,127 Shs  Def  12                     1,127
Bedford Ppty Invs Inc            Com      076446301        8,484      331,400 Shs  Def   3      315,400                     16,000
Bedford Property Investors       Com      076446301        1,981       77,200 Shs  Def   9                                  77,200
Bel Fuse Inc                     Com      077347300        1,088       44,500 Shs  Def   6       44,400                        100
Bel Fuse Inc-Cl B                Com      077347300           43        1,745 Shs  Def  12                     1,745
Belden Inc                       Com      077459105        7,740      324,800 Shs  Def   6      313,700                     11,100
Belden Inc                       Com      077459105           64        2,700 Shs  Def  12                     2,700
Bellsouth Cap Funding            Pfd      079857207          135        5,300 Shs  Def  12                     5,300
Bellsouth Corp.                  Com      079860102        1,049       28,462 Shs  Def   1          600                     27,862
Bellsouth Corp.                  Com      079860102        1,212       32,878 Shs  Def   2       32,878
Bellsouth Corp  Com              Com      079860102       21,568      585,128 Shs  Def   3      559,728                     25,400
Bellsouth Corp Com               Com      079860102          580       15,728 Shs  Def   5        8,100                      7,628
Bellsouth Corp                   Com      079860102           94        2,556 Shs  Def   6        2,471                         85
Bellsouth Corp.                  Com      079860102           20          540 Shs  Def   7          540
Bellsouth Corp.                  Com      079860102          301        8,378 Shs  Def   9                                   8,378
Bellsouth Corp                   Com      079860102          740       20,083 Shs  Def  11       17,233        2,440           410
Bellsouth Corp                   Com      079860102       12,738      345,571 Shs  Def  12                   345,571
Bellsouth Corp.                  Com      079860102          305        5,200 Shs  Def  15        5,200
Bell South                       Com      079860102          565       15,300 Shs  Def                        15,300
Belmont Bancorp                  Com      080162100           17        4,353 Shs  Def  12                     4,353
Belo A H Com Ser A               Com      080555105        3,335      143,460 Shs  Def   2      143,460
Belo Corp                        Com      080555105            5          230 Shs  Def   6          230
Belo Corp                        Com      080555105          284       12,200 Shs  Def  12                    12,200
***Bema Gold Corp                Com      08135F107            1        1,800 Shs  Def  12                     1,800
Bemis Company Inc                Com      081437105        1,228       22,589 Shs  Def   5        7,589                     15,000
Bemis Co Inc                     Com      081437105          616       11,330 Shs  Def  12                    11,330
Benchmark Electronics Inc        Com      08160H101          719       25,680 Shs  Def   3       24,780                        900
***Bennett Environmental Inc     Com      081906109          129        8,000 Shs  Def  12                     8,000
Benihana Inc                     Com      082047200          208       10,200 Shs  Def   6        9,200                      1,000
Benj Franklin Federal Savings    Com      082072109            6          500 Shs  Def  12                       500
Benton Oil & Gas Co              Com      083288100            2          500 Shs  Def  12                       500
Bergen Capital Trust I           Pfd      083748202            9          400 Shs  Def  12                       400
W R Berkley Corp                 Com      084423102           23          400 Shs  Def  12                       400
Berkshire Hathaway Inc.          Com      084670108       28,724          404 Shs  Def   2          404
Berkshire Hathaway Class A       CL A     084670108          569            8 Shs  Def   4            8
Berkshire Hathaway Inc Del       Com      084670108          924           13 Shs  Def   5           13
Berkshire Hathaway Inc.          Com      084670108           71            1 Shs  Def   7            1
Berkshire Hathaway Inc Del       Com      084670108          711           10 Shs  Def  11           10
Berkshire Hathaway Inc-Del       Com      084670108        2,915           41 Shs  Def  12                        41
Berkshire Hathaway A Shares      CL A     084670108          214            3 Shs  Def                             3
Berkshire Hathaway, Inc. Cl B    CL B     084670207          524          221 Shs  Def   1           21                        200
Berkshire Hathaway Inc.          Com      084670207        1,087          459 Shs  Def   2          459
Berkshire Hathaway Cl B          CL B     084670207        2,236          944 Shs  Def   4          944
Berkshire Hathaway Inc Del       Com      084670207        3,236        1,366 Shs  Def   5        1,274                         92
Berkshire Hathaway B(Hldg Co)    Com      084670207       11,610        4,901 Shs  Def   6        4,901
Berkshire Hathaway, Inc. Cl B    Com      084670207          152           64 Shs  Def   7           64
Berkshire Hathaway B             Com      084670207           47           20 Shs  Def   9                                      20
Berkshire Hathaway Inc Del       Com      084670207          204           86 Shs  Def  11           76                         10
Berkshire Hathaway Inc           Com      084670207       12,921        5,454 Shs  Def  12                     5,454
Berkshire Hills Bancorp Inc      Com      084680107          186        8,400 Shs  Def   3        6,600                      1,800
Berry Pete Co                    Com      085789105        6,409      414,800 Shs  Def   6      402,200                     12,600
Best Buy Inc  Com                Com      086516101        8,221      103,800 Shs  Def   3      103,800
Best Buy Inc.                    Com      086516101           40          500 Shs  Def   7          500
Best Buy Company Inc             Com      086516101          740        9,348 Shs  Def  12                     9,348
Bethlehem Steel Corp             Com      087509105           19       41,676 Shs  Def  12                    41,676
Beverly Enterprises Inc. New     Com      087851309          554       77,000 Shs  Def   9                                  77,000
Beverly Enterprises Inc New      Com      087851309           50        6,880 Shs  Def  12                     6,880
Bhp Ltd Sponsored Adr            Com      088606108       16,322    1,326,247 Shs  Def   6    1,199,952                    126,295
Bico Inc                         Com      088766100            3      141,000 Shs  Def  12                   141,000
Big Daddy'S Bbq Racing Co.       Com      089117105            2      215,000 Shs  Def  12                   215,000
Big Lots, Inc.                   Com      089302103            1          100 Shs  Def   2          100
Big Lots, Inc.                   Com      089302103        1,816      129,250 Shs  Def   8                   129,250
Big Lots, Inc.                   Com      089302103       56,200    4,000,000 Shs  Def  10    4,000,000
Big Lots Inc                     Com      089302103            8          556 Shs  Def  12                       556
Bindview Development Corp        Com      090327107            6        3,000 Shs  Def  12                     3,000
Bio Rad Labs Inc  Cl A           Com      090572207        1,184       31,540 Shs  Def   3       30,340                      1,200
Bio Rad Labs Inc                 Com      090572207        1,691       45,040 Shs  Def   6       45,040
Bio Technology Gener             Com      090578105          230       46,800 Shs  Def   3       46,800
Bio Technology General Corp      Com      090578105           18        3,700 Shs  Def  12                     3,700
Biofield Corp                    Com      090591108            2        5,400 Shs  Def  12                     5,400
Biogen, Inc.                     Com      090597105          395        8,061 Shs  Def   1          226                      7,835
Biogen Inc.                      Com      090597105           10          200 Shs  Def   2          200
Biogen N.V.                      Com      090597105        9,125      186,000 Shs  Def   3      177,900                      8,100
Biogen Inc.                      Com      090597105        1,353       28,200 Shs  Def   9                                  28,200
Biogen Inc                       Com      090597105        2,207       44,986 Shs  Def  12                    44,986
Bioject Medical Technologies     Com      09059T206           14        3,700 Shs  Def  12                     3,700
Biomet Inc.                      Com      090613100        3,515      129,901 Shs  Def   2      127,401                      2,500
Biomet Inc                       Com      090613100        2,853      105,419 Shs  Def   5       88,028                     17,391
Biomet Inc                       Com      090613100          364       13,460 Shs  Def  12                    13,460
Biopure Corp                     Com      09065H105           12        1,134 Shs  Def  12                     1,134
Biosource International Inc      Com      09066H104           39        6,500 Shs  Def  12                     6,500
Biotime Inc                      Com      09066L105            6        2,100 Shs  Def  12                     2,100
Biosphere Medical Inc            Com      09066V103            2          300 Shs  Def  12                       300
Biotech Holdrs Tr                Com      09067D201          419        3,500 Shs  Def   2        3,500
Biotech Holdrs Tr                Com      09067D201          136        1,138 Shs  Def  12                     1,138
Biovail Corp                     Com      09067J109            8          165 Shs  Def   6          165
Biovail Corporation              Com      09067J109        5,838      116,800 Shs  Def   7      116,800
Biovail Corp                     Com      09067J109          579       11,593 Shs  Def  12                    11,593
Wts Biovail Corp                 Wts      09067J117           49          300 Shs  Def  12                       300
Bioreliance Corp                 Com      090951104            6          240 Shs  Def  12                       240
Birmingham Steel Corp            Com      091250100            1        2,025 Shs  Def  12                     2,025
***Biomira Inc                   Com      09161R106           10        3,000 Shs  Def  12                     3,000
Bitstream Inc-Cl A               Com      091736108           43       11,500 Shs  Def  12                    11,500
Black & Decker Corp.             Com      091797100          490       10,524 Shs  Def   2       10,524
Black & Decker Corp              Com      091797100           11          239 Shs  Def   6          210                         29
Black & Decker Corp.             Com      091797100        1,667       36,400 Shs  Def   9                                  36,400
Black & Decker Corp              Com      091797100        1,895       40,715 Shs  Def  12                    40,715
Black Box Corp Del               Com      091826107        7,888      162,900 Shs  Def   6      158,500                      4,400
Black Box Corp-Del               Com      091826107          126        2,600 Shs  Def  12                     2,600
Black Hills Corp                 Com      092113109       17,045      509,100 Shs  Def   6      496,100                     13,000
Black Hills Corp                 Com      092113109          365       10,916 Shs  Def  12                    10,916
Blackrock Insured Municipal      Cl End Fd092474105           70        6,700 Shs  Def  12                     6,700
Blackrock North American         Cl End Fd092475102          228       22,820 Shs  Def  12                    22,820
Blackrock New Jersey Invt        Cl End Fd09247C107           27        2,000 Shs  Def  12                     2,000
Blackrock Investment Quality     Cl End Fd09247D105           13          994 Shs  Def  12                       994
Blackrock Income Trust Inc       Cl End Fd09247F100          274       37,325 Shs  Def  12                    37,325
Blackrock California Insured     Cl End Fd09247G108            5          300 Shs  Def  12                       300
Blackrock Florida Insured        Cl End Fd09247H106          216       14,204 Shs  Def  12                    14,204
Blackrock Investment Quality     Cl End Fd09247J102           29        3,200 Shs  Def  12                     3,200
Blackrock Insured Municipal      Cl End Fd09247K109            6          363 Shs  Def  12                       363
Blackrock New York Insured       Cl End Fd09247L107          169       11,000 Shs  Def  12                    11,000
Blackrock Municipal Target       Cl End Fd09247M105           74        6,988 Shs  Def  12                     6,988
Blackrock Strategic Term Trust   Cl End Fd09247P108           19        2,000 Shs  Def  12                     2,000
Blackrock Inc                    Com      09247X101        5,933      133,025 Shs  Def   7      133,025
Blackrock Inc                    Com      09247X101            4          100 Shs  Def  12                       100
Blackrock Muni Income Tr         Cl End Fd09248F109          290       22,103 Shs  Def  12                    22,103
Blackrock Fl Muni Income Tr      Cl End Fd09248H105           14        1,030 Shs  Def  12                     1,030
Blackrock Nj Muni Income Tr      Cl End Fd09248J101           28        2,060 Shs  Def  12                     2,060
Blackrock High Yield Tr          Cl End Fd09248N102           17        1,500 Shs  Def  12                     1,500
Blackrock Strategic Mun Tr       Cl End Fd09248T109           27        2,000 Shs  Def  12                     2,000
Blackrock Core Bd Tr             Cl End Fd09249E101           40        3,000 Shs  Def  12                     3,000
Blackrock Strategic Bond Trust   Com      09249G106            4          300 Shs  Def  12                       300
Blair Corp                       Com      092828102          357       19,400 Shs  Def   6       19,400
Blair Corp                       Com      092828102            6          300 Shs  Def  12                       300
Block H & R Inc.                 Com      093671105        2,291       51,550 Shs  Def   2       51,550
Block (H&R)                      Com      093671105       34,182      769,000 Shs  Def   3      745,900                     23,100
Block H & R Inc.                 Com      093671105          940       21,820 Shs  Def   9                                  21,820
H & R Block Inc                  Com      093671105          647       14,551 Shs  Def  12                    14,551
Block H & R Inc.                 Com      093671105          212        3,000 Shs  Def  15        3,000
Blockbuster Inc Cl A             Com      093679108       17,828      759,600 Shs  Def   3      724,800                     34,800
Blockbuster Inc                  Com      093679108            9          395 Shs  Def  12                       395
Blonder Tongue Labs Inc          Com      093698108           34        9,600 Shs  Def   6        9,600
Blonder Tongue Laboratories      Com      093698108           53       15,500 Shs  Def  12                    15,500
Blue Chip Value Fund Inc         Cl End Fd095333100           56        8,040 Shs  Def  12                     8,040
Blue Martini Software Inc        Com      095698106            4        2,850 Shs  Def  12                     2,850
Bluegreen Corp                   Com      096231105           89       17,800 Shs  Def   6       17,800
Blyth Inds Inc Com               Com      09643P108          114        4,310 Shs  Def   3        4,310
Blyth Inc                        Com      09643P108           48        1,800 Shs  Def  12                     1,800
Bny Capital Ii-7.80% Trust Pfd   Pfd      096564208           45        1,800 Shs  Def  12                     1,800
Bny Capital Trust Iv             Pfd      09656G201          220        9,075 Shs  Def  12                     9,075
Bob Evans Farms Inc.             Com      096761101            3          100 Shs  Def   2          100
Bob Evans Farms Inc              Com      096761101        4,916      174,200 Shs  Def   3      147,500                     26,700
Bob Evans Farms Inc              Com      096761101          175        6,199 Shs  Def  12                     6,199
Boeing Co.                       Com      097023105          859       17,809 Shs  Def   2       17,809
Boeing Co  Com                   Com      097023105       15,583      322,958 Shs  Def   3      310,158                     12,800
Boeing Co Com                    Com      097023105          289        6,000 Shs  Def   5        4,100                      1,900
Boeing Co                        Com      097023105       23,375      484,460 Shs  Def   6      484,460
Boeing Co.                       Com      097023105        1,318       27,501 Shs  Def   9                                  27,501
Boeing Co                        Com      097023105       10,466      216,916 Shs  Def  12                   216,916
Boeing Co.                       Com      097023105          200        2,600 Shs  Def  15        2,600
Boise Cascade Corp               Com      097383103            4          120 Shs  Def   6          120
Boise Cascade Corp               Com      097383103           14          379 Shs  Def  12                       379
Bolt Technology Corp             Com      097698104           45        9,885 Shs  Def  12                     9,885
Bombardier Inc - Cat A"      "   Com      097751101            5          600 Shs  Def  12                       600
Bombardier Inc. Cl B             Com      097751200           63        7,000 Shs  Def   2        7,000
Bombardier Inc - Cat B"      "   Com      097751200           14        1,548 Shs  Def  12                     1,548
Bon-Ton Stores Inc               Com      09776J101          888      215,600 Shs  Def   6      208,300                      7,300
Bombay Co Inc                    Com      097924104          362      122,000 Shs  Def   6      118,100                      3,900
Bombay Co Inc                    Com      097924104          102       34,450 Shs  Def  12                    34,450
Bone Care International Inc      Com      098072101            7          500 Shs  Def  12                       500
Boots Plc Adr                    Com      099491201        1,832       93,950 Shs  Def   6       82,145                     11,805
Borders Group Inc.               Com      099709107          328       13,700 Shs  Def   2       13,700
Borders Group Inc Com            Com      099709107        2,393      100,100 Shs  Def   3      100,100
Borders Group Inc                Com      099709107          288       12,044 Shs  Def  12                    12,044
Borg Warner Auto                 Com      099724106        6,484      103,050 Shs  Def   3       97,050                      6,000
Borg Warner Inc                  Com      099724106       27,519      437,370 Shs  Def   6      426,370                     11,000
Borg Warner Automotive Inc       Com      099724106           93        1,476 Shs  Def  12                     1,476
Borland Software Corporation     Com      099849101        4,931      379,030 Shs  Def   3      343,230                     35,800
Borland Software Corp            Com      099849101           10          800 Shs  Def  12                       800
Boron Lepore & Associates Inc    Com      10001P102          109        9,000 Shs  Def  12                     9,000
Boston Acoustics Inc             Com      100534106          544       51,500 Shs  Def   6       51,500
Boston Acoustics Inc             Com      100534106           13        1,225 Shs  Def  12                     1,225
Boston Communications Group      Com      100582105           13        1,520 Shs  Def  12                     1,520
Boston Edison Co 4.25% Pfd       Pfd      100599208           25          400 Shs  Def  12                       400
Boston Properties Inc.           Com      101121101        1,603       40,641 Shs  Def   2       40,641
Boston Properties Inc            Com      101121101          365        9,250 Shs  Def   5        9,250
Boston Properties Inc.           Com      101121101          832       21,000 Shs  Def   9                                  21,000
Boston Properties Inc            Com      101121101          107        2,700 Shs  Def  12                     2,700
Boston Scientific Corp.          Com      101137107        1,325       52,800 Shs  Def   2       52,800
Boston Scientific Corp           Com      101137107          977       38,958 Shs  Def   5       38,958
Boston Scientific Corp           Com      101137107        3,042      121,250 Shs  Def   6      121,250
Boston Scientific Corp           Com      101137107        2,544      101,400 Shs  Def  12                   101,400
Bostonfed Bancorp Inc            Com      101178101        1,477       58,500 Shs  Def   6       57,400                      1,100
Bostonfed Bancorp Inc            Com      101178101           11          450 Shs  Def  12                       450
Bottomline Technologies (De)     Com      101388106            7          800 Shs  Def  12                       800
Boulder Total Return Fund Inc    Cl End Fd101541100           22        1,300 Shs  Def  12                     1,300
Bowater Inc                      Com      102183100        3,952       79,625 Shs  Def   6       68,775                     10,850
Bowater Inc                      Com      102183100        1,525       30,615 Shs  Def  12                    30,615
Bowl America Inc-Cl A            Com      102565108           60        4,975 Shs  Def  12                     4,975
Bowne & Co Inc                   Com      103043105           18        1,300 Shs  Def  12                     1,300
Boyds Collection Ltd             Com      103354106        5,531      844,500 Shs  Def   6      822,400                     22,100
Boykin Lodging Co Com            Com      103430104        4,762      522,900 Shs  Def   6      506,970        1,680        14,250
Boykin Lodging Co                Com      103430104           26        2,800 Shs  Def  12                     2,800
Bradley Pharmaceuticals Inc      Com      104576103           43        4,000 Shs  Def  12                     4,000
Brady W H Co.                    Com      104674106            4          100 Shs  Def   7          100
***Braintech Inc New             Com      105022107           10       64,000 Shs  Def  12                    64,000
Brandywine Realty Tr Sbi New     Com      105368203            4          154 Shs  Def   6          154
Brandywine Realty Trust-Sbi      Com      105368203        3,134      131,128 Shs  Def  12                   131,128
Brascan Corp Ltd Vtg             Com      10549P606          690       31,750 Shs  Def   6        1,690                     30,060
***Brascan Corp                  Com      10549P606           46        2,125 Shs  Def  12                     2,125
Brasil Telecom Part Sa Adr       ADR      105530109        3,888       97,439 Shs  Def   3       97,439
Brass Eagle Inc                  Com      10553F106          578      120,500 Shs  Def   6      116,400                      4,100
Brazil Fund Inc                  Cl End Fd105759104           25        1,500 Shs  Def  12                     1,500
Bridgford Foods Corp             Com      108763103            4          400 Shs  Def  12                       400
Briggs & Stratton Cor            Com      109043109        8,708      190,344 Shs  Def   6      183,289          370         6,685
Briggs & Stratton Corp           Com      109043109           89        1,940 Shs  Def  12                     1,940
Brightpoint Inc                  Com      109473108          757      831,700 Shs  Def   6      811,300                     20,400
Brightpoint Inc                  Com      109473108            4        4,800 Shs  Def  12                     4,800
Brillance China Automotive Hldg  Com      10949Q105            9          500 Shs  Def   3          500
Brinker International Inc        Com      109641100          280        8,642 Shs  Def  12                     8,642
Brinker Intl Inc Com             Com      109641100        1,303       40,200 Shs  Def   3       40,200
Bristol-Myers Squibb             Com      110122108        2,733       67,496 Shs  Def   1          646                     66,850
Bristol-Myers Squibb Co.         Com      110122108        9,313      230,009 Shs  Def   2      227,759                      2,250
Bristol Myers                    Com      110122108        1,040       25,682 Shs  Def   4       25,682
Bristol Myers Squibb Co          Com      110122108        1,423       35,150 Shs  Def   5       27,957                      7,193
Bristol Myers Squibb Co          Com      110122108       16,285      402,195 Shs  Def   6      402,118                         77
Bristol-Myers Squibb Co.         Com      110122108          616       15,220 Shs  Def   7       15,220
Bristol-Myers Squibb Co.         Com      110122108           23          575 Shs  Def   8                       575
Bristol-Myers Squibb Co.         Com      110122108        2,969       73,486 Shs  Def   9                     8,053        65,433
Bristol-Myers Squibb Co.         Com      110122108       11,864      293,000 Shs  Def  10      293,000
Bristol Myers Squibb Co          Com      110122108          895       22,097 Shs  Def  11       15,820        5,541           236
Bristol Myers Squibb Co          Com      110122108       26,455      653,370 Shs  Def  12                   653,370
Bristol-Myers Squibb             Com      110122108        7,826      121,300 Shs  Def  15      121,300
Bristol Myers Squibb             Com      110122108          107        2,700 Shs  Def                         2,700
Bristol Myers Squibb Co  Com     Com      110122108       20,837      514,628 Shs  Def   3      488,628                     26,000
Britesmile Inc                   Com      110415106            3          600 Shs  Def  12                       600
British Awys (110419306)         Com      110419306           32          900 Shs  Def   6          900
Britton & Koontz Capital Corp    Com      111091104            3          200 Shs  Def  12                       200
Broadband Holdrs Tr              Com      11130P104           82        6,400 Shs  Def  12                     6,400
Broadcom Corp                    Com      111320107          456       12,715 Shs  Def  12                    12,715
Broadvision Inc                  Com      111412102           50       28,913 Shs  Def  12                    28,913
Broadwing Communications Inc     Com      11161P205           40          100 Shs  Def  12                       100
Broadwing Inc                    Com      111620100       10,259    1,467,605 Shs  Def   2    1,452,605                     15,000
Broadwing Inc                    Com      111620100        2,442      349,335 Shs  Def   5      278,325                     71,010
Broadwing Inc                    Com      111620100       10,465    1,497,100 Shs  Def   8                 1,497,100
Broadwing Inc.                   Com      111620100            6          900 Shs  Def   9                       900
Broadwing Inc                    Com      111620100       62,211    8,900,000 Shs  Def  10    8,900,000
Broadwing Inc                    Com      111620100          147       21,020 Shs  Def  11       14,150          500         6,000
Broadwing Inc                    Com      111620100          338       48,306 Shs  Def  12                    48,306
Broadwing Inc                    Com      111620100       67,090    9,598,000 Shs  Def  14    9,598,000
Broadwing Inc                    Pfd      111620407            3          100 Shs  Def  12                       100
Brocade Communications           Com      111621108           14          500 Shs  Def   2          500
Brocade Comm Sys                 Com      111621108            5          174 Shs  Def   6          174
Brocade Communications Sys Inc   Com      111621108          225        8,324 Shs  Def  12                     8,324
Brookstone Inc                   Com      114537103        2,013      125,800 Shs  Def   6      121,700                      4,100
Brooktrout Inc                   Com      114580103            1          200 Shs  Def  12                       200
Brown & Brown Inc                Com      115236101          113        3,610 Shs  Def  12                     3,610
Brown Forman Corp. Class         Com      115637100           56          771 Shs  Def   2          771
Brown Forman Corp.               CL A     115637100          209        1,800 Shs  Def  15        1,800
Brown Forman Corp. Cl B          Com      115637209           53          729 Shs  Def   2          729
Brown Forman Corp-Cl B           Com      115637209          322        4,430 Shs  Def  12                     4,430
Tom Brown Inc New                Com      115660201            7          261 Shs  Def  12                       261
Brown Shoe Inc New               Com      115736100        5,964      306,500 Shs  Def   6      296,300                     10,200
Brunswick Corp                   Com      117043109        2,191       80,190 Shs  Def   6       80,190
Brunswick Corp                   Com      117043109           90        3,290 Shs  Def  12                     3,290
Brush Engineered Materials Inc   Com      117421107            5          400 Shs  Def  12                       400
Bryn Mawr Bank Corp              Com      117665109           70        2,188 Shs  Def  12                     2,188
Bsquare Corp                     Com      11776U102            3          700 Shs  Def  12                       700
Buckeye Partners L P Unit        Com      118230101           24          600 Shs  Def   2                                     600
Buckeye Partners Lp              Com      118230101          534       13,378 Shs  Def  12                    13,378
Buckeye Technologies Inc         Com      118255108        5,651      548,600 Shs  Def   6      530,600                     18,000
Buckle Inc                       Com      118440106        5,829      237,900 Shs  Def   6      233,400                      4,500
Budget Group Inc-Cl A            Com      119003101            7       25,795 Shs  Def  12                    25,795
Building Matls Hldg Corp         Com      120113105        3,155      219,100 Shs  Def   6      211,500                      7,600
Bull Run Corp-Ga                 Com      120182100            2        1,500 Shs  Def  12                     1,500
Burlington Coat Factory          Com      121579106       14,647      760,900 Shs  Def   6      741,100                     19,800
Burlington Northern Santa        Com      12189T104          827       27,393 Shs  Def   2       26,193                      1,200
Burlington Northern Santa Fe C   Com      12189T104        1,514       50,174 Shs  Def   5       37,074                     13,100
Burlington Northn Santa          Com      12189T104       29,708      984,350 Shs  Def   6      984,350
Burlington Northern Santa Fe     Com      12189T104          475       15,748 Shs  Def  12                    15,748
Burlington Resources             Com      122014103          199        4,974 Shs  Def   2        4,277                        697
Burlington Resources             Com      122014103          228        5,700 Shs  Def   5        4,100                      1,600
Burlington Res Inc               Com      122014103            7          182 Shs  Def   6          100                         82
Burlington Resources Inc         Com      122014103        1,024       25,539 Shs  Def  12                    25,539
Bush Inds Inc                    Com      123164105        2,263      177,500 Shs  Def   6      172,100                      5,400
Butler Mfg Co Del                Com      123655102        2,658       99,000 Shs  Def   6       95,500                      3,500
Butler Manufacturing Co          Com      123655102            9          350 Shs  Def  12                       350
C&D Technologies Inc             Com      124661109        8,374      398,400 Shs  Def   6      386,800                     11,600
C & F Financial Corp             Com      12466Q104           22        1,000 Shs  Def  12                     1,000
***Cae Inc                       Com      124765108            5          668 Shs  Def  12                       668
Cbl & Associates Pptys Inc       Com      124830100        1,517       42,900 Shs  Def   3       40,300                      2,600
Cbl & Associates Properties      Com      124830100           14          400 Shs  Def  12                       400
Cbrl Group Inc.                  Com      12489V106            6          200 Shs  Def   2          200
Cbrl Group Inc                   Com      12489V106        1,909       67,060 Shs  Def   3       47,560                     19,500
Cbrl Group Inc                   Com      12489V106        2,367       83,135 Shs  Def   6       83,135
Cbrl Group Inc                   Com      12489V106          186        6,535 Shs  Def  12                     6,535
Ccbt Finl Cos Inc                Com      12500Q102        2,257       84,218 Shs  Def   6       81,718                      2,500
C-Cor.Net                        Com      125010108           25        1,400 Shs  Def   4        1,400
C D I Corp                       Com      125071100          824       35,900 Shs  Def   6       35,900
Cdi Corp                         Com      125071100          277       12,089 Shs  Def  12                    12,089
Cdw Computer Centers Inc         Com      125129106           10          200 Shs  Def  12                       200
Cec Entertainment Inc            Com      125137109           10          225 Shs  Def  12                       225
Ce Franklin Ltd                  Com      125151100          201       74,500 Shs  Def                        74,500
***Chc Helicopter Corp           Com      12541C203            5          300 Shs  Def  12                       300
Ch Energy Group Inc              Com      12541M102          503       10,608 Shs  Def  12                    10,608
Cigna Corp.                      Com      125509109          456        4,500 Shs  Def   2        4,500
Cigna Corp Com                   Com      125509109          580        5,717 Shs  Def   5        4,941                        776
Cigna Corp                       Com      125509109       10,145       98,890 Shs  Def   6       90,065                      8,825
Cigna Corp                       Com      125509109          223        2,200 Shs  Def  11        1,700          500
Cigna Corp                       Com      125509109        1,064       10,493 Shs  Def  12                    10,493
Cigna Corp.                      Com      125509109           81          500 Shs  Def  15          500
Cigna High Income Shares-Sbi     Cl End Fd12551D109           68       19,700 Shs  Def  12                    19,700
Cim High Yield Securities-Sbi    Cl End Fd125527101            4        1,000 Shs  Def  12                     1,000
Cleco Corp Hldgs New             Com      12561W105        1,719       71,934 Shs  Def  12                    71,934
Cleco Corp New                   Pfd      12561W204            5           97 Shs  Def  12                        97
Clc Healthcare Inc               Com      12562J103            1          431 Shs  Def  12                       431
Cmgi Inc.                        Com      125750109            2        1,200 Shs  Def   2        1,200
Cmgi Inc                         Com      125750109           29       21,202 Shs  Def  12                    21,202
Cms Energy Corp.                 Com      125896100           33        1,450 Shs  Def   2        1,450
Cms Energy Corp                  Com      125896100            8          340 Shs  Def   6          340
Cms Energy Corp                  Com      125896100          148        6,561 Shs  Def  12                     6,561
Cms Energy                       Com      125896100       21,050      930,000 Shs  Def  13      930,000
Cms Energy Corp                  Pfd      125896308           15          500 Shs  Def  12                       500
Cpi Corp                         Com      125902106        1,045       63,500 Shs  Def   6       62,200                      1,300
Cpb Inc                          Com      125903104          550       16,000 Shs  Def   6       14,600                      1,400
Css Inds Inc                     Com      125906107           98        3,000 Shs  Def   6        3,000
Cnb Bancorp Inc-N Y              Com      125915108           18          550 Shs  Def  12                       550
Cpi Aerostructures Inc           Com      125919308            7        4,533 Shs  Def  12                     4,533
Cnl Income Fund Xi Ltd           Com      125928101           22        2,000 Shs  Def  12                     2,000
Cnl Income Fund Ii Ltd           Com      125928200            3            6 Shs  Def  12                         6
Cnl Income Fund Xii Ltd          Com      125928705            5          500 Shs  Def  12                       500
Cnl Income Fund Xv Ltd           Com      125928812            3          300 Shs  Def  12                       300
Cnl Income Fund Iv Ltd           Com      125928838            7           20 Shs  Def  12                        20
Cnl Income Fund Iii Ltd          Com      125928879           36           93 Shs  Def  12                        93
Cnl Income Fund Xiv Ltd          Com      125928887            5          500 Shs  Def  12                       500
Ctb Intl Corp                    Com      125960104        1,494       98,600 Shs  Def   6       97,600                      1,000
Csk Auto Corp                    Com      125965103        4,552      481,700 Shs  Def   6      465,500                     16,200
Cna Financial Corp               Com      126117100           91        3,050 Shs  Def  12                     3,050
Cnb Holdings Inc-Ga              Com      12612F101            2          200 Shs  Def  12                       200
Cnf Transn Inc Com               Com      12612W104       23,740      727,736 Shs  Def   6      699,866          420        27,450
Cnf Inc                          Com      12612W104          349       10,592 Shs  Def  12                    10,592
Cnooc Ltd                        Com      126132109          484       19,500 Shs  Def   6       19,500
Cnet Networks, Inc.              Com      12613R104        1,033      188,500 Shs  Def   8                   188,500
Cnet Networks                    Com      12613R104            5          950 Shs  Def   9                       950
Cnet Networks, Inc.              Com      12613R104       30,301    5,529,400 Shs  Def  10    5,529,400
Cnet Networks Inc                Com      12613R104           59       10,786 Shs  Def  12                    10,786
Cpac Inc                         Com      126145101          541       87,100 Shs  Def   6       83,900                      3,200
Cpl Capital I-8% Cum Quarterly   Pfd      12615P205           22          875 Shs  Def  12                       875
Csg Sys Intl Inc Com             Com      126349109        4,678      169,185 Shs  Def   6      164,680          345         4,160
Csg Systems International Inc    Com      126349109           32        1,115 Shs  Def  12                     1,115
C S P Inc                        Com      126389105            4          933 Shs  Def  12                       933
C S X Corp.                      Com      126408103        1,110       29,114 Shs  Def   2       29,114
Csx Corp Com                     Com      126408103          554       14,531 Shs  Def   5       12,081                      2,450
Csx Corp                         Com      126408103       11,530      302,550 Shs  Def   6      302,550
Csx Corp                         Com      126408103        4,571      119,936 Shs  Def  12                   119,936
Ctc Communications Group Inc     Com      126419100            2          750 Shs  Def  12                       750
Ct Communications Inc            Com      126426402           30        2,000 Shs  Def  12                     2,000
Ct Holdings Inc                  Com      12643Y103            1        5,300 Shs  Def  12                     5,300
Cts Corporation                  Com      126501105            2          100 Shs  Def   2          100
Cts Corp                         Com      126501105            1           80 Shs  Def  12                        80
Cuno Inc                         Com      126583103            1           20 Shs  Def  12                        20
Cvf Technologies Corp            Com      12660F102            2       14,000 Shs  Def  12                    14,000
Cvs Corp.                        Com      126650100        2,411       70,233 Shs  Def   1       39,666                     30,567
Cvs Corp.                        Com      126650100        1,649       48,037 Shs  Def   2       45,937                      2,100
Cvs Corp Com                     Com      126650100        5,964      173,735 Shs  Def   5      150,925                     22,810
Cvs Corp                         Com      126650100           36        1,038 Shs  Def   6        1,038
Cvs Corp.                        Com      126650100           35        1,025 Shs  Def   7        1,025
Cvs Corp                         Com      126650100        1,290       37,400 Shs  Def   9                                  37,400
Cvs Corp                         Com      126650100        3,588      104,503 Shs  Def  12                   104,503
Cvs Corp.                        Com      126650100        5,771      105,500 Shs  Def  15      105,500
Cable & Wireless Pub Ltd Plc     ADR      126830207           10        1,050 Shs  Def   2        1,050
Cabelvision Systems-Hy Grp-A     CL A     12686C109            5          150 Shs  Def   4          150
Cablevision Systems Corp-Cl A    Com      12686C109          663       19,502 Shs  Def  12                    19,502
Cablevision Sys Corp             Com      12686C844           30        1,229 Shs  Def  12                     1,229
Rainbow Media Group              Com      12686C844        9,381      380,120 Shs  Def   3      360,320                     19,800
Cable Design Technologies        Com      126924109           10          750 Shs  Def   2          750
Cable Design Technologies        Com      126924109          216       16,169 Shs  Def  12                    16,169
Cacheflow Inc                    Com      126946102            1        1,000 Shs  Def  12                     1,000
Cabot Corp                       Com      127055101          354        9,600 Shs  Def   5        7,600                      2,000
Cabot Corp                       Com      127055101          157        4,250 Shs  Def  12                     4,250
Cabot Corp  Com                  Com      127055101       23,415      635,410 Shs  Def   3      613,510                     21,900
Cabot Oil & Gas Corp             Com      127097103          223        9,000 Shs  Def   2        9,000
Cabot Oil & Gas Corp A           Com      127097103       11,186      451,774 Shs  Def   6      439,974                     11,800
Cabot Microelectronics Corp      Com      12709P103           38          562 Shs  Def  12                       562
Caci International Inc-Cl A      Com      127190304          200        5,700 Shs  Def  12                     5,700
Caci Intl Inc  -Cl A             Com      127190304        3,774      107,500 Shs  Def   3      102,400                      5,100
Cadbury Schweppes Delaware       Pfd      127207207           70        2,780 Shs  Def  12                     2,780
Cadbury Schweppes P L C          ADR      127209302        1,283       46,250 Shs  Def   2       45,350                        900
Cadbury Schweppes P L            Com      127209302        6,743      239,873 Shs  Def   6      206,113                     33,760
Cadence Design Systems Inc       Com      127387108          263       11,630 Shs  Def  12                    11,630
Cadence Design Systems Inc       Com      127387108          113        5,000 Shs  Def                         5,000
Cadence Design Systems Inc       Com      127387108       12,689      561,200 Shs  Def   3      539,900                     21,300
Cadmus Communications Co         Com      127587103          528       44,200 Shs  Def   6       44,200
Cal Dive International Inc       Com      127914109           12          500 Shs  Def  12                       500
Calcasieu Real Estate & Oil Co   Com      128685203            8        1,684 Shs  Def  12                     1,684
Calgon Carbon Corp               Com      129603106            7          800 Shs  Def  12                       800
California First Ntnl Ba         Com      130222102          584       51,700 Shs  Def   6       46,200                      5,500
California Micro Devices Corp    Com      130439102            1          300 Shs  Def  12                       300
California Pizza Kitchen Inc     Com      13054D109           79        3,150 Shs  Def  12                     3,150
California Water Service Group   Com      130788102          190        7,433 Shs  Def  12                     7,433
Callaway Golf Co                 Com      131193104          203       10,550 Shs  Def  12                    10,550
Callon Pete Co Del               Com      13123X102        5,002      633,288 Shs  Def   6      606,268        1,370        25,650
Calpine Corp.                    Com      131347106           38        3,000 Shs  Def   2        3,000
Calpine Corporation              Com      131347106          218       17,200 Shs  Def   5       17,200
Calpine Corp Com                 Com      131347106       33,605    2,642,170 Shs  Def   6    2,447,490                    194,680
Calpine Corp.                    Com      131347106        1,979      155,800 Shs  Def   8                   155,800
Calpine Corp.                    Com      131347106            7          550 Shs  Def   9                       550
Calpine Corp.                    Com      131347106       58,420    4,600,000 Shs  Def  10    4,600,000
Calpine Corp                     Com      131347106        2,685      211,428 Shs  Def  12                   211,428
Calpine Corporation              Com      131347106          160        7,900 Shs  Def  15        7,900
Calpine Cap Tr Ii Pfd Conv       Pfd      13134E309           10          300 Shs  Def  12                       300
Cambridge Bancorp                Com      132152109            6           66 Shs  Def  12                        66
Camco Finl Corp                  Com      132618109            2          122 Shs  Def   2          122
Camco Finl Corp                  Com      132618109        1,358      101,700 Shs  Def   6       98,600                      3,100
Camden Natl Corp                 Com      133034108        1,050       44,700 Shs  Def   6       44,700
Camden National Corp             Com      133034108          306       13,000 Shs  Def  12                    13,000
Camden Property Trust            Com      133131102        2,238       57,350 Shs  Def   9                                  57,350
Camden Property Trust-Sbi        Com      133131102        4,301      109,946 Shs  Def  12                   109,946
***Cameco Corp                   Pfd      13321L306           13          500 Shs  Def  12                       500
Caminus Corp                     Com      133766105            3          120 Shs  Def   3          120
Campbell Soup Co                 Com      134429109            3          100 Shs  Def   6          100
Campbell Soup Co                 Com      134429109          228        8,510 Shs  Def  12                     8,510
Campbell Strategic Allocation    Com      134441104           19           10 Shs  Def  12                        10
***Canada Life Financial Corp    Com      135113108           23          906 Shs  Def  12                       906
***Canada Southern Petroleum     Com      135231108            2          400 Shs  Def  12                       400
***Canadian 88 Energy Corp       Com      13566G509            6        4,000 Shs  Def  12                     4,000
Canadian National Railroad       Com      136375102           50        1,000 Shs  Def   2                                   1,000
***Canadian National Railway     Com      136375102          399        7,985 Shs  Def  12                     7,985
Canadian National Railway Co     Com      136375102       23,976      479,900 Shs  Def   3      455,000                     24,900
***Canadian Pacific Railway      Com      13645T100           28        1,287 Shs  Def  12                     1,287
Candela Corp                     Com      136907102          652      119,600 Shs  Def   6      114,000                      5,600
Cannondale Corp                  Com      137798104            4          900 Shs  Def  12                       900
Canon Inc. - Spon Adr            ADR      138006309        1,173       31,575 Shs  Def   2       30,875                        700
Canon Inc Adr                    Com      138006309        2,200       59,850 Shs  Def   6       59,005                        845
Canyon Resources Corp            Com      138869300            4        2,500 Shs  Def  12                     2,500
Capactive Deionization Tech      Com      139161103            7       20,000 Shs  Def   5       20,000
Capital Automotive Reit-Sbi      Com      139733109           46        2,000 Shs  Def  12                     2,000
Capital Corp Of The West         Com      140065103          413       21,735 Shs  Def   6       21,735
Capital Crossing Bk              Com      140071101        1,658       74,700 Shs  Def   6       73,000                      1,700
Capital Crossing Bank            Com      140071101           11          500 Shs  Def  12                       500
Capital One Financial Corp.      Com      14040H105           77        1,200 Shs  Def   2        1,200
Capital One Financial Inc        Com      14040H105          268        4,200 Shs  Def   5        4,200
Capital One Financial Corp       Com      14040H105        1,246       19,522 Shs  Def  11       19,522
Capital One Financial Corp       Com      14040H105        5,708       89,401 Shs  Def  12                    89,401
Capitol Bancorp Ltd              Com      14056D105        1,902      115,700 Shs  Def   6      112,700                      3,000
Capstone Turbine Corp            Com      14067D102          111       34,021 Shs  Def  12                    34,021
Capstead Mtg Corp                Com      14067E506           40        2,060 Shs  Def  12                     2,060
Captaris Inc                     Com      14071N104            5        1,500 Shs  Def  12                     1,500
Caraco Pharmaceutical            Com      14075T107            7        2,000 Shs  Def  12                     2,000
Caraustar Industries Inc         Com      140909102           19        1,800 Shs  Def  12                     1,800
Cardiac Science Inc New          Com      141410209          374      124,615 Shs  Def  12                   124,615
Cardinal Financial Corp          Com      14149F109            2          500 Shs  Def  12                       500
Cardinal Health Inc.             Com      14149Y108        1,945       27,443 Shs  Def   2       27,145                        298
Cardinal Health                  Com      14149Y108           61          863 Shs  Def   4          863
Cardinal Health Inc Com          Com      14149Y108          220        3,100 Shs  Def   5        3,100
Cardinal Health Inc              Com      14149Y108            8          117 Shs  Def   6          117
Cardinal Health Inc.             Com      14149Y108           72        1,012 Shs  Def   7        1,012
Cardinal Health Inc              Com      14149Y108          251        3,544 Shs  Def  11        1,706        1,354           484
Cardinal Health Inc              Com      14149Y108        3,817       53,840 Shs  Def  12                    53,840
Cardinal Health Inc.             Com      14149Y108        4,019       56,700 Shs  Def   3       54,400                      2,300
Cardiodynamics International     Com      141597104            4        1,000 Shs  Def  12                     1,000
Cardiogenesis Corp               Com      14159W109            1        1,000 Shs  Def  12                     1,000
Career Education Corp            Com      141665109          380        9,605 Shs  Def  12                     9,605
Careadvantage Inc New            Com      14166N209           33      166,667 Shs  Def  12                   166,667
Restricted Carecentric           Com      14166Y106            7        9,300 Shs  Def   6        8,687                        613
Caremark Rx, Inc.                Com      141705103        3,845      197,200 Shs  Def   8                   197,200
Caremark Rx, Inc.                Com      141705103      115,050    5,900,000 Shs  Def  10    5,900,000
Caremark Rx Inc                  Com      141705103          666       34,151 Shs  Def  12                    34,151
Carlisle Companies Inc           Com      142339100            9          200 Shs  Def  12                       200
Carnegie International Corp      Com      143500106            1       27,000 Shs  Def  12                    27,000
Carnival Corp.                   Com      143658102        1,012       31,000 Shs  Def   1        2,000                     29,000
Carnival Corp.                   Com      143658102           13          400 Shs  Def   2          400
Carnival                         Com      143658102           15          450 Shs  Def   4          450
Carnival Corporation             Com      143658102        1,753       53,700 Shs  Def   5       53,700
Carnival Cruise Line             Com      143658102       16,260      499,542 Shs  Def   6      450,657                     48,885
***Carnival Corp-Cl A            Com      143658102        7,133      218,455 Shs  Def  12                   218,455
Carnival Corp.                   Com      143658102          104        2,000 Shs  Def  15        2,000
Carriage Svcs Inc                Com      143905107        1,567      310,200 Shs  Def   6      299,600                     10,600
Carolina Power & Light Co        Pfd      144141306           60          825 Shs  Def  12                       825
Carpenter Technology Corp        Com      144285103          132        4,550 Shs  Def  12                     4,550
Carramerica Realty Corp          Com      144418100        3,033       96,568 Shs  Def  12                    96,568
Carramerica Realty Corp          Pfd      144418209          358       14,370 Shs  Def  12                    14,370
Carramerica Realty Corp-Dep      Pfd      144418407          318       12,952 Shs  Def  12                    12,952
Carramerica Realty Corp-Dep      Pfd      144418506            5          200 Shs  Def  12                       200
Carreker Corporation             Com      144433109           22        2,500 Shs  Def  12                     2,500
Carrier Access Corp.             Com      144460102            1          425 Shs  Def   2          425
Carrizo Oil & Co Inc             Com      144577103          547       98,500 Shs  Def   6       92,200                      6,300
Carrollton Bancorp-Md            Com      145282109           46        3,700 Shs  Def  12                     3,700
Cascade Bancorp                  Com      147154108        2,551      138,250 Shs  Def   7      138,250
Cascade Corp Com                 Com      147195101        8,422      594,398 Shs  Def   6      578,534        1,098        14,766
Cash America International Inc   Com      14754D100            2          250 Shs  Def  12                       250
Cass Information Sys Inc         Com      14808P109          136        5,400 Shs  Def   6        5,400
A M Castle & Co                  Com      148411101            7          667 Shs  Def  12                       667
Castle Convertible Fund Inc      Cl End Fd148443104           11          450 Shs  Def  12                       450
Catalina Marketing               Com      148867104           40        1,100 Shs  Def   2        1,100
Catalina Marketing Corporation   Com      148867104           22          590 Shs  Def   7          590
Catalina Marketing Corp          Com      148867104           29          800 Shs  Def  12                       800
Catapult Communications Corp     Com      149016107          148        5,880 Shs  Def  12                     5,880
Catapult Communications Corp     Com      149016107        1,483       58,765 Shs  Def   3       56,665                      2,100
Caterpillar Inc.                 Com      149123101          102        1,800 Shs  Def   2        1,800
Caterpillar Inc                  Com      149123101       16,400      288,480 Shs  Def   6      288,480
Caterpillar Inc.                 Com      149123101          515        9,050 Shs  Def   9                                   9,050
Caterpillar Inc                  Com      149123101        2,232       39,255 Shs  Def  12                    39,255
Caterpillar Inc.                 Com      149123101        4,801       53,000 Shs  Def  15       53,000
Cato Corp New                    Com      149205106        7,996      358,900 Shs  Def   6      348,700                     10,200
Cedar Fair, L.P. Dep Rec         Com      150185106           54        2,267 Shs  Def   2        2,267
Cedar Fair, L.P. Dep Rec         Com      150185106          279       11,718 Shs  Def  12                    11,718
Cell Genesys, Inc.               Com      150921104        1,719      101,400 Shs  Def   8                   101,400
Cell Genesys, Inc.               Com      150921104       35,595    2,100,000 Shs  Def  10    2,100,000
Cell Genesys Inc                 Com      150921104       10,076      594,442 Shs  Def  12                   594,442
Cellstar Corp                    Com      150925204           10        2,898 Shs  Def  12                     2,898
Cell Therapeutics Inc New        Com      150934107            6          250 Shs  Def  12                       250
Celestica Inc Sub Vtg Shs        Com      15101Q108            3           83 Shs  Def   6           83
***Celestica Inc                 Com      15101Q108           92        2,550 Shs  Def  12                     2,550
Celestica Inc                    Com      15101Q108          225        6,200 Shs  Def   3        6,200
Celgene Corp                     Com      151020104           24          960 Shs  Def  12                       960
Cell Pathways Inc - New          Com      15114R101            1          284 Shs  Def  12                       284
Celsion Corp                     Com      15117N107            8       11,000 Shs  Def  12                    11,000
Cemex Sa Adr Wts Exp 12/21       ADR      151290863          169       41,229 Shs  Def   3       41,229
Cemex Sa Spon Adr 5 Ord          ADR      151290889       11,701      396,098 Shs  Def   3      396,098
Cendant Corp.                    Com      151313103           30        1,586 Shs  Def   2        1,586
Cendant                          Com      151313103        8,123      423,080 Shs  Def   4      423,080
Cendant Corp Com                 Com      151313103          351       18,297 Shs  Def   5                                  18,297
Cendant Corp                     Com      151313103        4,181      217,780 Shs  Def   6      217,780
Cendant Corp                     Com      151313103          337       17,540 Shs  Def  11        3,040       14,500
Cendant Corp                     Com      151313103        3,637      189,445 Shs  Def  12                   189,445
Cendant Corp.                    Com      151313103           61        2,000 Shs  Def  15        2,000
Cendant                          Com      151313103          247       12,900 Shs  Def                        12,900
Centennial Bancorp               Com      15133T104        1,233      154,567 Shs  Def   6      154,567
Centene Corp                     Com      15135B101          218        9,500 Shs  Def   3        9,500
Center Tr Inc                    Com      151845104            1          180 Shs  Def  12                       180
Centerpoint Properties Corp.     Com      151895109           54        1,000 Shs  Def   2        1,000
Centerpoint Properties Trust     Com      151895109           14          250 Shs  Def  12                       250
Centerpoint Properties Trust     Pfd      151895208           30        1,200 Shs  Def  12                     1,200
Centex Corp                      Com      152312104          918       17,680 Shs  Def  12                    17,680
Centillium Communications Inc    Com      152319109            2          200 Shs  Def  12                       200
Centex Construction Prod         Com      15231R109        7,320      184,000 Shs  Def   6      178,300                      5,700
Centex Construction Products     Com      15231R109           12          300 Shs  Def  12                       300
Centra Software Inc Com          Com      15234X103            4          750 Shs  Def  12                       750
Central European Distr Corp      Com      153435102            1          100 Shs  Def  12                       100
Central European Eq Fd Inc       Com      153436100            2          166 Shs  Def   6          166
***Central Fund Of Canada Ltd    Com      153501101          139       35,600 Shs  Def  12                    35,600
Central Garden & Pet Co          Com      153527106        2,354      223,800 Shs  Def   6      218,700                      5,100
Central Illinois Light Co        Pfd      153645205           58          860 Shs  Def  12                       860
Central Parking Corp             Com      154785109          117        5,085 Shs  Def  12                     5,085
Central Parking Fin Tr 5.25%     Pfd      154787303           68        4,100 Shs  Def  12                     4,100
Central Securities Corp          Com      155123102           82        3,200 Shs  Def  12                     3,200
Central Vermont Pub Svc          Com      155771108           21        1,200 Shs  Def   2        1,200
Century Alum Co Com              Com      156431108        8,365      523,832 Shs  Def   6      509,642        1,120        13,070
Century Bancorp Inc              Com      156432106          109        4,700 Shs  Def   6        4,700
Century Business Services Inc    Com      156490104            3        1,000 Shs  Def  12                     1,000
Century Properties Fund Xvi      Com      156665606            1           20 Shs  Def  12                        20
Centurytel Inc                   Com      156700106        5,679      167,027 Shs  Def   6      167,027
Centurytel Inc                   Com      156700106        3,080       90,600 Shs  Def  12                    90,600
Centurytel Inc                   Com      156700106          307        9,200 Shs  Def                         9,200
Centurytel Inc                   Com      156700106        3,176       93,400 Shs  Def   3       93,400
Cephalon Inc                     Com      156708109            6          100 Shs  Def  12                       100
Ceres Group Inc                  Com      156772105        2,040      448,300 Shs  Def   6      433,700                     14,600
Ceridian Corporation             Com      156779100           11          500 Shs  Def   2          500
Ceridian Corp New                Com      156779100           78        3,538 Shs  Def   6        3,538
Ceridian Corporation             Com      156779100        2,132       96,700 Shs  Def   8                    96,700
Ceridian Corporation             Com      156779100       66,150    3,000,000 Shs  Def  10    3,000,000
Ceridian Corp                    Com      156779100          397       18,012 Shs  Def  12                    18,012
Ceridian Corp.                   Com      156779100          119        3,400 Shs  Def  15        3,400
Ceridian Corporation             Com      156779100        4,642      210,500 Shs  Def   3      192,400                     18,100
Cerner Corp.                     Com      156782104          191        4,000 Shs  Def   2        4,000
Cerner Corp                      Com      156782104           57        1,190 Shs  Def  12                     1,190
Certegy Inc.                     Com      156880106        2,235       56,300 Shs  Def   1       20,400                     35,900
Certegy Inc                      Com      156880106          692       17,426 Shs  Def  12                    17,426
Cerus Corporation                Com      157085101           13          250 Shs  Def   2          250
Cerus Corp                       Com      157085101           32          600 Shs  Def  12                       600
Chadmoore Wireless Group Inc     Com      157259102           11       25,000 Shs  Def  12                    25,000
Chalone Wine Group Ltd           Com      157639105            7          717 Shs  Def  12                       717
Champion Enterprises Inc         Com      158496109            3          400 Shs  Def  12                       400
Champion Enterprises Inc         Com      158496109           53        6,600 Shs  Def   3        6,600
Championship Auto Racing         Com      158711101            2          150 Shs  Def  12                       150
Channell Coml Corp               Com      159186105          556      100,300 Shs  Def   6       95,800                      4,500
Charles & Colvard Ltd            Com      159765106            9        2,000 Shs  Def  12                     2,000
Charles River Associates         Com      159852102          151       10,000 Shs  Def   6       10,000
Charles River Laboratories       Com      159864107        8,961      289,050 Shs  Def   3      271,050                     18,000
Charter One Financial Inc.       Com      160903100       14,380      460,601 Shs  Def   2      456,922                      3,679
Charter One                      Com      160903100       12,238      391,982 Shs  Def   4      391,982
Charter One Finl Inc             Com      160903100        3,447      110,429 Shs  Def   5       87,681                     22,748
Charter One Fincl                Com      160903100           24          771 Shs  Def   6          771
Charter One Financial Inc        Com      160903100          372       11,922 Shs  Def  11        2,460        1,859         7,603
Charter One Financial Inc        Com      160903100        2,213       70,872 Shs  Def  12                    70,872
Charter Municipal Mortgage       Com      160908109        1,004       63,600 Shs  Def  12                    63,600
Charter Comm Class A             Com      16117M107            6          500 Shs  Def   6          500
Charter Communications Inc Del   Com      16117M107          416       36,843 Shs  Def  12                    36,843
Chartwell Divid & Income Fd      Com      16139P104           60        5,235 Shs  Def  12                     5,235
Chase Capital V-7.03% Capital    Pfd      161479209           10          392 Shs  Def  12                       392
Chase Capital Vii 7% Cap Secs    Pfd      16147M200           26        1,034 Shs  Def  12                     1,034
Chase Capital Iv-7.34% Capital   Pfd      16147N208           40        1,600 Shs  Def  12                     1,600
Chase Capital Viii 8.25%         Pfd      16147R209           63        2,300 Shs  Def  12                     2,300
Chase Inds Inc                   Com      161568100        2,466      219,200 Shs  Def   6      212,500                      6,700
Chateau Communities Inc.         Com      161726104       17,790      619,212 Shs  Def   2      617,170                      2,042
Chateau Communities Inc          Com      161726104          263        9,170 Shs  Def  12                     9,170
Chattem Inc                      Com      162456107          305       13,000 Shs  Def   6       13,000
Checkers Drive-In Restaurants    Com      162809305            1           83 Shs  Def  12                        83
Checkfree Corp New               Com      162813109            3          180 Shs  Def   6          180
Checkfree Corp                   Com      162813109          325       21,190 Shs  Def  12                    21,190
Checkpoint Systems Inc           Com      162825103        1,294       81,155 Shs  Def  12                    81,155
Checkpoint Sys Inc  Com  Nasd IndCom      162825103        6,962      436,510 Shs  Def   3      403,110                     33,400
Cheesecake Factory Inc           Com      163072101          654       17,728 Shs  Def  12                    17,728
Chemed Corp.                     Com      163596109           20          540 Shs  Def   2          540
Chemed Corp                      Com      163596109           15          400 Shs  Def  12                       400
Chemical Financial Corp          Com      163731102          508       16,959 Shs  Def  12                    16,959
Cheniere Energy Inc              Com      16411R208            1          625 Shs  Def  12                       625
Cherokee Inc Del New             Com      16444H102        1,483       98,100 Shs  Def   6       94,700                      3,400
Chesapeake Corp                  Com      165159104          574       21,137 Shs  Def  12                    21,137
Chesapeake Corp  Com             Com      165159104        1,290       47,500 Shs  Def   3       41,400                      6,100
Chesapeake Energy Corp           Com      165167107       23,382    3,020,900 Shs  Def   6    2,946,400                     74,500
Chesapeake Energy Corp           Com      165167107          644       83,260 Shs  Def  12                    83,260
Chesapeake Financial Shares      Com      16517A109            9          432 Shs  Def  12                       432
Cheung Kong Hong Kong            ADR      166744201          523       58,488 Shs  Def   2       58,488
Chevrontexaco Corp.              Com      166764100        2,022       22,403 Shs  Def   1          700                     21,703
Chevrontexaco Corp               Com      166764100       24,597      272,487 Shs  Def   2      269,454                      3,033
Chevron Texaco                   Com      166764100           15          165 Shs  Def   4          165
Chevrontexaco Corp               Com      166764100        7,991       88,520 Shs  Def   5       80,046                      8,474
Chevrontexaco Corp               Com      166764100       23,636      261,838 Shs  Def   6      261,838
Chevrontexaco Corp               Com      166764100        1,940       21,496 Shs  Def   7       21,496
Chevrontexaco Corp.              Com      166764100        3,002       33,469 Shs  Def   9                                  33,469
Chevrontexaco Corp               Com      166764100        1,092       12,092 Shs  Def  11        7,360        3,405         1,327
Chevrontexaco Corp               Com      166764100       20,496      227,052 Shs  Def  12                   227,052
Chevrontexaco Corp.              Com      166764100          627        4,359 Shs  Def  15        4,359
Chevrontexaco Corporation        Com      166764100       36,319      402,333 Shs  Def   3      388,613                     13,720
Chevy Chase Savings Bank fsb     Pfd      166784207           16          600 Shs  Def  12                       600
Chevy Chase Preferred Capital    Pfd      16678M207          182        3,240 Shs  Def  12                     3,240
Chicago Rivet & Mach Co          Com      168088102          123        4,300 Shs  Def   6        4,300
Chico'S Fas Inc.                 Com      168615102           51        1,500 Shs  Def   2        1,500
Chicos Fas Inc                   Com      168615102          144        4,275 Shs  Def  12                     4,275
Chile Fund Inc                   Cl End Fd168834109            3          391 Shs  Def  12                       391
Chiles Offshore Inc              Com      16888M104        3,125      135,850 Shs  Def   7      135,850
Childrens Place Retail Stores    Com      168905107          182        5,500 Shs  Def   3        4,600                        900
Childrens Place Retail Stores    Com      168905107           94        2,850 Shs  Def  12                     2,850
China Mobile Hk Ltd - Sp Adr     ADR      16941M109        3,708      240,000 Shs  Def   3      240,000
China Unicom -Adr                ADR      16945R104        4,224      440,000 Shs  Def   3      420,000                     20,000
Chippac Inc                      Com      169657103          115       11,700 Shs  Def   3                                  11,700
Chippac Inc Cl A                 Com      169657103          106       10,800 Shs  Def   5       10,800
Choice Hotels Intl Inc.          Com      169905106           33        1,350 Shs  Def   2        1,350
Choice Hotels Intl Inc           Com      169905106          198        8,205 Shs  Def   3        8,205
Choice Hotels International      Com      169905106           81        3,364 Shs  Def  12                     3,364
Wts Chiquita Brands Intl Inc     Wts      170032114           36        6,353 Shs  Def  12                     6,353
Chiquita Brands $3.75 Ser B      PFD      170032502           11        1,300 Shs  Def   2        1,300
Chiquita Brands International    Pfd      170032502           29        3,400 Shs  Def  12                     3,400
Chiquita Brands Intl New         Com      170032809            2          124 Shs  Def   2          124
Chiquita Brands Intl Inc         Com      170032809           11          692 Shs  Def  12                       692
Chiron Corp.Del                  Com      170040109            1           16 Shs  Def   2           16
Chiron Corp  Com  Nasd Indl      Com      170040109        2,786       60,700 Shs  Def   3       60,700
Chiron                           Com      170040109           31          675 Shs  Def   4          675
Chiron Corp                      Com      170040109          308        6,702 Shs  Def  12                     6,702
Chittenden Corp                  Com      170228100           12          400 Shs  Def  12                       400
Choicecare Inc.                  Com      170383103            2          208 Shs  Def   2          208
Choicepoint Inc                  Com      170388102          104        1,810 Shs  Def  12                     1,810
Chordiant Software Inc Com       Com      170404107            1          180 Shs  Def  12                       180
Christopher & Banks Corp         Com      171046105            5          150 Shs  Def  12                       150
Chromcraft Revington Inc         Com      171117104        1,947      152,700 Shs  Def   6      148,900                      3,800
Chromavision Medical Systems     Com      17111P104           42        8,640 Shs  Def  12                     8,640
Chubb Corp.                      Com      171232101          651        8,900 Shs  Def   1                                   8,900
Chubb Corp.                      Com      171232101        2,825       38,651 Shs  Def   2       38,251                        400
Chubb                            Com      171232101           19          260 Shs  Def   4          260
Chubb Corp Com                   Com      171232101          709        9,695 Shs  Def   5        7,895                      1,800
Chubb Corp                       Com      171232101          780       10,638 Shs  Def   6        7,330                      3,308
Chubb Corp.                      Com      171232101          146        2,000 Shs  Def   7        2,000
Chubb Corp.                      Com      171232101          146        2,000 Shs  Def   9                                   2,000
Chubb Corp                       Com      171232101        2,921       39,960 Shs  Def  12                    39,960
Church & Dwight Co Inc           Com      171340102          177        6,000 Shs  Def  12                     6,000
Churchill Downs Inc              Com      171484108            4          100 Shs  Def  12                       100
Ciber Inc Com                    Com      17163B102          671       73,300 Shs  Def   3       55,100                     18,200
Ciber Inc                        Com      17163B102          213       23,262 Shs  Def  12                    23,262
Ciena Corp                       Com      171779101          156       17,285 Shs  Def   6       17,285
Ciena Corp                       Com      171779101          465       51,617 Shs  Def  12                    51,617
Cima Labs Inc                    Com      171796105           13          475 Shs  Def  12                       475
Cigna Investment Securities      Cl End Fd17179X106           29        1,775 Shs  Def  12                     1,775
Cincinnati Financial Corp.       Com      172062101       19,947      456,860 Shs  Def   2      456,860
Cincinnati Finl Corp             Com      172062101            3           80 Shs  Def   6           80
Cincinnati Financial Corp        Com      172062101          326        7,459 Shs  Def  11        5,119
Cincinnati Financial Corp        Com      172062101        2,228       51,027 Shs  Def  12                    51,027
Cincinnati Gas & Elec            PFD      172070831            5          200 Shs  Def   2          200
Cincinnati Gas & Electric Co     Com      172070831            5          200 Shs  Def  12                       200
Cinergy Corp.                    Com      172474108        1,474       41,226 Shs  Def   2       41,226
Cinergy Corp                     Com      172474108       27,946      781,700 Shs  Def   3      758,200                     23,500
Cinergy Corporation              Com      172474108            5          141 Shs  Def   6          141
Cinergy Corp                     Com      172474108        1,418       39,671 Shs  Def  12                    39,671
Cinergy Corp                     Com      172474108        5,337      150,000 Shs  Def  13      150,000
Cinergy Corp                     Pfd      172474207           23          400 Shs  Def  12                       400
Circuit City Stores Inc.         Com      172737108        9,922      550,000 Shs  Def  10      550,000
Circuit City Stores Inc          Com      172737108        7,041      390,314 Shs  Def  12                   390,314
Circuit City Stores Inc.         Com      172737108          361       20,000 Shs  Def                        20,000
Circuit City Stores Inc          Com      172737306        4,207      162,700 Shs  Def  12                   162,700
Circor Intl Inc                  Com      17273K109            3          150 Shs  Def   2          150
Cirrus Logic                     Com      172755100           17          895 Shs  Def   4          895
Cirrus Logic Inc                 Com      172755100           17          915 Shs  Def  12                       915
Cisco Systems                    Com      17275R102       33,534    1,980,756 Shs  Def   1      437,729                  1,543,027
Cisco Systems Inc.               Com      17275R102        6,684      394,822 Shs  Def   2      392,222                      2,600
Cisco Systems                    Com      17275R102       26,427    1,560,978 Shs  Def   3    1,508,378                     52,600
Cisco Systems                    Com      17275R102       10,551      623,225 Shs  Def   4      623,225
Cisco Systems Inc                Com      17275R102          337       19,901 Shs  Def   5       17,236                      2,665
Cisco Sys Inc                    Com      17275R102            8          464 Shs  Def   6          464
Cisco Systems Inc.               Com      17275R102        4,035      238,308 Shs  Def   7      238,308
Cisco Systems Inc.               Com      17275R102          495       28,274 Shs  Def   9                                  28,274
Cisco Systems Inc                Com      17275R102          512       30,218 Shs  Def  11       26,854        2,627           487
Cisco Systems Inc                Com      17275R102       18,486    1,091,924 Shs  Def  12                 1,091,924
Cisco Systems Inc.               Com      17275R102        6,369      241,060 Shs  Def  15      241,060
Cisco Systems Plc                Com      17275R102          467       28,560 Shs  Def                        28,560
Cintas Corp.                     Com      172908105       28,883      579,289 Shs  Def   2      569,639                      9,650
Cintas Corp                      Com      172908105          238        4,770 Shs  Def  11        4,050                        720
Cintas Corp                      Com      172908105          326        6,531 Shs  Def  12                     6,531
Citigroup                        Com      172967101        5,562      112,314 Shs  Def   1       19,118                     93,196
Citigroup Inc.                   Com      172967101       24,004      484,731 Shs  Def   2      483,531                      1,200
Citigroup  Inc                   Com      172967101       53,477    1,079,907 Shs  Def   3    1,034,408                     45,499
Citigroup                        Com      172967101           46          919 Shs  Def   4          919
Citigroup Inc                    Com      172967101        9,170      185,182 Shs  Def   5      150,536                     34,646
Citigroup Inc                    Com      172967101       28,244      570,350 Shs  Def   6      570,350
Citigroup Inc.                   Com      172967101        4,959      100,143 Shs  Def   7      100,143
Citigroup Inc.                   Com      172967101      243,237    4,911,893 Shs  Def   8                 4,911,893
Citigroup Inc                    Com      172967101        6,858      138,680 Shs  Def   9                    22,316       116,364
Citigroup Inc.                   Com      172967101      452,378    9,135,256 Shs  Def  10    9,135,256
Citigroup Inc                    Com      172967101        3,384       68,339 Shs  Def  11       50,713       12,508         4,518
Citigroup Inc                    Com      172967101       56,452    1,139,977 Shs  Def  12                 1,139,977
Citigroup Inc.                   Com      172967101       13,466      173,442 Shs  Def  15      173,442
Citigroup Inc                    Com      172967101          470        9,400 Shs  Def                         9,400
Citigroup Inc-Dep Shs-Repstg     Pfd      172967507           15          325 Shs  Def  12                       325
Citicorp Capital Trust Iii       Pfd      17303U200            9          350 Shs  Def  12                       350
Citigroup Capital Iv Trust       Pfd      17305J203           56        2,300 Shs  Def  12                     2,300
Citigroup Cap Vi 6.875% Tr Pfd   Pfd      17305L208           27        1,100 Shs  Def  12                     1,100
Citigroup Capital V 7%           Pfd      17306K209           75        3,067 Shs  Def  12                     3,067
Citigroup Capital Vii            Pfd      17306N203          455       18,350 Shs  Def  12                    18,350
Citigroup Capital V111           PFD      17306R204          531       21,750 Shs  Def   7       21,750
Citigroup Capital Viii           Pfd      17306R204           37        1,500 Shs  Def  12                     1,500
Citizens Bkg Corp.               Com      174420109           40        1,236 Shs  Def   2        1,236
Citizens Bkg Corp Mich           Com      174420109          448       13,800 Shs  Def   6       13,800
Citizens Banking Corp            Com      174420109           12          384 Shs  Def  12                       384
Citizens Communications          Com      17453B101          214       19,885 Shs  Def   2       19,885
Citizens Communications          Com      17453B101            6          590 Shs  Def   6          590
Citizens Communications Co       Com      17453B101          569       52,905 Shs  Def  12                    52,905
Citizens Financial Corp-Elkins   Com      17461K101          105        3,500 Shs  Def  12                     3,500
Citizens National Bank Of        Com      176000107           43          325 Shs  Def  12                       325
Citrix Systems Inc.              Com      177376100           43        2,500 Shs  Def   2        2,500
Citrix Systems Inc               Com      177376100          122        7,032 Shs  Def  12                     7,032
City Holding Co                  Com      177835105           95        6,220 Shs  Def  12                     6,220
City Investing Co Liq Tr         Com      177900107            1          500 Shs  Def   2          500
City Investing Liquidating       Com      177900107            1          588 Shs  Def  12                       588
City National Corp.              Com      178566105        1,758       33,425 Shs  Def   7       33,425
City National Corp               Com      178566105           46          880 Shs  Def  12                       880
Claires Stores Inc (Fla)         Com      179584107           25        1,300 Shs  Def  12                     1,300
Clarcor Inc.                     Com      179895107           40        1,248 Shs  Def   2        1,248
Clarcor Inc                      Com      179895107        1,081       33,766 Shs  Def  12                    33,766
Clare Inc                        Com      18002R100            2          500 Shs  Def  12                       500
Clark (Dick) Productions Inc     Com      181512104            3          200 Shs  Def  12                       200
Clarus Corp.                     Com      182707109            8        2,200 Shs  Def   2        2,200
Clarus Corp Del                  Com      182707109            2          400 Shs  Def  12                       400
Clayton Homes Inc.               Com      184190106          183       10,900 Shs  Def   2       10,900
Clayton Homes Inc                Com      184190106       16,690    1,000,778 Shs  Def   6      987,083        1,060        12,635
Clayton Homes Inc                Com      184190106          112        6,657 Shs  Def  12                     6,657
Clean Harbors Inc                Com      184496107           47        4,000 Shs  Def   3        4,000
Clear Channel                    Com      184502102           14          277 Shs  Def   2          277
Clear Channel Communications  ComCom      184502102          165        3,200 Shs  Def   3        3,200
Clear Channel Communication      Com      184502102           17          325 Shs  Def   6          325
Clear Channel Communications     Com      184502102          347        6,758 Shs  Def  12                     6,758
Clear Channel Communictions      Com      184502102           25          300 Shs  Def  15          300
Clearone Communications Inc      Com      185060100           16        1,000 Shs  Def  12                     1,000
Cleveland Cliffs Inc             Com      185896107           40        1,800 Shs  Def  12                     1,800
Cleveland Elec Illum Co-$7.40    Pfd      186108205           10          100 Shs  Def  12                       100
Cleveland Elec Illum Co-Adj      Pfd      186108502           10          100 Shs  Def  12                       100
Clorox Co.                       Com      189054109           76        1,750 Shs  Def   2        1,750
Clorox Company                   Com      189054109            9          200 Shs  Def   4          200
Clorox Co Com                    Com      189054109          275        6,300 Shs  Def   5        6,100                        200
Clorox Co De                     Com      189054109            7          165 Shs  Def   6          165
Clorox Co.                       Com      189054109          426        9,806 Shs  Def   9                                   9,806
Clorox Co                        Com      189054109        1,718       39,382 Shs  Def  12                    39,382
Closure Medical Corp             Com      189093107           24        1,200 Shs  Def  12                     1,200
***Clublink Corp                 Com      18947K202            2          500 Shs  Def  12                       500
Coach Inc                        Com      189754104           34          667 Shs  Def  12                       667
Coachmen Industries Inc          Com      189873102            3          200 Shs  Def  12                       200
Rts Coast Federal Litigation     Rts      19034Q110            1        2,700 Shs  Def  12                     2,700
Coastal Banc Ssb-Pfd Ser A       Pfd      190415208            5          200 Shs  Def  12                       200
Coastal Bancorp Inc              Com      19041P105        2,740       79,200 Shs  Def   6       77,200                      2,000
Coastal Bancorp Inc              Pfd      19041P303          111        4,450 Shs  Def  12                     4,450
Coastal Finance I-8.375%         Pfd      190463208           88        3,500 Shs  Def  12                     3,500
Cobalt Corp.                     Com      19074W100          521       58,200 Shs  Def                        58,200
Cobiz Inc                        Com      190897108        1,918      119,500 Shs  Def   7      119,500
Cobra Electrs Corp               Com      191042100          776      102,900 Shs  Def   6      100,000                      2,900
Coca Cola Bottling Co Cons       Com      191098102           15          300 Shs  Def  12                       300
Coca Cola Co.                    Com      191216100        1,933       36,980 Shs  Def   1       14,880                     22,100
Coca Cola Co.                    Com      191216100       10,572      202,290 Shs  Def   2      202,290
Coca Cola Co  Com                Com      191216100       39,557      756,933 Shs  Def   3      725,033                     31,900
Coca Cola                        Com      191216100        1,187       22,720 Shs  Def   4       22,720
Coca Cola Co Com                 Com      191216100        1,257       24,053 Shs  Def   5       21,388                      2,665
-Cola Co                         Com      191216100            2           32 Shs  Def   6                                      32
Coca Cola Co.                    Com      191216100          225        4,300 Shs  Def   7        4,300
Coca Cola Co.                    Com      191216100          309        5,902 Shs  Def   9                                   5,902
Coca Cola Co                     Com      191216100          739       14,145 Shs  Def  11       12,585        1,460           100
Coca Cola Co                     Com      191216100       23,984      458,939 Shs  Def  12                   458,939
Coca Cola Co.                    Com      191216100        3,820       45,870 Shs  Def  15       45,870
Coca Cola Company                Com      191216100          185        3,550 Shs  Def                         3,550
Coca Cola Enterprises In         Com      191219104            3          150 Shs  Def   6          150
Coca Cola Enterprises Inc        Com      191219104          543       28,927 Shs  Def  12                    28,927
Coddle Creek Financial Corp      Com      191891100            9          300 Shs  Def  12                       300
Coeur D Alene Mines Corp         Com      192108108           22       15,000 Shs  Def                        15,000
Cogent Communications Group      Com      19239V104            6        2,000 Shs  Def  12                     2,000
Cognex Corp                      Com      192422103           12          400 Shs  Def  12                       400
Cognitronics Corp                Com      192432102          252       70,100 Shs  Def   6       68,600                      1,500
***Cognos Inc                    Com      19244C109            8          300 Shs  Def  12                       300
Coherent Inc                     Com      192479103           45        1,325 Shs  Def  12                     1,325
Cohen & Steers Quality Income    Com      19247L106          806       53,600 Shs  Def  12                    53,600
Cohen & Steers Total Return      Cl End Fd19247R103          395       26,497 Shs  Def  12                    26,497
Cohen & Steers Advantage         Com      19247W102        1,599      103,564 Shs  Def  12                   103,564
Cohu Inc                         Com      192576106           13          450 Shs  Def  12                       450
Coinstar Inc                     Com      19259P300           17          500 Shs  Def   2          500
Coinstar Inc                     Com      19259P300           71        2,100 Shs  Def  12                     2,100
Cold Metal Products Inc          Com      192861102            1        1,000 Shs  Def  12                     1,000
Cole National Corp New-Cl A      Com      193290103           17          900 Shs  Def  12                       900
Cole Kenneth Prodtns Inc         Com      193294105        2,928      145,900 Shs  Def   6      141,200                      4,700
Colgate-Palmolive Co.            Com      194162103       21,736      380,325 Shs  Def   1      107,350                    272,975
Colgate-Palmolive Co.            Com      194162103        6,733      117,821 Shs  Def   2      115,796                      2,025
Colgate Palmolive Co  Com        Com      194162103       12,168      212,908 Shs  Def   3      204,808                      8,100
Colgate Palmolive                Com      194162103           59        1,036 Shs  Def   4        1,036
Colgate Palmolive Co Com         Com      194162103          460        8,050 Shs  Def   5        8,050
Colgate-Palmolive Co.            Com      194162103        8,441      147,700 Shs  Def   7      147,700
Colgate Palmolive Co             Com      194162103        1,676       29,318 Shs  Def  11       23,085        5,679           304
Colgate Palmolive Co             Com      194162103        6,382      111,667 Shs  Def  12                   111,667
Colgate Palmolive                Com      194162103          118        1,300 Shs  Def  15        1,300
Collagenex Pharmaceuticals Inc   Com      19419B100            6          500 Shs  Def  12                       500
Collins Inds Inc                 Com      194858106          303       75,800 Shs  Def   6       73,800                      2,000
Colonial Bancgroup Inc           Com      195493309        3,714      248,930 Shs  Def   6      248,930
Colonial Bancgroup Inc           Com      195493309           42        2,800 Shs  Def  12                     2,800
Colonial Cap Trust Iii           Pfd      19560P205          125        5,000 Shs  Def  12                     5,000
Colonial High Income Municipal   Cl End Fd195743109           38        5,897 Shs  Def  12                     5,897
Colonial Intermarket Income      Cl End Fd195762109           48        5,700 Shs  Def  12                     5,700
Colonial Intermediate High       Cl End Fd195763107          100       27,500 Shs  Def  12                    27,500
Colonial Investment Grade        Cl End Fd195768106           56        5,600 Shs  Def  12                     5,600
Colonial Municipal Income        Cl End Fd195799101           26        4,696 Shs  Def  12                     4,696
Colonial Properties Trust        Com      195872106          131        3,800 Shs  Def   3        3,800
Colonial Properties T            Com      195872106        2,507       72,712 Shs  Def   6       65,847          150         6,715
Colonial Properties Trust        Com      195872106          337        9,800 Shs  Def   9                                   9,800
Colonial Properties Trust        Com      195872106          656       19,040 Shs  Def  12                    19,040
Colonial Properties Trust        Pfd      195872205          112        4,482 Shs  Def  12                     4,482
Colonial Properties Tr 9.25%     Pfd      195872304          116        4,500 Shs  Def  12                     4,500
Colorado Medtech Inc             Com      19652U104            1          250 Shs  Def  12                       250
Columbia Bancorp                 Com      197227101        1,997      114,100 Shs  Def   7      114,100
Columbia Bancorp-Md              Com      197227101        1,293       73,870 Shs  Def  12                    73,870
Columbia Bancorp Ore             Com      197231103          112       10,000 Shs  Def   6       10,000
Columbia Bkg Sys Inc             Com      197236102        1,510      113,500 Shs  Def   6      111,500                      2,000
Columbia Laboratories Inc        Com      197779101           29        5,850 Shs  Def  12                     5,850
Columbus Mckinnon Corp N         Com      199333105        1,233       96,300 Shs  Def   6       87,400                      8,900
Columbus Southern Power Co       Com      199575812           61        2,400 Shs  Def  12                     2,400
Comfort Sys Usa Inc              Com      199908104        1,122      271,700 Shs  Def   6      264,400                      7,300
Comfort Systems Usa Inc          Com      199908104           46       11,100 Shs  Def  12                    11,100
Comcast Corp. Class A            Com      200300101           77        2,300 Shs  Def   2        2,300
Comcast Corp-Cl A                Com      200300101          263        7,875 Shs  Def  12                     7,875
Comcast Corp. Cl A Spl           CL A     200300200          509       16,000 Shs  Def   1       16,000
Comcast Corp. Class A            Com      200300200          182        5,724 Shs  Def   2        5,724
Comcast Corp Special Cl A        Com      200300200        3,605      113,350 Shs  Def   3      108,950                      4,400
Comcast Corp Special Cl A        CL A     200300200           23          730 Shs  Def   4          730
Comcast Spl A                    Com      200300200            3          114 Shs  Def   6          114
Comcast Corp. Class A Special    Com      200300200        2,875       90,415 Shs  Def   7       90,415
Comcast Corp-Special Cl A        Com      200300200        6,651      209,148 Shs  Def  12                   209,148
Comcast Corp.                    CL A     200300200          106        2,100 Shs  Def  15        2,100
Comed Financing I-8.48% Trust    Pfd      20033V209          345       13,775 Shs  Def  12                    13,775
Comerica Inc.                    Com      200340107          154        2,458 Shs  Def   2        2,458
Comerica Inc                     Com      200340107        4,564       72,950 Shs  Def   6       63,850                      9,100
Comerica Inc.                    Com      200340107          751       12,000 Shs  Def   7       12,000
Comerica Inc                     Com      200340107          164        2,623 Shs  Def  12                     2,623
Comerica Cp Tr I                 Pfd      20034Y202          167        6,750 Shs  Def  12                     6,750
Commerce Bancshares Inc.         Com      200525103        6,244      141,214 Shs  Def   7      141,214
Commerce Bancshares Inc          Com      200525103           33          750 Shs  Def  12                       750
Commerce Group Inc Mass          Com      200641108       25,612      661,800 Shs  Def   6      645,400                     16,400
Commerce Group Inc-Mass          Com      200641108            6          150 Shs  Def  12                       150
Commerce One Inc                 Com      200693109           68       43,342 Shs  Def  12                    43,342
Commercefirst Bancorp Inc        Com      200845105           23        2,500 Shs  Def  12                     2,500
Commercial Federal Corporation CoComasd   201647104       14,477      538,180 Shs  Def   3      491,480                     46,700
Commercial Federal Co            Com      201647104       21,326      792,807 Shs  Def   6      774,702          610        17,495
Commercial Federal Corp          Com      201647104            4          150 Shs  Def  12                       150
Commercial Metals Co             Com      201723103        9,870      235,000 Shs  Def   6      227,300                      7,700
Commercial Net Lease             Com      202218103            8          600 Shs  Def   2          600
Commercial Net Lease Realty      Com      202218103        2,183      156,340 Shs  Def  12                   156,340
Commercial Net Lease Rlty Inc    Pfd      202218111          185        7,537 Shs  Def  12                     7,537
Commonwealth Federal Savings B   CL B     20268X102           26        1,038 Shs  Def   4        1,038
Commonwealth Bancorp Inc         Com      20268X102           94        3,800 Shs  Def   6        3,800
Commonwealth Tel                 Com      203349105       13,979      365,461 Shs  Def   4      365,461
Commonwealth Telephone           Com      203349105        1,668       43,595 Shs  Def  12                    43,595
Commonwealth Telephone           Com      203349105          241        6,300 Shs  Def   3        6,300
Commonwealth Telephone           Com      203349204           22          512 Shs  Def   4          512
Commscope Inc                    Com      203372107        1,089       62,565 Shs  Def  12                    62,565
Communication Intelligence       Com      20338K106            8        7,350 Shs  Def  12                     7,350
Community Bank Of Northern       Com      203566104           18        1,614 Shs  Def  12                     1,614
Community Bk Sys Inc             Com      203607106       12,771      424,380 Shs  Def   6      413,915          620         9,845
Community Banks Inc              Com      203628102           20          716 Shs  Def  12                       716
Community Capital Corp-S.C.      Com      20363C102            6          500 Shs  Def  12                       500
Community First                  Com      20366D107           14        1,250 Shs  Def  12                     1,250
Community Investors Bancorp      Com      203719109          351       33,750 Shs  Def  12                    33,750
Compare Generiks Inc             Com      203904107            1        1,925 Shs  Def  12                     1,925
Community Tr Bancorp Inc         Com      204149108        2,056       80,200 Shs  Def   6       79,800                        400
Companahia Vale Do Rio Doce      ADR      204412100           55        2,000 Shs  Def                         2,000
Cia Vale Do Rio Doce-Adr Wi      ADR      204412209        4,656      170,000 Shs  Def   3      170,000
Comp Paranaense Energ            ADR      20441B407        8,986    1,152,000 Shs  Def   3    1,152,000
Compaq Computer Corp.            Com      204493100           26        2,472 Shs  Def   2        2,472
Compaq Computer Corp Com         Com      204493100          428       40,950 Shs  Def   5       39,550                      1,400
Compaq Computer Corp             Com      204493100        2,444      233,900 Shs  Def   6      233,900
Compaq Computer Corp.            Com      204493100          339       32,580 Shs  Def   9                                  32,580
Compaq Computer Corp             Com      204493100        3,951      378,065 Shs  Def  12                   378,065
Compaq Computer Corp.            Com      204493100          243       19,800 Shs  Def  15       19,800
Compaq Computer Corp  Com        Com      204493100        4,916      470,400 Shs  Def   3      453,600                     16,800
Compass Bancshares Inc           Com      20449H109            8          270 Shs  Def   6          270
Compass Bancshares Inc           Com      20449H109        1,489       48,248 Shs  Def  12                    48,248
Compass Capital Iii 7.35%        Pfd      20450A209          119        4,750 Shs  Def  12                     4,750
Complete Business Solutions      Com      20452F107           38        5,000 Shs  Def                         5,000
Compucom Sys Inc                 Com      204780100        1,827      565,500 Shs  Def   6      543,800                     21,700
Compucom Systems Inc             Com      204780100            1          300 Shs  Def  12                       300
Compucredit Corp                 Com      20478N100        3,239      566,190 Shs  Def   6      559,690                      6,500
Computer Associates Intl Inc     Com      204912109          819       37,437 Shs  Def   4       37,437
Computer Assoc Intl I            Com      204912109       22,525    1,029,836 Shs  Def   6      938,550                     91,286
Computer Associates Intl Inc     Com      204912109            8          350 Shs  Def   7          350
Computer Associates Intl Inc     Com      204912109        3,835      175,213 Shs  Def  12                   175,213
Computer Associates Intl Inc.    Com      204912109           35        1,000 Shs  Def  15        1,000
Computer Assoc Intl Inc  Com     Com      204912109        5,907      269,836 Shs  Def   3      262,936                      6,900
Computer Network Technology      Com      204925101            1          100 Shs  Def  12                       100
Computer Sciences Corp.          Com      205363104       27,678      545,372 Shs  Def   1      161,364                    384,008
Computer Sciences Corp           Com      205363104          310        6,100 Shs  Def   5        4,768                      1,332
Computer Sciences Cp             Com      205363104            5           93 Shs  Def   6           93
Computer Sciences Corp           Com      205363104        1,123       22,127 Shs  Def  12                    22,127
Computer Sciences Corp.          Com      205363104        5,257       65,000 Shs  Def  15       65,000
Computone Corp New               Com      20562D208           91      125,922 Shs  Def  12                   125,922
Compuware Corp                   Com      205638109          264       20,450 Shs  Def  12                    20,450
Compuware Corp.                  Com      205638109          144        7,000 Shs  Def  15        7,000
Compuware Corp                   Com      205638109       35,925    2,782,700 Shs  Def   3    2,699,900                     82,800
Compx International Inc          Com      20563P101        1,183       95,000 Shs  Def   6       92,600                      2,400
Comstock Res Inc                 Com      205768203        3,177      415,800 Shs  Def   6      400,800                     15,000
Comstock Resources Inc New       Com      205768203            8        1,000 Shs  Def  12                     1,000
Comverse Technology Inc          Com      205862402            5          380 Shs  Def   6          380
Comverse Technology Inc.         Com      205862402       58,795    4,640,528 Shs  Def   8                 4,640,528
Comverse Technology Inc.         Com      205862402      106,934    8,439,900 Shs  Def  10    8,439,900
Comverse Technology Inc New      Com      205862402        1,379      108,828 Shs  Def  12                   108,828
Comverse Technology Inc.         Com      205862402           24        1,200 Shs  Def  15        1,200
Conagra Inc.                     Com      205887102          334       13,793 Shs  Def   2       13,793
Conagra Foods Inc                Com      205887102        1,206       49,725 Shs  Def   5       41,325                      8,400
Conagra Inc                      Com      205887102        7,850      322,486 Shs  Def   6      293,996                     28,490
Conagra Inc.                     Com      205887102          146        6,000 Shs  Def   7        6,000
Conagra Inc.                     Com      205887102          905       37,385 Shs  Def   9                                  37,385
Conagra Foods Inc                Com      205887102        2,153       88,796 Shs  Def  12                    88,796
Conagra Inc.                     Com      205887102        4,100      106,100 Shs  Def  15      106,100
Conagra Capital Lc-Adj Rate      Pfd      20588V307           72        3,400 Shs  Def  12                     3,400
Concord Camera Corp              Com      206156101            9        1,000 Shs  Def  12                     1,000
Concord Efs Inc.                 Com      206197105            7          200 Shs  Def   2          200
Concord Efs Inc.                 Com      206197105       14,335      431,125 Shs  Def   7      431,125
Concord Efs Inc                  Com      206197105          803       24,141 Shs  Def  12                    24,141
Concorde Career Colleges Inc     Com      20651H201           23        3,000 Shs  Def  12                     3,000
Concur Technologies Inc          Com      206708109            3        1,000 Shs  Def  12                     1,000
Concurrent Computer Corp New     Com      206710204            1          100 Shs  Def  12                       100
Conectiv Inc.                    Com      206829103           44        1,750 Shs  Def   2        1,750
Conectiv Inc                     Com      206829103          265       10,628 Shs  Def  12                    10,628
Conectiv Inc.- Cl A              Com      206829202            6          275 Shs  Def   2          275
Conectiv Inc-Cl A                Com      206829202           13          586 Shs  Def  12                       586
Conestoga Enterprises Inc        Com      207015108           18          600 Shs  Def  12                       600
Conexant Systems Inc.            Com      207142100           15        1,224 Shs  Def   2        1,224
Conexant Sys Inc Com             Com      207142100          169       14,000 Shs  Def   5       14,000
Conexant Systems Inc             Com      207142100          212       17,633 Shs  Def  12                    17,633
Conmed Corp                      Com      207410101        2,265       90,605 Shs  Def   3       88,505                      2,100
Connecticut Light & Power Co     Pfd      207597303           49        1,900 Shs  Def  12                     1,900
Connecticut Light & Power Co     Pfd      207597501           37        1,400 Shs  Def  12                     1,400
Connecticut Light & Power Co     Pfd      207597600           37        1,300 Shs  Def  12                     1,300
Connecticut Light & Power Co     Pfd      207597709           12          291 Shs  Def  12                       291
Connecticut Water Service Inc    Com      207797101           12          450 Shs  Def  12                       450
Conoco Inc                       Com      208251405          318       10,784 Shs  Def   9                                  10,784
Conoco Inc                       Com      208251504           93        3,180 Shs  Def   2        3,180
Conoco                           Com      208251504           12          400 Shs  Def   4          400
Conoco Inc                       Com      208251504          672       23,035 Shs  Def   5       14,735                      8,300
Conoco Inc Com                   Com      208251504       27,758      950,094 Shs  Def   6      918,801                     31,293
Conoco Inc                       Com      208251504          754       25,840 Shs  Def  12                    25,840
Conolog Corp                     Com      208254706            2        3,600 Shs  Def  12                     3,600
Conseco                          Com      208464107            6        1,600 Shs  Def   4        1,600
Conseco Co Inc                   Com      208464107           65       17,876 Shs  Def   5        8,700                      9,176
Conseco Inc                      Com      208464107           91       25,000 Shs  Def  11       25,000
Conseco Inc                      Com      208464107          121       33,476 Shs  Def  12                    33,476
Conseco Inc.                     Com      208464107       54,300   15,000,000 Shs  Def  14   15,000,000
Conseco Financing Trust Vii      Pfd      20846D206           76        8,400 Shs  Def  12                     8,400
Conseco Financing Tr I-9.16%     Pfd      20846F201            3          400 Shs  Def  12                       400
Conseco Fin Tr Vi 9.00%          Pfd      20846M206           17        2,000 Shs  Def  12                     2,000
Conseco Strategic Income Fd      Cl End Fd20847A102           53        5,883 Shs  Def  12                     5,883
Conseco Financing Trust V        Pfd      20847D205            5          600 Shs  Def  12                       600
Consol Energy Inc                Com      20854P109           24          900 Shs  Def  12                       900
Consolidated Capital Instl       Com      208924100           92          218 Shs  Def  12                       218
Consolidated Capital Instl       Com      208924209            5          479 Shs  Def  12                       479
Consolidated Edison Co N Y       PFD      209111301           15          200 Shs  Def   2          200
Consolidated Edison Co Of Ny     Pfd      209111707          815       10,730 Shs  Def  12                    10,730
Consolidated Edison Co Of Ny     Pfd      209111814           10          400 Shs  Def  12                       400
Consolidated Edison Co Of Ny     Pfd      209111830           13          534 Shs  Def  12                       534
Consolidated Edison Co Of Ny     Pfd      209111848           82        3,300 Shs  Def  12                     3,300
Consolidated Edison Inc.         Com      209115104           33          777 Shs  Def   2          777
Consolildated Edison Inc Com     Com      209115104        1,004       23,950 Shs  Def   5       16,550                      7,400
Consolidated Edison Inc          Com      209115104           23          550 Shs  Def   6          550
Consolidated Edison Inc.         Com      209115104          534       12,750 Shs  Def   7       12,750
Consolidated Edison Inc          Com      209115104          608       14,512 Shs  Def  12                    14,512
Consolidated Freightways Corp    Com      209232107            5        1,000 Shs  Def  12                     1,000
Consolidated Graphics In         Com      209341106        4,030      202,500 Shs  Def   6      194,300                      8,200
Consolidated Graphics Inc-Tex    Com      209341106           10          500 Shs  Def  12                       500
Consolidated Graphics Inc Com    Com      209341106          175        8,800 Shs  Def   3        8,800
Constellation Brands Inc         Com      21036P108          332        6,040 Shs  Def  12                     6,040
Constellation Energy Group       Com      210371100           23          750 Shs  Def   2          750
Constellation Energy             Com      210371100        2,537       81,638 Shs  Def   6       77,590                      4,048
Constellation Energy Group       Com      210371100          154        4,950 Shs  Def   9                                   4,950
Constellation Energy Group Inc   Com      210371100        6,940      224,970 Shs  Def  12                   224,970
Consumer Portfolio Services      Com      210502100           11        6,000 Shs  Def  12                     6,000
Consumers Energy Co-$4.50 Cum    Pfd      210518304           60        1,003 Shs  Def  12                     1,003
Consumers Energy Co Fins         PFD      21051Q205            5          200 Shs  Def   2          200
Consumers Financial Corp         Pfd      210520300           30        8,950 Shs  Def  12                     8,950
Consumers Energy Co Financing    Pfd      21052A209           37        1,500 Shs  Def  12                     1,500
Continental Airlines Inc-Cl B    Com      210795308           38        1,330 Shs  Def  12                     1,330
Convera Corp                     Com      211919105            5        1,500 Shs  Def  12                     1,500
Contour Energy Co                Com      21220C103            1        2,009 Shs  Def  12                     2,009
Convergys Corp                   Com      212485106       29,630    1,002,022 Shs  Def   2      985,722                     16,300
Convergys Corp                   Com      212485106          231        7,820 Shs  Def  11        7,200          400
Convergys Corp                   Com      212485106          728       24,613 Shs  Def  12                    24,613
Cooper Cameron Corp Com          Com      216640102          383        7,500 Shs  Def   5        7,500
Cooper Cos Inc  Com New          Com      216648402            9          200 Shs  Def  12                       200
Cooper Cos Inc  Com New          Com      216648402        2,699       56,940 Shs  Def   3       54,140                      2,800
Cooper Industries                Com      216669101          143        3,400 Shs  Def   2        2,400                      1,000
Cooper Industries Inc Com        Com      216669101          214        5,100 Shs  Def   5        3,600                      1,500
Cooper Inds Inc Com              Com      216669101       11,807      282,343 Shs  Def   6      252,493                     29,850
Cooper Industries Inc            Com      216669101        1,094       26,075 Shs  Def  12                    26,075
Cooper Tire & Rubr Co            Com      216831107       19,593      905,000 Shs  Def   6      879,400                     25,600
Cooper Tire & Rubber Co          Com      216831107          426       19,695 Shs  Def  12                    19,695
Cooperative Bankshares Inc       Com      216844100            7          600 Shs  Def  12                       600
Adolph Coors Co-Cl B             Com      217016104            3           50 Shs  Def  12                        50
Adolph Coors Co-Cl B             CL B     217016104          269        2,500 Shs  Def  15        2,500
Adolph Coors Co-Cl B             Com      217016104       19,993      296,320 Shs  Def   3      286,620                      9,700
Copart Inc                       Com      217204106           33        1,849 Shs  Def  12                     1,849
Copper Mtn Networks Inc          Com      217510106            8        8,400 Shs  Def  12                     8,400
Copytele Inc                     Com      217721109            2        4,500 Shs  Def  12                     4,500
Cordiant Communicatio            Com      218514206        5,951      843,849 Shs  Def   6      731,879                    111,970
***Corel Corp                    Com      21868Q109           11        7,955 Shs  Def  12                     7,955
Corinthian Colleges Inc          Com      218868107          104        2,050 Shs  Def  12                     2,050
Corixa Corp                      Com      21887F100           22        3,502 Shs  Def  12                     3,502
Cornerstone Bancorp Inc.         Com      218925105          151        8,533 Shs  Def   9                                   8,533
Corn Products International      Com      219023108           73        2,276 Shs  Def   2        2,276
Corn Products International      Com      219023108          352       10,940 Shs  Def  12                    10,940
Cornell Companies Inc            Com      219141108        1,644      152,200 Shs  Def   6      147,500                      4,700
Cornerstone Strategic Return     Com      21923Y105            1          133 Shs  Def  12                       133
Cornerstone Strategic Value Fd   Cl End Fd21924B104            6          800 Shs  Def  12                       800
Corning, Inc.                    Com      219350105           87       11,400 Shs  Def   1                                  11,400
Corning Incorporated             Com      219350105          671       88,007 Shs  Def   2       88,007
Corning Inc                      Com      219350105          185       24,310 Shs  Def   5       23,010                      1,300
Corning Inc                      Com      219350105       13,550    1,784,934 Shs  Def   6    1,659,684                    125,250
Corning Incorporated             Com      219350105       37,386    4,906,361 Shs  Def   8                 4,906,361
Corning                          Com      219350105            6          850 Shs  Def   9                       850
Corning Incorporated             Com      219350105       72,415    9,503,340 Shs  Def  10    9,503,340
Corning Inc                      Com      219350105        4,548      596,798 Shs  Def  12                   596,798
Corning Inc.                     Com      219350105            8          700 Shs  Def  15          700
Corning Inc                      Com      219350105           38        5,000 Shs  Def                         5,000
Corp Backed Tr Ctfs              Pfd      21988G601           25        1,000 Shs  Def  12                     1,000
Corporate Bkd Tr Ctfs Toys R     Com      21988G619          164       19,000 Shs  Def  12                    19,000
Cbtc Royal Caribbean Cruises     Pfd      21988G650           24        1,000 Shs  Def  12                     1,000
Corp Bkd Tr Ctfs Ser 2001-25     Pfd      21988G676           39        1,600 Shs  Def  12                     1,600
Corporate Bkd Tr Ctfs            Pfd      21988G718           20          800 Shs  Def  12                       800
Corp Backed Tr Ctfs              Pfd      21988G742           38        1,600 Shs  Def  12                     1,600
Corp Backed Trust Ctfs           Pfd      21988G759           98        4,000 Shs  Def  12                     4,000
Corp Backed Trust Ctfs Wcom      Pfd      21988G775           39        1,900 Shs  Def  12                     1,900
Corp Backed Tr Ctfs              Pfd      21988G783          250       10,100 Shs  Def  12                    10,100
Corp Backed Tr Ctfs              Pfd      21988G809           13          500 Shs  Def  12                       500
Corp Backed Tr Ctfs              Pfd      21988G841           25        1,000 Shs  Def  12                     1,000
Corporate Executive Board Co     Com      21988R102            2           45 Shs  Def  12                        45
Corporate High Yield Fund Inc    Cl End Fd219914108            9        1,023 Shs  Def  12                     1,023
Correctional Svcs Corp           Com      219921103          258      126,500 Shs  Def   6      122,700                      3,800
Corporate Office Properties      Com      22002T108          891       67,980 Shs  Def  12                    67,980
Corporate Office Pptys Tr        Pfd      22002T207           47        1,790 Shs  Def  12                     1,790
Corporate Office Pptys Tr        Pfd      22002T306          215        8,150 Shs  Def  12                     8,150
Corporate Office Properties      Pfd      22002T405           34        1,300 Shs  Def  12                     1,300
Correctional Pptys Trust         Com      22025E104           81        4,300 Shs  Def   3        4,300
Corrections Corp America         Com      22025Y407            2          164 Shs  Def  12                       164
Corrections Corp Of America      Com      22025Y407          411       31,600 Shs  Def   3       27,100                      4,500
Cortex Pharmaceuticals Inc       Com      220524300           13        5,000 Shs  Def  12                     5,000
Corp Backed Tr Ctfs              Pfd      22080Q208           49        2,000 Shs  Def  12                     2,000
Corts Trust For Afc Cap Trust    Pfd      22081N204           62        2,500 Shs  Def  12                     2,500
Corus Bankshares Inc             Com      220873103       21,515      452,044 Shs  Def   6      440,949          420        10,675
Corvis Corp                      Com      221009103           22       17,560 Shs  Def  12                    17,560
Cost Plus Inc/California         Com      221485105          230        8,400 Shs  Def   5        8,400
Costco Whsl Corp New             Com      22160K105           63        1,570 Shs  Def   2        1,570
Costco Wholesale Corporation     Com      22160K105        1,870       46,950 Shs  Def   5       46,950
Costco Wholesale Corp            Com      22160K105           16          407 Shs  Def   6          407
Costco Whsl Corp New             Com      22160K105        4,573      114,850 Shs  Def   7      114,850
Costco Wholesale Corp-New        Com      22160K105          707       17,747 Shs  Def  12                    17,747
Costco Wholesale Corp.           Com      22160K105           73        1,150 Shs  Def  15        1,150
Corporation Cott                 Com      22163N106        1,282       67,878 Shs  Def  12                    67,878
Cott Corp.                       Com      22163N106       69,598    3,684,400 Shs  Def  14    3,684,400
Cotton Sts Life Ins Co           Com      221774102          499       50,937 Shs  Def   6       48,337                      2,600
County First Bank La Plata Md    Com      22235A108           57        3,967 Shs  Def  12                     3,967
Countrywide Credit In            Com      222372104       17,652      394,450 Shs  Def   6      355,690                     38,760
Countrywide Credit Industries    Com      222372104          671       15,000 Shs  Def   7       15,000
Countrywide Credit Inds Inc      Com      222372104          388        8,660 Shs  Def  12                     8,660
Countrywide Credit Industries    Com      222372104          193        2,700 Shs  Def  15        2,700
Countrywide Credit Ind           Com      222372104       26,465      591,400 Shs  Def   3      570,100                     21,300
Courier Corp                     Com      222660102        1,453       36,825 Shs  Def   6       35,700                      1,125
Courier Corp                     Com      222660102           10          250 Shs  Def  12                       250
Covad Communications Group       Com      222814204           28       12,240 Shs  Def  12                    12,240
Covalent Group Inc               Com      222815102            3          600 Shs  Def  12                       600
Covance Inc                      Com      222816100           33        1,625 Shs  Def  12                     1,625
Covance Inc                      Com      222816100           71        3,500 Shs  Def   3                                   3,500
Covansys Corp                    Com      22281W103          509       67,880 Shs  Def  12                    67,880
Coventry Health Care Inc         Com      222862104          319       12,265 Shs  Def  12                    12,265
Coventry Health Care             Com      222862104       10,550      405,785 Shs  Def   3      387,085                     18,700
Cox Communications Inc. Cl       Com      224044107            8          200 Shs  Def   2          200
Cox Communications Inc. Cl A     Com      224044107        1,105       29,350 Shs  Def   7       29,350
Cox Communications Inc New       Com      224044107          640       16,998 Shs  Def  12                    16,998
***Cp Ships Limited              Com      22409V102            8          643 Shs  Def  12                       643
Crane Co                         Com      224399105       12,411      455,260 Shs  Def   6      446,980          645         7,635
Crane Co                         Com      224399105           41        1,500 Shs  Def  12                     1,500
Crane Co  Com                    Com      224399105        6,247      228,500 Shs  Def   3      225,600                      2,900
Credit Suisse Asset Mgmt         Cl End Fd224916106           25        4,445 Shs  Def  12                     4,445
Credence Systems Corp            Com      225302108           48        2,200 Shs  Def  12                     2,200
Credit Accep Corp Mich           Com      225310101          162       15,000 Shs  Def   6       15,000
Credit Acceptance Corp-Mich      Com      225310101            2          200 Shs  Def  12                       200
Credit Suisse Group - Spon       ADR      225401108           45        1,200 Shs  Def   2        1,200
Credit Suisse Group A            Com      225401108        2,415       63,905 Shs  Def   6       58,065                      5,840
Cree Inc                         Com      225447101           60        4,432 Shs  Def  12                     4,432
Credit Suisse High Yield Bd Fd   Cl End Fd22544F103           23        4,000 Shs  Def  12                     4,000
Crescent Real Estate Equities    Com      225756105           14          725 Shs  Def  12                       725
Crestline Capital Corp           Com      226153104           15          458 Shs  Def  12                       458
Criimi Mae Inc-10.875% Cum       Pfd      226603207            8          600 Shs  Def  12                       600
Criimi Mae Inc                   Pfd      226603405            1          195 Shs  Def  12                       195
Criimi Mae Inc                   Com      226603504            8        2,162 Shs  Def  12                     2,162
Crompton Corporation             Com      227116100          240       19,400 Shs  Def   3        7,500                     11,900
A T Cross Co-Cl A                Com      227478104           18        2,550 Shs  Def  12                     2,550
Cross County Inc                 Com      22748P105          297       11,000 Shs  Def   5       11,000
Cross Country Inc.               Com      22748P105           73        2,700 Shs  Def                         2,700
Cross Timbers Royalty Trust      Com      22757R109           19        1,000 Shs  Def  12                     1,000
Crossmann Cmntys Inc             Com      22764E109        6,875      152,000 Shs  Def   6      148,100                      3,900
Crossman Communities Inc         Com      22764E109          656       14,500 Shs  Def   3       14,500
Crosswalk.Com Inc                Com      227685104            1          800 Shs  Def  12                       800
Crown American Realty Trust      Com      228186102           19        2,000 Shs  Def  12                     2,000
Crown Amer Realty Trust          Com      228186102        2,432      249,720 Shs  Def   3      232,370                     17,350
Crown Castle Intl Corp           Com      228227104          728      110,192 Shs  Def  12                   110,192
Crown Castle Intl Corp           Pfd      228227401           27        1,350 Shs  Def  12                     1,350
Crown Cork & Seal Co Inc.        Com      228255105            2          200 Shs  Def   2          200
Crown Cork & Seal Inc            Com      228255105          652       72,885 Shs  Def   6       49,105                     23,780
Crown Cork & Seal Co Inc         Com      228255105           51        5,751 Shs  Def  12                     5,751
Crown Media Hldgs Inc            Com      228411104          131       10,525 Shs  Def  12                    10,525
Crown Pacific Partners Lp        Com      228439105            8        1,200 Shs  Def  12                     1,200
Cryolife, Inc.                   Com      228903100           42        2,000 Shs  Def   2        2,000
Cryolife Inc                     Com      228903100            8          400 Shs  Def  12                       400
Cryptologic Inc                  Com      228906103          242       16,480 Shs  Def   3       14,380                      2,100
***Crystallex International      Com      22942F101           30       15,000 Shs  Def  12                    15,000
Cubic Corp                       Com      229669106            7          100 Shs  Def  12                       100
Cubist Pharmaceuticals Inc       Com      229678107           31        1,700 Shs  Def  12                     1,700
Cullen Frost Bankers Inc.        Com      229899109        2,497       69,625 Shs  Def   7       69,625
Cullen Frost Bankers Inc         Com      229899109          927       25,853 Shs  Def  12                    25,853
Cummins Inc                      Com      231021106        4,419       93,560 Shs  Def   6       93,560
Cummins Inc                      Com      231021106          697       14,750 Shs  Def  12                    14,750
Curative Health Services Inc     Com      231264102            1           75 Shs  Def  12                        75
Curative Health Svcs Inc Com     Com      231264102          307       28,800 Shs  Def   3       28,800
Curagen Corp                     Com      23126R101           26        1,645 Shs  Def  12                     1,645
Curon Medical Inc                Com      231292103            4        1,000 Shs  Def  12                     1,000
Curtiss Wright Corp              Com      231561101           20          300 Shs  Def   6          300
Curtiss Wright Corp  Com         Com      231561101        1,995       30,000 Shs  Def   3       26,950                      3,050
Curtiss Wright Corp              Com      231561408           18          278 Shs  Def  12                       278
Cyberguard Corp                  Com      231910100          291       67,000 Shs  Def  12                    67,000
Cutter & Buck Inc                Com      232217109           11        1,500 Shs  Def  12                     1,500
Cybersource Corp Del             Com      23251J106          177       82,190 Shs  Def  12                    82,190
Cyberonics Inc                   Com      23251P102            8          500 Shs  Def  12                       500
Cygnus Inc                       Com      232560102            1          182 Shs  Def  12                       182
Cypress Semiconductor            Com      232806109           23        1,000 Shs  Def   4        1,000
Cypress Semiconductor Corp       Com      232806109          131        5,691 Shs  Def  12                     5,691
Cysive Inc                       Com      23281T108            9        3,850 Shs  Def  12                     3,850
Cytec Inds Inc                   Com      232820100       20,577      678,350 Shs  Def   6      655,224          365        22,761
Cytec Industries Inc             Com      232820100           52        1,719 Shs  Def  12                     1,719
Cytogen Corp                     Com      232824102           21        9,910 Shs  Def  12                     9,910
D & E Communications Inc         Com      232860106            2          100 Shs  Def  12                       100
D & K Healthcare Resources Inc   Com      232861104           15          250 Shs  Def  12                       250
Cytyc Corp                       Com      232946103          701       26,022 Shs  Def  12                    26,022
Dbs Group Hldgs Ltd A            Com      23304Y100          296        9,300 Shs  Def   6        5,535                      3,765
Dmc Stratex Networks Inc         Com      23322L106            3          500 Shs  Def  12                       500
Dpl Inc.                         Com      233293109        1,273       49,824 Shs  Def   2       46,324                      3,500
Dpl Inc                          Com      233293109            7          270 Shs  Def   6          270
Dpl Inc.                         Com      233293109        1,543       61,088 Shs  Def   9                                  61,088
Dpl Inc                          Com      233293109          404       15,796 Shs  Def  12                    15,796
Dqe Capital Corp                 Pfd      23329F201          138        5,550 Shs  Def  12                     5,550
Dqe                              Com      23329J104          358       16,803 Shs  Def  12                    16,803
Dqe                              Com      23329J104        4,253      200,000 Shs  Def  13      200,000
D R Horton Inc.                  Com      23331A109           38        1,000 Shs  Def   2        1,000
D R Horton Inc                   Com      23331A109          624       16,557 Shs  Def   6       16,557
D R Horton Inc                   Com      23331A109           51        1,344 Shs  Def  12                     1,344
D R Horton Inc                   Com      23331A109        3,144       83,400 Shs  Def   3       75,200                      8,200
Dst Systems Inc.                 Com      233326107        3,874       77,800 Shs  Def   7       77,800
Dst Systems Inc-Del              Com      233326107          869       17,440 Shs  Def  12                    17,440
Dsp Group Inc                    Com      23332B106           16          800 Shs  Def  12                       800
Dte Energy Company               Com      233331107          183        4,015 Shs  Def   2        4,015
Dte Energy Co                    Com      233331107       10,416      228,920 Shs  Def   6      228,920
Dte Energy Co                    Com      233331107          205        4,499 Shs  Def  12                     4,499
Dte Energy                       Com      233331107       12,058      265,000 Shs  Def  13      265,000
Dte Energy Trust I 7.8% Trust    Pfd      23333Q201           49        2,000 Shs  Def  12                     2,000
Dvi Inc                          Com      233343102        3,917      212,900 Shs  Def   6      205,900                      7,000
Daisytek Intl Corp               Com      234053106        1,674      105,200 Shs  Def   6      102,400                      2,800
Daleen Technologies Inc          Com      23437N104           91      412,716 Shs  Def  12                   412,716
Dana Corp                        Com      235811106            7          310 Shs  Def   6          310
Dana Corp                        Com      235811106          229       10,659 Shs  Def  12                    10,659
Dana Corp  Com                   Com      235811106           82        3,800 Shs  Def   3        3,800
Danaher Corporation              Com      235851102           80        1,120 Shs  Def   2        1,120
Danaher Corp                     Com      235851102            6           90 Shs  Def   6           90
Danaher Corp                     Com      235851102          801       11,275 Shs  Def  12                    11,275
Danaher Corp.                    Com      235851102           57          800 Shs  Def                           800
Daou Systems Inc                 Com      237015102            5        4,655 Shs  Def  12                     4,655
Darden Restaurants Inc.          Com      237194105          108        2,668 Shs  Def   2        2,668
Darden Restaurants Inc           Com      237194105          511       12,595 Shs  Def  12                    12,595
Darden Restaurants Inc  Com      Com      237194105       32,706      805,760 Shs  Def   3      782,760                     23,000
Datawatch Corp                   Com      237917208            3        1,170 Shs  Def   7        1,170
Dataram Corp                     Com      238108203          396       50,500 Shs  Def   6       48,100                      2,400
Datastream Systems Inc           Com      238124101            6          620 Shs  Def  12                       620
Dave & Busters Inc.              Com      23833N104           24        2,304 Shs  Def   2        2,304
Dave & Busters Inc               Com      23833N104        2,159      207,600 Shs  Def   6      200,100                      7,500
Davidson Growth Plus Lp          Com      238635106            8           20 Shs  Def  12                        20
***Davidson Tisdale Ltd          Com      238653109            1        5,000 Shs  Def  12                     5,000
Davis Partners Fund I, L.P.      Com      23899A996       14,363   15,000,000 Shs  Def  14   15,000,000
Davita Inc                       Com      23918K108           11          450 Shs  Def  12                       450
Davita Inc                       Com      23918K108       10,006      395,495 Shs  Def   3      370,995                     24,500
Dayton & Michigan Rr Co          Com      239649106           17          608 Shs  Def   2          608
Dayton & Michigan Rr             Com      239649205           16          357 Shs  Def   2          357
Dean Foods Co                    Com      242370104            8          100 Shs  Def   2          100
Dean Foods Co New                Com      242370104          110        1,450 Shs  Def  12                     1,450
Dean Witter Realty Income        Com      24241G103            1            7 Shs  Def  12                         7
Dean Witter Realty Income        Com      24241G301            1            8 Shs  Def  12                         8
Deb Shops Inc                    Com      242728103        9,722      362,647 Shs  Def   6      350,032          640        11,975
Deb Shops Inc.                   Com      242728103          136        5,000 Shs  Def   9                                   5,000
Debt Strategies Fd Inc           Com      24276Q109           22        3,322 Shs  Def  12                     3,322
Deckers Outdoor Corp             Com      243537107          669      127,700 Shs  Def   6      125,000                      2,700
Deere & Co                       Com      244199105          407        8,925 Shs  Def   2        8,925
Deere & Co.                      Com      244199105        1,718       37,815 Shs  Def   6       31,365                      6,450
Deere & Co                       Com      244199105        1,135       24,924 Shs  Def  12                    24,924
Del Monte Foods Co               Com      24522P103        6,301      647,600 Shs  Def   6      630,700                     16,900
Del Monte Foods Co               Com      24522P103            2          250 Shs  Def  12                       250
Delaware Invts Divid & Income    Cl End Fd245915103          450       31,991 Shs  Def  12                    31,991
Delaware Invts Global Divid &    Cl End Fd245916101           13        1,000 Shs  Def  12                     1,000
Delia*S Corp                     Com      24688Q101            5          800 Shs  Def  12                       800
Dell Computer Corporation        Com      247025109       16,334      625,600 Shs  Def   2      622,100                      3,500
Dell Computer                    Com      247025109        7,351      281,530 Shs  Def   4      281,530
Dell Computer Corp               Com      247025109        4,197      160,733 Shs  Def   5      131,408                     29,325
Dell Computer Corp               Com      247025109          117        4,466 Shs  Def   6        4,466
Dell Computer Corporation        Com      247025109           52        2,000 Shs  Def   7        2,000
Dell Computer Corporation        Com      247025109        2,010       77,000 Shs  Def   8                    77,000
Dell Computer Corp.              Com      247025109        1,211       44,625 Shs  Def   9                    13,875        30,750
Dell Computer Corporation        Com      247025109       20,235      775,000 Shs  Def  10      775,000
Dell Computer Corp               Com      247025109          495       18,959 Shs  Def  11       12,034        2,525         3,900
Dell Computer Corp               Com      247025109       12,832      491,446 Shs  Def  12                   491,446
Dell Computer                    Com      247025109          243        5,850 Shs  Def  15        5,850
Dell Computer Corp               Com      247025109          127        4,900 Shs  Def                         4,900
Dell Computer Corporation        Com      247025109       17,796      681,597 Shs  Def   3      650,297                     31,300
Delmarva Power Financing I       Pfd      247112204           35        1,400 Shs  Def  12                     1,400
Delphi Corporation               Com      247126105           20        1,274 Shs  Def   2        1,274
Delphi Corp                      Com      247126105            4          269 Shs  Def   6          269
Delphi Corp                      Com      247126105        3,660      228,888 Shs  Def  12                   228,888
Delphi Corporation               Com      247126105        5,096      200,001 Shs  Def  15      200,001
Delphi Auto Systems              Com      247126105        2,024      126,600 Shs  Def   3      126,600
Delphi Financial Group Inc.      Com      247131105          705       17,992 Shs  Def   5       17,992
Delphi Finl Group Inc            Com      247131105       10,889      277,713 Shs  Def   6      271,432                      6,281
Delta & Pine Land Co             Com      247357106            6          293 Shs  Def  12                       293
***Delrina Corp-Exch Shs         Com      24735L204           54        1,300 Shs  Def  12                     1,300
Delta Air Lines Inc.             Com      247361108          116        3,536 Shs  Def   2        3,536
Delta Air Lines Inc Del          Com      247361108       10,232      312,710 Shs  Def   6      274,710                     38,000
Delta Air Lines Inc              Com      247361108          178        5,453 Shs  Def  12                     5,453
Delta Air Lines Inc              Pfd      247361405           89        3,780 Shs  Def  12                     3,780
Delta Natural Gas Co Inc         Com      247748106            6          300 Shs  Def  12                       300
Deltathree Inc                   Com      24783N102            2        2,200 Shs  Def  12                     2,200
Deltic Timber Corp               Com      247850100          387       12,787 Shs  Def  12                    12,787
Deltek Sys Inc                   Com      24785A108        1,557      225,700 Shs  Def   6      216,700                      9,000
Deltek Systems Inc               Com      24785A108           33        4,800 Shs  Def  12                     4,800
Debury Resources Inc.            Com      247916208          337       40,500 Shs  Def                        40,500
Denbury Resources Inc            Com      247916208          137       16,100 Shs  Def   3       14,400                      1,700
Deluxe Corp                      Com      248019101        7,055      152,500 Shs  Def   6      152,500
Deluxe Corp Avec Droits De       Com      248019101          319        6,900 Shs  Def  12                     6,900
Deluxe Corp  Com                 Com      248019101       20,146      435,500 Shs  Def   3      410,000                     25,500
Denison International Plc Adr    Com      248335101           59        3,000 Shs  Def                         3,000
Dentsply International Inc New   Com      249030107           48        1,287 Shs  Def  12                     1,287
Dentsply International Inc New   Com      249030107        4,699      126,800 Shs  Def   3      120,800                      6,000
Department 56 Inc                Com      249509100        3,290      235,000 Shs  Def   6      227,000                      8,000
***Descartes Systems Group Inc   Com      249906108            1          200 Shs  Def  12                       200
Desert Cmnty Bk Victorvi         Com      25037Y109           24          900 Shs  Def   6          900
Detroit Edison Co Quids          Pfd      250847688           36        1,500 Shs  Def  12                     1,500
Detroit Edison Co-7.625% Qtrly   Pfd      250847712           23          933 Shs  Def  12                       933
Deutsche Lufthansa A G           ADR      251561304          197       12,850 Shs  Def   2       11,650                      1,200
Developers Diversified Realty    Com      251591103        4,309      205,200 Shs  Def   1       25,000                    180,200
Developers Diversified Realty    Com      251591103          151        7,206 Shs  Def  12                     7,206
Developers Diversified Realty    Pfd      251591301          141        5,600 Shs  Def  12                     5,600
Developers Diversified Realty    Pfd      251591509            5          200 Shs  Def  12                       200
Developers Diversified Realty    Pfd      251591608           54        2,200 Shs  Def  12                     2,200
Devon Energy Corp New            Com      25179M103       20,715      429,157 Shs  Def   6      429,157
Devon Energy Corp New            Com      25179M103            7          150 Shs  Def   7          150
Devon Energy Corporation New     Com      25179M103          183        3,786 Shs  Def  12                     3,786
Devon Energy Corp New            Com      25179M103       48,270    1,000,000 Shs  Def  14    1,000,000
Devry Inc.                       Com      251893103           24          800 Shs  Def   2          800
Devry Inc Del                    Com      251893103          509       16,900 Shs  Def   5       16,900
Devry Inc.                       Com      251893103        2,067       68,600 Shs  Def   7       68,600
Devry Inc-Del                    Com      251893103        1,318       43,740 Shs  Def  12                    43,740
Dewolfe Cos Inc                  Com      252115100          443       21,900 Shs  Def   6       20,500                      1,400
Diageo Plc-Sponsored Adr         ADR      25243Q205          447        8,516 Shs  Def   2        8,516
Diageo Plc Adr Sponso            Com      25243Q205        4,382       84,084 Shs  Def   6       82,914                      1,170
Diagnostic Products Corp         Com      252450101          173        4,000 Shs  Def  12                     4,000
Diagnostic Prods Corp  Com       Com      252450101        6,064      140,380 Shs  Def   3      134,380                      6,000
Dial Corp.                       Com      25247D101          223       12,400 Shs  Def   9                                  12,400
Dial Corp New                    Com      25247D101           63        3,493 Shs  Def  12                     3,493
Diamond Offshore Drilling Inc    Com      25271C102          402       12,845 Shs  Def  12                    12,845
Diamonds Trust-Unit Series 1     Com      252787106        1,318       12,709 Shs  Def  12                    12,709
Diamondcluster Intl Inc          Com      25278P106           26        2,000 Shs  Def  12                     2,000
Diasys Corp                      Com      252838107            9        9,700 Shs  Def  12                     9,700
Dice Inc                         Com      25301P107            9        3,600 Shs  Def  12                     3,600
Diebold Inc.                     Com      253651103          263        6,450 Shs  Def   2        6,450
Diebold Inc                      Com      253651103            4           90 Shs  Def   6           90
Diebold Inc.                     Com      253651103        7,673      188,340 Shs  Def   7      188,340
Diebold Inc                      Com      253651103          559       13,723 Shs  Def  12                    13,723
Diebold Inc  Com                 Com      253651103       10,018      245,900 Shs  Def   3      231,700                     14,200
Digex Inc Del                    Com      253756100            8        6,363 Shs  Def  12                     6,363
Digi International Inc           Com      253798102            1          130 Shs  Def  12                       130
Digimarc Corp                    Com      253807101            2          100 Shs  Def  12                       100
Digital Lightwave Inc            Com      253855100        1,147      184,100 Shs  Def   6      181,400                      2,700
Digital Lightwave Inc            Com      253855100            1          150 Shs  Def  12                       150
Digital Insight Corp             Com      25385P106            5          170 Shs  Def  12                       170
Digitas Inc                      Com      25388K104            3          625 Shs  Def  12                       625
Dime Cmnty Bancshares            Com      253922108          493       16,000 Shs  Def   6       16,000
Dime Cmnty Bancorp Inc Com       Com      253922108        6,306      204,750 Shs  Def   3      192,000                     12,750
Digene Corp                      Com      253990675           11          300 Shs  Def  12                       300
Dillards Inc Cl A                Com      254067101          647       27,100 Shs  Def   3       27,100
Dillards Capital Trust I         Pfd      25406P200           79        3,800 Shs  Def  12                     3,800
***Dimethaid Research Inc        Com      25435L105          157       58,145 Shs  Def  12                    58,145
Dimon Inc                        Com      254394109        6,066      879,200 Shs  Def   6      854,100                     25,100
Dimon Inc                        Com      254394109           23        3,300 Shs  Def  12                     3,300
Diodes Inc                       Com      254543101          994      122,800 Shs  Def   6      122,800
Dionex Corp                      Com      254546104           23          932 Shs  Def  12                       932
Diomed Holdings Inc              Com      25454R108            3          500 Shs  Def  12                       500
Walt Disney Co.                  Com      254687106        4,936      213,872 Shs  Def   1       42,500                    171,372
The Walt Disney Co.              Com      254687106        5,506      238,577 Shs  Def   2      236,377                      2,200
Disney                           Com      254687106        7,958      344,787 Shs  Def   4      344,787
The Walt Disney Co               Com      254687106       22,988      998,184 Shs  Def   6      887,191                    110,993
The Walt Disney Co.              Com      254687106           35        1,500 Shs  Def   7        1,500
The Walt Disney Co.              Com      254687106        2,227       97,269 Shs  Def   9                                  97,269
The Walt Disney Co.              Com      254687106        2,308      100,000 Shs  Def  10      100,000
Walt Disney Co                   Com      254687106          614       26,598 Shs  Def  11       18,643        2,995         4,960
Walt Disney Co Holding Co        Com      254687106       15,211      659,059 Shs  Def  12                   659,059
Disney (Walt) Co. Holding Co.    Com      254687106        4,107      112,300 Shs  Def  15      112,300
Disney Walt Co Del  Com          Com      254687106        5,769      249,947 Shs  Def   3      240,247                      9,700
Walt Disney Company              Pfd      254687304            8          315 Shs  Def  12                       315
***Direct Focus Inc              Com      254931108           34          900 Shs  Def  12                       900
Direct Focus Inc                 Com      254931108       27,728      728,721 Shs  Def   3      682,309                     46,412
Divall Insured Income Pptys Lp   Com      255017105           25           50 Shs  Def  12                        50
Diversa Corp                     Com      255064107            1          100 Shs  Def  12                       100
Diversified Senior Services      Com      255340101            2       31,121 Shs  Def  12                    31,121
***Diversinet Corp New           Com      25536K204            3        4,100 Shs  Def  12                     4,100
Divine Inc                       Com      255402109           12       24,977 Shs  Def   5       24,977
Divine Inc                       Com      255402109           46       91,771 Shs  Def  12                    91,771
Docucorp International Inc       Com      255911109            3          361 Shs  Def  12                       361
Doctor Reddys Lab - Adr          ADR      256135203          283       12,800 Shs  Def   3       12,800
Documentum Inc                   Com      256159104           10          400 Shs  Def  12                       400
Dole Food Company                Com      256605106           56        1,800 Shs  Def   2        1,800
Dole Food Co Inc                 Com      256605106           50        1,600 Shs  Def  12                     1,600
Dole Food Inc Com                Com      256605106       11,885      383,400 Shs  Def   3      347,400                     36,000
Dollar General Corp.             Com      256669102            9          529 Shs  Def   2          529
Dollar General Corp              Com      256669102          177       10,898 Shs  Def  12                    10,898
Dollar Thrifty Automotiv         Com      256743105        6,440      304,500 Shs  Def   6      295,600                      8,900
Dollar Thrifty Automotive        Com      256743105            8          400 Shs  Def  12                       400
Dollar Tree Stores Inc           Com      256747106           11          350 Shs  Def  12                       350
Dominion Cng Cap Trust I         Pfd      257206201          232        9,410 Shs  Def  12                     9,410
Dominion Homes Inc               Com      257386102        1,016       57,700 Shs  Def   6       54,900                      2,800
Dominion Resources               Com      25746U109          294        4,518 Shs  Def   1        2,512                      2,006
Dominion Res Inc Va New          Com      25746U109          103        1,576 Shs  Def   2        1,576
Dominion Resources               Com      25746U109          434        6,663 Shs  Def   5        6,213                        450
Dominion Res Inc Va New          Com      25746U109            8          121 Shs  Def   6          121
Dominion Res Inc Va New          Com      25746U109           53          806 Shs  Def   7          806
Dominion Resources               Com      25746U109        2,358       36,187 Shs  Def  12                    36,187
Dominion Resources               Com      25746U109       18,606      285,550 Shs  Def  13      285,550
Dominion Resources               Com      25746U109           10          100 Shs  Def  15          100
Dominion Resources Cap Tr Ii     Pfd      25746X202          212        8,150 Shs  Def  12                     8,150
Dominion Resources Inc. Of Va    Com      257470104           16          250 Shs  Def   7          250
Domtar Inc                       Com      257561100       10,929    1,003,600 Shs  Def   6      872,900                    130,700
***Domtar Inc                    Com      257561100           66        6,050 Shs  Def  12                     6,050
Donaldson Inc.                   Com      257651109        2,195       54,600 Shs  Def   2       54,600
Donaldson Co Inc                 Com      257651109          806       20,050 Shs  Def  12                    20,050
Donegal Group Cl A               Com      257701201          767       81,544 Shs  Def   6       79,056                      2,488
Donegal Group Inc                Com      257701201           19        2,000 Shs  Def  12                     2,000
Donegal Group Cl B               Com      257701300          533       42,671 Shs  Def   6       41,427                      1,244
Donnelley (R R) & Sons Co        Com      257867101          115        3,700 Shs  Def   2        3,700
Donnelley R R & Sons Co          Com      257867101        6,287      202,155 Shs  Def   6      202,155
R R Donnelley & Sons Co          Com      257867101          218        7,000 Shs  Def  12                     7,000
Donnelley R R & Sons Co  Com     Com      257867101        9,548      307,000 Shs  Def   3      305,600                      1,400
Donnelly Corp                    Com      257870105          473       26,700 Shs  Def   6       26,300                        400
Doral Finl Corp Com              Com      25811P100        6,573      193,600 Shs  Def   3      180,300                     13,300
Dorchester Hugoton Ltd-          Com      258205202            2          162 Shs  Def  12                       162
Doubleclick Inc                  Com      258609304           32        2,638 Shs  Def  12                     2,638
Dover Corp.                      Com      260003108       19,528      476,281 Shs  Def   2      469,281                      7,000
Dover Corp Com                   Com      260003108        1,292       31,500 Shs  Def   5       31,500
Dover Corp                       Com      260003108            2           40 Shs  Def   6           40
Dover Corp.                      Com      260003108           49        1,200 Shs  Def   7        1,200
Dover Corp                       Com      260003108          951       23,200 Shs  Def  11       15,350        2,325         5,300
Dover Corp                       Com      260003108        2,347       57,236 Shs  Def  12                    57,236
Dover Downs Entertainment Inc    Com      260086103           38        2,363 Shs  Def  12                     2,363
Dow Chemical Co                  Com      260543103        1,425       43,557 Shs  Def   2       43,557
Dow Chemical Co Com              Com      260543103        2,242       68,536 Shs  Def   5       55,874                     12,662
Dow Chem Co                      Com      260543103       21,166      646,873 Shs  Def   6      576,210                     70,663
Dow Chemical Co                  Com      260543103          255        7,797 Shs  Def  11        6,740        1,057
Dow Chemical Co                  Com      260543103        4,420      135,072 Shs  Def  12                   135,072
Dow Chemical Co.                 Com      260543103        4,056       77,800 Shs  Def  15       77,800
Dow Chem Co  Com                 Com      260543103        2,266       69,258 Shs  Def   3       65,058                      4,200
Dow Jones & Co                   Com      260561105          590       10,130 Shs  Def   2       10,130
Dow Jones & Co                   Com      260561105          856       14,500 Shs  Def   9                                  14,500
Dow Jones & Co Inc               Com      260561105           11          184 Shs  Def  12                       184
Downey Finl Corp                 Com      261018105       14,943      327,700 Shs  Def   6      324,000                      3,700
Dresdner Bank Ag New             ADR      261561302           42        1,000 Shs  Def   2        1,000
Dress Barn Inc                   Com      261570105        1,535       51,840 Shs  Def   6       51,840
Dress Barn Inc                   Com      261570105           21          700 Shs  Def  12                       700
Drexler Technology Corp          Com      261876106            2          100 Shs  Def  12                       100
Dreyers Grand Ice Cream Inc.     Com      261878102           82        2,000 Shs  Def                         2,000
Dreyfus Strategic Municipals     Cl End Fd261932107          267       27,784 Shs  Def  12                    27,784
Dreyfus High Yield Strategies    Cl End Fd26200S101          184       33,937 Shs  Def  12                    33,937
Dreyfus Municipal Income Inc     Cl End Fd26201R102           12        1,350 Shs  Def  12                     1,350
Dreyfus Strategic Municipal      Cl End Fd26202F107          171       20,595 Shs  Def  12                    20,595
Drill-Quip Inc                   Com      262037104           13          500 Shs  Def   6          500
Dset Corp                        Com      262504202            4        5,836 Shs  Def  12                     5,836
Du Pont (Ei) De Nemours And      Com      263534109        1,801       38,192 Shs  Def   1        4,600                     33,592
Du Pont (Ei) De Nemours And      Com      263534109        1,448       30,712 Shs  Def   2       30,712
Du Pont (Ei) De Nemours And      Com      263534109        6,718      142,475 Shs  Def   4      142,475
Du Pont (Ei) De Nemours And      Com      263534109          657       13,938 Shs  Def   5        8,878                      5,060
Du Pont (Ei) De Nemours And      Com      263534109       11,929      253,005 Shs  Def   6      252,955                         50
Du Pont (Ei) De Nemours And      Com      263534109           82        1,740 Shs  Def   7        1,740
Du Pont (Ei) De Nemours And      Com      263534109          855       18,162 Shs  Def   9                                  18,162
Du Pont (Ei) De Nemours And      Com      263534109          562       11,913 Shs  Def  11       10,522        1,391
Du Pont (Ei) De Nemours And      Com      263534109        9,983      211,721 Shs  Def  12                   211,721
Du Pont (Ei) De Nemours And      Com      263534109        4,828       64,255 Shs  Def  15       64,255
Du Pont (Ei) De Nemours And      Com      263534109       13,553      287,447 Shs  Def   3      276,647                     10,800
E I Dupont De Nemours Pfd        Pfd      263534208           88        1,425 Shs  Def  12                     1,425
Du Pont E I De Nemours &         Pfd      263534307           33          420 Shs  Def   2          420
Du Pont E I De Nemours &         Pfd      263534307          117        1,508 Shs  Def  12                     1,508
Duckwall-Alco Stores Inc         Com      264142100          979       70,700 Shs  Def   6       68,600                      2,100
Ducommun Inc Del                 Com      264147109        2,819      143,100 Shs  Def   6      139,100                      4,000
Duff & Phelps Utilities Income   Cl End Fd264324104        1,392      123,430 Shs  Def  12                   123,430
Duff & Phelps Utility &          Cl End Fd26432K108          403       29,712 Shs  Def  12                    29,712
Duke Cap Financing Trust I       Pfd      264393208           84        3,360 Shs  Def  12                     3,360
Duke Energy Capital Trust I      Pfd      264396201           50        2,015 Shs  Def  12                     2,015
Duke Energy Corp.                Com      264399106        1,791       47,394 Shs  Def   2       47,394
Duke Energy Corp                 Com      264399106        4,862      128,619 Shs  Def   5       95,814                     32,805
Duke Energy Corp                 Com      264399106       13,264      350,900 Shs  Def   6      350,900
Duke Energy Corp.                Com      264399106        1,355       35,850 Shs  Def   7       35,850
Duke Energy Corp.                Com      264399106          817       21,788 Shs  Def   9                                  21,788
Duke Energy Corp.                Com      264399106        4,158      110,000 Shs  Def  10      110,000
Duke Energy Corp                 Com      264399106          216        5,720 Shs  Def  11        2,170        3,035           515
Duke Energy Corp                 Com      264399106        7,628      201,801 Shs  Def  12                   201,801
Duke Energy                      Com      264399106       15,675      415,000 Shs  Def  13      415,000
Duke Energy Corp.                Com      264399106          193        3,200 Shs  Def  15        3,200
Duke Energy Corp Com             Com      264399106        2,665       70,500 Shs  Def   3       66,700                      3,800
Duke Energy Corp                 Pfd      264399544           55        2,200 Shs  Def  12                     2,200
Duke Energy Corp                 Pfd      264399585           32        1,250 Shs  Def  12                     1,250
Duke En Unit                     Com      264399588        7,003      272,500 Shs  Def  13      272,500
Duke Energy Corp 6.60% Sr Nts    Pfd      264399619           32        1,300 Shs  Def  12                     1,300
Duke Capital Fin Trust Ii        Pfd      26439E204           83        3,335 Shs  Def  12                     3,335
Duke Capital Financing Tr Iii    Pfd      26439F201           50        1,900 Shs  Def  12                     1,900
Duke Energy Cap Tr Ii 7.2%       Pfd      26439G209           10          400 Shs  Def  12                       400
Duke Realty Corporation          Com      264411505        1,971       75,805 Shs  Def   2       73,305                      2,500
Duke Realty Corp                 Com      264411505        3,247      124,893 Shs  Def  12                   124,893
Duke Weeks Realty Corp           PFD      264411810          101        4,000 Shs  Def   2        4,000
Duke Rlty Corp Dep Shs           Pfd      264411810            3          100 Shs  Def  12                       100
Duke Realty Corp Pref Sh         Pfd      264411828           63        2,500 Shs  Def  12                     2,500
Duke Realty Corp                 Pfd      264411844           30        1,200 Shs  Def  12                     1,200
Dun & Bradstreet Corp.           Com      26483E100          155        3,863 Shs  Def   2        3,863
Dun & Bradstreet Cp New          Com      26483E100            1           30 Shs  Def   6           30
Dun & Bradstreet Corp            Com      26483E100          403       10,070 Shs  Def  12                    10,070
Dun & Bradstreet Corp.           Com      26483E100          172        2,700 Shs  Def  15        2,700
Dun & Bradstreet Corp            Com      26483E100       29,560      738,820 Shs  Def   3      714,620                     24,200
***Dundee Bancorp Inc            Com      264901109            1          153 Shs  Def  12                       153
***Dupont Canada Inc             Com      265902106           15          900 Shs  Def  12                       900
Dura Automotive Systems          Com      265903104        4,954      258,428 Shs  Def   6      249,928                      8,500
Dura Automotive Sys Cl B         Com      265903104           36        1,900 Shs  Def   3        1,900
Dupont Photomasks Inc Com        Com      26613X101           52        1,000 Shs  Def   3        1,000
Duquesne Cap Lp-8.375% Cum       Pfd      266224203          485       19,400 Shs  Def  12                    19,400
Duquesne Light Co 4% Pfd         Pfd      266228402            7          250 Shs  Def  12                       250
Duquesne Light Co-7.375% Qtly    Pfd      266228840           36        1,460 Shs  Def  12                     1,460
Duratek Inc                      Com      26658Q102           14        2,750 Shs  Def  12                     2,750
Durect Corp                      Com      266605104           31        4,000 Shs  Def  12                     4,000
Dusa Pharmaceuticals Inc.        Com      266898105            2          400 Shs  Def   2          400
Dusa Pharmaceuticals Inc         Com      266898105            1          300 Shs  Def  12                       300
Dycom Inds Inc                   Com      267475101       10,248      685,500 Shs  Def   6      666,200                     19,300
Dycom Industries Inc             Com      267475101           40        2,670 Shs  Def  12                     2,670
Dynamics Research Corp           Com      268057106           25        1,000 Shs  Def  12                     1,000
Dynegy Inc (Hldg Co) Cl A        Com      26816Q101        6,142      211,780 Shs  Def   6      211,780
Dynegy Inc (Holding Co)          Com      26816Q101          225        7,745 Shs  Def  12                     7,745
Dynex Cap Inc                    Com      26817Q506           11        3,220 Shs  Def  12                     3,220
***Eci Telecom Ltd -Ord          Com      268258100            3          700 Shs  Def  12                       700
Edf London Cap L P Gtd 8.625%    Pfd      268316205          186        7,451 Shs  Def  12                     7,451
E Digital Corp                   Com      26841Y103            5        5,300 Shs  Def  12                     5,300
Eex Corporation - New            Com      26842V207            3        1,464 Shs  Def  12                     1,464
Eex Corporation                  Com      26842V207           21       10,000 Shs  Def                        10,000
Egl Inc                          Com      268484102           16        1,000 Shs  Def  12                     1,000
Eix Trust Ii (Edison Intl)       Pfd      26853P206           30        1,300 Shs  Def  12                     1,300
Eix Tr I                         Pfd      268540200          180        8,150 Shs  Def  12                     8,150
Elxsi Corp                       Com      268613205          218       22,000 Shs  Def   6       19,600                      2,400
Emc Corp.                        Com      268648102        6,140      515,109 Shs  Def   1      162,767                    352,342
Emc Corp.                        Com      268648102          287       24,040 Shs  Def   2       24,040
Emc                              Com      268648102           96        8,066 Shs  Def   4        8,066
Emc Corporation                  Com      268648102        4,519      379,130 Shs  Def   5      302,796                     76,334
Emc Corp Mass                    Com      268648102            2          206 Shs  Def   6          206
Emc Corp.                        Com      268648102           12        1,000 Shs  Def   7        1,000
Emc Corp.                        Com      268648102          466       38,160 Shs  Def   9                                  38,160
Emc Corp                         Com      268648102          140       11,775 Shs  Def  11       10,955          620           200
Emc Corp-Mass                    Com      268648102        5,769      483,980 Shs  Def  12                   483,980
Emc Corp. (Mass)                 Com      268648102        4,025      214,900 Shs  Def  15      214,900
E M C Corp Mass  Com             Com      268648102        3,073      257,783 Shs  Def   3      247,483                     10,300
Ems Technolgies Inc              Com      26873N108            8          350 Shs  Def  12                       350
Ensco International Inc.         Com      26874Q100        1,094       36,300 Shs  Def   2       36,300
Ensco International Inc          Com      26874Q100        2,721       90,275 Shs  Def   5       73,315                     16,960
Ensco International Inc          Com      26874Q100          387       12,847 Shs  Def  12                    12,847
Ensco Intl Inc  Com              Com      26874Q100          383       12,700 Shs  Def   3        5,300                      7,400
Eni S P A Sponsored A            Com      26874R108        7,738      104,408 Shs  Def   6      101,573                      2,835
Eog Resources Inc                Com      26875P101            1           30 Shs  Def   6           30
Eog Res Inc                      Com      26875P101            6          150 Shs  Def   7          150
Eog Res Inc                      Com      26875P101          416       10,260 Shs  Def  12                    10,260
E.Piphany Inc                    Com      26881V100        1,697      224,498 Shs  Def  12                   224,498
Eresource Cap Group Inc          Com      26883W106            1        4,000 Shs  Def  12                     4,000
Esb Financial Corp               Com      26884F102            3          280 Shs  Def  12                       280
Evi Inc-5% Conv Sub Debs         Pfd      268939402          127        2,500 Shs  Def  12                     2,500
Eagle Bancorp Inc Md             Com      268948106          287       18,250 Shs  Def  12                    18,250
Et Viola European Cafes Inc      Com      268951100            1       10,000 Shs  Def  12                    10,000
Ess Technology Inc               Com      269151106        7,813      376,735 Shs  Def   3      342,735                     34,000
E Trade Group Inc                Com      269246104          136       14,460 Shs  Def  12                    14,460
Eagle Bancshares Inc             Com      26942C109            3          133 Shs  Def  12                       133
E Ink Corporation                CONV PFD 269990305          159       13,250 Shs  Def   5       12,250                      1,000
Earthlink Inc                    Com      270321102            8          800 Shs  Def   2          800
Earthlink Inc Com                Com      270321102        4,669      462,360 Shs  Def   6      456,900          415         5,045
Earthlink Inc                    Com      270321102           69        6,757 Shs  Def  12                     6,757
Earthshell Corp                  Com      27032B100           21       14,265 Shs  Def  12                    14,265
Eastern American Natural Gas     Pfd      276217106          700       39,085 Shs  Def  12                    39,085
Eastern Co                       Com      276317104          856       53,000 Shs  Def   6       51,350                      1,650
Eastern Virginia Bankshares      Com      277196101           17        1,000 Shs  Def  12                     1,000
Eastgroup Pptys Inc C            Com      277276101        4,261      165,428 Shs  Def   6      158,353          520         6,555
Eastgroup Properties Inc         Com      277276101           13          500 Shs  Def  12                       500
Eastman Chemical Company         Com      277432100           10          200 Shs  Def   4          200
Eastman Chemical Co Inc          Com      277432100          254        5,214 Shs  Def   5        2,877                      2,337
Eastman Chem Co                  Com      277432100          515       10,560 Shs  Def   6       10,560
Eastman Chemical Co              Com      277432100            1           30 Shs  Def   7           30
Eastman Chemical Co              Com      277432100          161        3,302 Shs  Def  12                     3,302
Eastman Chemical Co              Com      277432100        3,420       70,100 Shs  Def   3       70,100
Eastman Kodak Company            Com      277461109          187        5,990 Shs  Def   2        5,990
Eastman Kodak Co                 Com      277461109       12,221      392,060 Shs  Def   6      392,060
Eastman Kodak Company            Com      277461109            4          120 Shs  Def   7          120
Eastman Kodak Company            Com      277461109      231,038    7,412,199 Shs  Def   8                 7,412,199
Eastman Kodak Co.                Com      277461109          664       21,382 Shs  Def   9                                  21,382
Eastman Kodak Company            Com      277461109      455,690   14,619,509 Shs  Def  10   14,619,509
Eastman Kodak Co                 Com      277461109        8,062      258,642 Shs  Def  12                   258,642
Eastman Kodak Co.                Com      277461109          268        5,400 Shs  Def  15        5,400
Easton Bancorp Inc-Md            Com      277496105            4          350 Shs  Def  12                       350
Eaton Corp.                      Com      278058102          223        2,750 Shs  Def   2        2,750
Eaton Corp                       Com      278058102            2           30 Shs  Def   6           30
Eaton Corp                       Com      278058102          110        1,355 Shs  Def  12                     1,355
Eaton Vance Corp-Non Vtg         Com      278265103          634       15,865 Shs  Def  12                    15,865
Eaton Vance Fla Mun Inome Tr     Cl End Fd27826B100           26        2,000 Shs  Def  12                     2,000
Eaton Vance Sr Income Tr-Sbi     Cl End Fd27826S103           24        2,939 Shs  Def  12                     2,939
Eaton Vance National Municipal   Cl End Fd27826U108           47        3,491 Shs  Def  12                     3,491
Ebay Inc                         Com      278642103          541        9,551 Shs  Def  12                     9,551
Echelon Corp                     Com      27874N105          544       30,200 Shs  Def  12                    30,200
Echostar Communications New      Com      278762109           31        1,100 Shs  Def   7        1,100
Echostar Communications Corp     Com      278762109          620       21,895 Shs  Def  12                    21,895
Eclipsys Corp                    Com      278856109           22        1,357 Shs  Def  12                     1,357
Ecolab                           Com      278865100           55        1,200 Shs  Def   2        1,200
Ecolab Inc.                      Com      278865100          317        7,000 Shs  Def   9                                   7,000
Ecolab Inc                       Com      278865100        1,841       40,256 Shs  Def  12                    40,256
Ecometry Corp                    Com      27900H106            4        1,600 Shs  Def  12                     1,600
Edelbrock Corp                   Com      279434104          495       37,900 Shs  Def   6       36,800                      1,100
Edge Pete Corp Del               Com      279862106          758      141,400 Shs  Def   6      137,200                      4,200
Edge Technology Group Inc        Com      279869101            1        1,188 Shs  Def  12                     1,188
Edison Intl                      Com      281020107            3          150 Shs  Def   6          150
Edison Intl.                     Com      281020107          121        7,200 Shs  Def   9                                   7,200
Edison International             Com      281020107          336       20,085 Shs  Def  12                    20,085
Edison International             Com      281020107        7,016      418,890 Shs  Def   3      370,390                     48,500
Edo Corporation                  Com      281347104           38        1,400 Shs  Def   2        1,400
Edo Corp                         Com      281347104           95        3,500 Shs  Def  12                     3,500
Education Management Corp        Com      28139T101           10          240 Shs  Def  12                       240
J D Edwards & Co                 Com      281667105           16          864 Shs  Def  12                       864
Edwards A G Inc.                 Com      281760108          308        7,000 Shs  Def   7        7,000
A G Edwards Inc                  Com      281760108          284        6,454 Shs  Def  12                     6,454
Edwards Lifesciences             Com      28176E108        5,293      192,844 Shs  Def   6      186,564          490         5,790
Edwards Lifesciences Corp        Com      28176E108           71        2,527 Shs  Def  12                     2,527
Edwards Lifesciences Cp          Com      28176E108       10,575      378,360 Shs  Def   3      348,260                     30,100
Efunds Corp                      Com      28224R101            4          265 Shs  Def  12                       265
Efunds Corp                      Com      28224R101        2,381      148,350 Shs  Def   3      136,750                     11,600
800 Travel Systems Inc           Com      282506104            2       27,000 Shs  Def  12                    27,000
1838 Bond Debenture Trading      Cl End Fd282520105           10          500 Shs  Def  12                       500
El Paso Corporation              Com      28336L109        9,172      208,320 Shs  Def   2      207,188                      1,132
El Paso                          Com      28336L109           15          340 Shs  Def   4          340
El Paso Corporation              Com      28336L109        4,147       94,175 Shs  Def   5       73,785                     20,390
El Paso Corp                     Com      28336L109        4,629      105,124 Shs  Def   6      104,993                        131
El Paso Corporation              Com      28336L109            1           20 Shs  Def   7           20
El Paso Corporation              Com      28336L109          242        5,500 Shs  Def  11        3,300                      2,200
El Paso Corporation              Com      28336L109        2,502       56,832 Shs  Def  12                    56,832
El Paso Energy                   Com      28336L109       20,571      467,000 Shs  Def  13      467,000
El Paso Corp.                    Com      28336L109        5,620       80,100 Shs  Def  15       80,100
El Paso Corporation              Com      28336L109        1,180       26,800 Shs  Def   3       26,800
El Paso Corporation Cvt Bond     Cvt      28336LAC3       82,180  196,250,000 Prn  Def                                 196,250,000
El Paso Elec Co Com N            Com      283677854       24,894    1,590,078 Shs  Def   6    1,552,183        1,060        36,835
El Paso Electric Co New          Com      283677854          935       59,750 Shs  Def  12                    59,750
El Paso Electric Co Com New      Com      283677854        1,807      115,450 Shs  Def   3      106,450                      9,000
El Paso Energy Partners L P      Com      28368B102          768       20,500 Shs  Def  12                    20,500
Elan Corp. Adr                   ADR      284131208           16        1,170 Shs  Def   2        1,170
Elan Corp Plc                    Com      284131208          252       18,098 Shs  Def   5       16,100                      1,998
Elan Plc                         Com      284131208        2,009      147,120 Shs  Def   6      144,800                      2,320
***Elbit Ltd                     Com      284275104            1          300 Shs  Def  12                       300
Elder Beerman Stores Corp        Com      284470101            1          400 Shs  Def   2          400
Elec Communications Corp         Com      284739109            2       30,000 Shs  Def  12                    30,000
Electric Fuel Corp               Com      284871100            1          400 Shs  Def  12                       400
Electro Scientific Inds Inc      Com      285229100           16          450 Shs  Def  12                       450
Electroglas Inc                  Com      285324109            8          500 Shs  Def  12                       500
Electronic Arts Inc              Com      285512109          213        3,500 Shs  Def   5        3,500
Electronic Arts Inc              Com      285512109            9          146 Shs  Def   6          146
Electronic Arts Inc              Com      285512109          240        3,950 Shs  Def  12                     3,950
Electronic Data Systems          Com      285661104          132        2,270 Shs  Def   2        2,270
Electronic Data Systems          Com      285661104           23          398 Shs  Def   4          398
Electronic Data Systems Corp N   Com      285661104          280        4,834 Shs  Def   5        4,634                        200
Electr Data Systems Corp         Com      285661104            2           42 Shs  Def   6           42
Electronic Data Systems Corp     Com      285661104          523        9,014 Shs  Def  11        3,290        5,270           454
Electronic Data Systems Corp     Com      285661104        4,785       82,520 Shs  Def  12                    82,520
Electronic Data Systems Corp.    Com      285661104        4,731       51,200 Shs  Def  15       51,200
Electronic Data Sys Nw  Com      Com      285661104       15,615      269,269 Shs  Def   3      262,169                      7,100
Electronic Data Sys Corp New     Pfd      285661203        1,721       34,050 Shs  Def  12                    34,050
Electronic Identification Inc    Com      285734109            3       41,100 Shs  Def  12                    41,100
Electronics Boutique Holdings    Com      286045109          186        5,400 Shs  Def  12                     5,400
Electronics For Imagi            Com      286082102       28,567    1,566,108 Shs  Def   6    1,450,848          985       114,275
Electronics For Imaging Inc      Com      286082102          106        5,770 Shs  Def  12                     5,770
Electronics For Imag             Com      286082102          165        9,000 Shs  Def   3        9,000
Ellis Perry Intl Inc             Com      288853104          980      108,441 Shs  Def   6      104,441                      4,000
Ellsworth Convertible Growth &   Cl End Fd289074106           24        2,965 Shs  Def  12                     2,965
Embarcadero Technologies Inc     Com      290787100           18        1,300 Shs  Def  12                     1,300
Embraer Aircraft Corp Adr        ADR      29081M102          138        6,853 Shs  Def   3        6,853
Emcore Corp                      Com      290846104            6          650 Shs  Def  12                       650
Emcor Group Inc                  Com      29084Q100          661       11,400 Shs  Def   6       11,400
Emcor Group Inc                  Com      29084Q100       16,555      285,430 Shs  Def   3      269,130                     16,300
Emerging Markets Floating Rate   Cl End Fd290885102           10          800 Shs  Def  12                       800
Emerge Interactive Inc           Com      29088W103           15       20,490 Shs  Def  12                    20,490
Emerging Markets Income Fund     Cl End Fd290920107          161       12,500 Shs  Def  12                    12,500
Emerson Electric Co.             Com      291011104        1,486       25,900 Shs  Def   1                                  25,900
Emerson Electric Co.             Com      291011104       21,401      372,898 Shs  Def   2      369,598                      3,300
Emerson Electric                 Com      291011104           15          265 Shs  Def   4          265
Emerson Elec Co Com              Com      291011104        3,685       64,213 Shs  Def   5       49,678                     14,535
Emerson Elec Co                  Com      291011104       17,713      308,649 Shs  Def   6      308,649
Emerson Electric Co.             Com      291011104           80        1,400 Shs  Def   7        1,400
Emerson Electric Co              Com      291011104          575       10,020 Shs  Def  11        6,725        1,665         1,500
Emerson Electric Co              Com      291011104       12,640      220,253 Shs  Def  12                   220,253
Emerson Electric                 Com      291011104        4,966       55,350 Shs  Def  15       55,350
Emerson Elec Co  Com             Com      291011104       10,479      182,600 Shs  Def   3      176,600                      6,000
Emerson Radio Corp New           Com      291087203            2        1,500 Shs  Def  12                     1,500
Emisphere Technologies Inc       Com      291345106           37        2,200 Shs  Def  12                     2,200
Emmis Comm Corp-Cl A             Com      291525103            3          100 Shs  Def  12                       100
Emulex Corp New                  Com      292475209          429       13,030 Shs  Def  12                    13,030
En Pointe Technologies Inc       Com      29247F108            3        2,000 Shs  Def  12                     2,000
Enbridge Energy Partners L P     Com      29250R106        1,142       25,768 Shs  Def  12                    25,768
Encore Computer Corp             Com      292555109            1       66,500 Shs  Def  12                    66,500
Encompass Svcs Corp              Com      29255U104        2,101    1,186,977 Shs  Def   6    1,149,377                     37,600
Endesa S.A. Adr                  ADR      29258N107          558       37,400 Shs  Def   2       37,400
Endesa Sa Adr Sponsor            Com      29258N107        2,381      159,505 Shs  Def   6      156,700                      2,805
Endo Pharmaceuticals Hldgs Inc   Com      29264F205          204       20,220 Shs  Def   3       20,220
Endocare Inc                     Com      29264P104          100        5,050 Shs  Def  12                     5,050
Energy Conversion Devices Inc    Com      292659109            4          200 Shs  Def  12                       200
Energen Corp                     Com      29265N108       17,321      654,870 Shs  Def   6      639,570                     15,300
Energen Corp                     Com      29265N108           15          550 Shs  Def  12                       550
Energy East Corp                 Com      29266M109            5          240 Shs  Def   6          240
Energy East Corporation          Com      29266M109          138        6,351 Shs  Def  12                     6,351
En.East                          Com      29266M109       22,749    1,045,500 Shs  Def  13    1,045,500
Energy East Corp                 Com      29266M109          101        4,660 Shs  Def   3        4,660
Energizer Hldgs Inc              Com      29266R108            7          305 Shs  Def   2          305
Energizer Holdings Inc           Com      29266R108           13          566 Shs  Def  12                       566
Energy East Cap Tr I 8.25%       Pfd      29267G200          173        6,900 Shs  Def  12                     6,900
Energy Partners Ltd              Com      29270U105           64        8,000 Shs  Def  12                     8,000
***Enerplus Resources Fund       Com      29274D604           41        2,500 Shs  Def  12                     2,500
Engage Inc                       Com      292827102            1        2,500 Shs  Def  12                     2,500
Engelhard Corp.                  Com      292845104           25          800 Shs  Def   7          800
Englehard Corp.                  Com      292845104          109        2,200 Shs  Def  15        2,200
Engelhard Corp  Com              Com      292845104        3,546      114,280 Shs  Def   3      104,380                      9,900
Engineered Support Systems Inc   Com      292866100           23          500 Shs  Def  12                       500
Endocardial Solutions Inc        Com      292962107            3          400 Shs  Def  12                       400
Ennis Business Forms Inc.        Com      293389102          248       20,250 Shs  Def   2       20,250
Ennis Business Forms Inc         Com      293389102        3,506      286,700 Shs  Def   6      278,000                      8,700
Ennis Business Forms Inc         Com      293389102           33        2,700 Shs  Def  12                     2,700
Enron Corp                       Com      293561106           16       83,559 Shs  Def  12                    83,559
Enron Capital Trust I-8.30%      Pfd      29357N206            6        5,700 Shs  Def  12                     5,700
Enron Capital Trust Ii-8.125%    Pfd      29357P201            3        2,400 Shs  Def  12                     2,400
Enstar Group Inc                 Com      29358R107            1           40 Shs  Def   2           40
Entegris Inc                     Com      29362U104           89        5,500 Shs  Def  12                     5,500
Entegris Inc                     Com      29362U104           61        3,800 Shs  Def   3        3,800
Enterasys Networks Inc           Com      293637104        7,465    1,764,890 Shs  Def   6    1,616,490                    148,400
Enterasys Networks, Inc.         Com      293637104        8,265    1,954,000 Shs  Def   8                 1,954,000
Enterasy'S Networks              Com      293637104            3          750 Shs  Def   9                       750
Enterasys Networks, Inc.         Com      293637104       48,222   11,400,000 Shs  Def  10   11,400,000
Enterasys Networks Inc           Com      293637104          512      121,029 Shs  Def  12                   121,029
Enterasys Networks, Inc.         Com      293637104       38,070    9,000,000 Shs  Def  14    9,000,000
Entergy Louisiana Cap I-9% Cum   Pfd      29364A205           13          500 Shs  Def  12                       500
Entergy Arkansas Capital I       Pfd      29364C201           50        2,000 Shs  Def  12                     2,000
Entergy Arkansas Inc-7.32% Pfd   Pfd      29364D704            9          100 Shs  Def  12                       100
Entergy Arkansas Inc-7.80% Pfd   Pfd      29364D803           19          200 Shs  Def  12                       200
Entergy Arkansas Inc 6.7%        Pfd      29364D811           20          800 Shs  Def  12                       800
Entergy Corp New                 Com      29364G103            5          110 Shs  Def   6          110
Entergy Corp New                 Com      29364G103           85        1,968 Shs  Def  12                     1,968
Entergy Gulf Sts Cap I-8.75%     Pfd      29364H200          249        9,965 Shs  Def  12                     9,965
Entergy Louisiana Inc            Pfd      29364M209            7          144 Shs  Def  12                       144
Entergy Louisiana Inc            Pfd      29364M407           14          231 Shs  Def  12                       231
Entergy Louisiana Inc            Pfd      29364M605           37          550 Shs  Def  12                       550
Entergy Mississippi Inc          Pfd      29364N207           28          520 Shs  Def  12                       520
Entergy Mississippi Inc          Pfd      29364N306           11          200 Shs  Def  12                       200
Entergy New Orleans Inc          Pfd      29364P202           13          250 Shs  Def  12                       250
Entergy New Orleans Inc          Pfd      29364P301           40          687 Shs  Def  12                       687
Entergy New Orleans Inc          Pfd      29364P400           25          375 Shs  Def  12                       375
Enterprise Capital Tr I-7.44%    Pfd      293701207          205        8,610 Shs  Def  12                     8,610
Enterprise Products Partners     Com      293792107        1,094       22,635 Shs  Def  12                    22,635
Entertainment Properties Trust   Com      29380T105          106        4,675 Shs  Def  12                     4,675
Entertainment Properties Tr      Com      29380T105          301       13,300 Shs  Def   3        9,900                      3,400
Entremed Inc                     Com      29382F103           10        1,314 Shs  Def  12                     1,314
Entravision Communications       Com      29382R107            7          500 Shs  Def  12                       500
Entropin Inc                     Com      293844106            3          700 Shs  Def  12                       700
Entrust Inc                      Com      293848107           19        3,716 Shs  Def  12                     3,716
Enzon Inc                        Com      293904108          918       20,725 Shs  Def  12                    20,725
Enzon Inc  Com  Nasd Indl        Com      293904108       17,863      403,330 Shs  Def   3      392,930                     10,400
Enterprise Capital Trust Iii     Pfd      29390B201           35        1,500 Shs  Def  12                     1,500
Environmental Elements Corp      Com      293940102          583      119,611 Shs  Def  12                   119,611
Environmental Tectonics Corp     Com      294092101           72       10,600 Shs  Def  12                    10,600
Enzo Biochem Inc                 Com      294100102           74        3,675 Shs  Def  12                     3,675
Eott Energy Partners Lp          Com      294103106           14        1,600 Shs  Def  12                     1,600
Eplus Inc                        Com      294268107        1,535      161,800 Shs  Def   6      157,700                      4,100
Epicor Software Corp             Com      29426L108            7        3,000 Shs  Def  12                     3,000
Equifax, Inc.                    Com      294429105        3,441      115,100 Shs  Def   1       40,800                     74,300
Equifax Inc                      Com      294429105        1,567       52,405 Shs  Def  12                    52,405
Equifax Inc  Com                 Com      294429105        7,601      254,200 Shs  Def   3      254,200
Equitable Bank Md                Com      29444Q105            6          210 Shs  Def  12                       210
Equitable Resources Inc.         Com      294549100           35        1,000 Shs  Def   2        1,000
Equitable Res Inc                Com      294549100       12,218      351,000 Shs  Def   6      351,000
Equitable Resources Inc          Com      294549100          166        4,758 Shs  Def  12                     4,758
Equitable Resource Cap Tr I      Pfd      294550207          149        6,100 Shs  Def  12                     6,100
Equity Income Fund               Cl End Fd294700703           62          571 Shs  Def  12                       571
Equity Inns Inc                  Com      294703103           18        2,200 Shs  Def  12                     2,200
Equity Inns Inc                  Pfd      294703202           10          400 Shs  Def  12                       400
Equity Marketing Inc             Com      294724109        1,079       87,700 Shs  Def   6       84,000                      3,700
Equity Marketing Inc             Com      294724109           52        4,200 Shs  Def  12                     4,200
Equity Office Properties         Com      294741103        1,479       49,315 Shs  Def   2       49,315
Equity Office Property Tr        Com      294741103          278        9,255 Shs  Def   5        9,255
Equity Office Properties Trust   Com      294741103          336       11,217 Shs  Def  12                    11,217
Equity Offfice Properties Trust  Com      294741103          452       12,100 Shs  Def  15       12,100
Equity Office Properties Trust   Pfd      294741202           13          500 Shs  Def  12                       500
Equity Office Properties Tr      Pfd      294741608           38        1,480 Shs  Def  12                     1,480
Equity Office Pptys Trust        Pfd      294741707           32        1,285 Shs  Def  12                     1,285
Equity Oil Co                    Com      294749106          301      154,200 Shs  Def   6      149,400                      4,800
Equity One Inc                   Com      294752100          355       26,360 Shs  Def  12                    26,360
Equity Residential Properties    Com      29476L107       17,823      620,150 Shs  Def   1      127,800                    492,350
Equity Residential Properties    Com      29476L107        1,249       43,441 Shs  Def   2       43,441
Equity Residential Properties    Com      29476L107        1,640       56,588 Shs  Def   9                                  56,588
Equity Residential Properties    Com      29476L107          392       13,638 Shs  Def  12                    13,638
Equity Residential Pptys Trust   Pfd      29476L305           13          500 Shs  Def  12                       500
Equity Residential Pptys Trust   Pfd      29476L792          184        7,600 Shs  Def  12                     7,600
Equity Residential Pptys Trust   Pfd      29476L859            8          300 Shs  Def  12                       300
Equity Residential Interest      Pfd      29476L883           68        2,100 Shs  Def   2        2,100
Ericsson L M Tel Co              ADR      294821400          193       46,165 Shs  Def   2       46,165
Ericsson L M Tel Co              Com      294821400        1,225      298,164 Shs  Def   6      263,299                     34,865
Ericsson L M Tel Co              Com      294821400           45       10,800 Shs  Def  11       10,800
Lm Ericsson Telephone Co Adr     Com      294821400          251       60,000 Shs  Def                        60,000
Erie Indemnity Co-Cl A           Com      29530P102           67        1,650 Shs  Def  12                     1,650
Escalade Inc                     Com      296056104          304        4,400 Shs  Def   6        4,400
Escalade Inc                     Com      296056104            3           50 Shs  Def  12                        50
Espeed, Inc.                     Com      296643109       26,450    2,500,000 Shs  Def  14    2,500,000
Esterline Technologies C         Com      297425100        7,532      369,200 Shs  Def   6      359,900                      9,300
Ethan Allen Interiors Inc        Com      297602104           57        1,500 Shs  Def  12                     1,500
Europe Fund Inc                  Cl End Fd29874M103           40        3,775 Shs  Def  12                     3,775
European Warrant Fund Inc        Cl End Fd298792102           24        5,973 Shs  Def  12                     5,973
Eurotech Ltd                     Com      298796103            2        4,000 Shs  Def  12                     4,000
Evans & Sutherland Computer      Com      299096107           29        4,000 Shs  Def  12                     4,000
Exactech Inc                     Com      30064E109           47        3,100 Shs  Def  12                     3,100
Excel Technology                 Com      30067T103           26        1,200 Shs  Def   4        1,200
Excelon Corp                     Com      300691102           36       23,450 Shs  Def  12                    23,450
Exelon Corp                      Com      30161N101        4,156       78,881 Shs  Def   6       70,264                      8,617
Exelon Corp                      Com      30161N101          228        4,325 Shs  Def   9                                   4,325
Exelon Corp                      Com      30161N101          731       13,799 Shs  Def  12                    13,799
Exide Corp                       Com      302051107            1        3,000 Shs  Def   2        3,000
Exodus Communications Inc        Com      302088109            2       65,877 Shs  Def  12                    65,877
Expedia Inc                      Com      302125109           98        1,410 Shs  Def  12                     1,410
Wts Expedia Inc                  Wts      302125125           12          324 Shs  Def  12                       324
Expeditors International Of      Com      302130109          121        1,982 Shs  Def  12                     1,982
Explore Holdings Llc Shares      Com      30214H929           47       19,234 Shs  Def   5       19,234
Exponent Inc                     Com      30214U102        1,404      105,500 Shs  Def   6      101,700                      3,800
Express Scripts Inc Common       Com      302182100           40          700 Shs  Def  12                       700
Express Scripts Inc              Com      302182100        1,434       24,900 Shs  Def   3       24,900
Extended Stay Amer Inc           Com      30224P101            3          200 Shs  Def   6          200
Extreme Networks Inc             Com      30226D106           21        2,020 Shs  Def  12                     2,020
Exxon Mobil Corp.                Com      30231G102       41,351      943,441 Shs  Def   1      112,922                    830,519
Exxon Mobil Corp.                Com      30231G102       45,563    1,039,549 Shs  Def   2    1,024,749                     14,800
Exxon Mobil                      Com      30231G102          218        4,985 Shs  Def   4        4,985
Exxon Mobil Corporation          Com      30231G102       49,027    1,118,588 Shs  Def   5    1,093,708                     24,880
Exxon Corporation                Com      30231G102       14,028      319,853 Shs  Def   6      319,853
Exxon Mobil Corp.                Com      30231G102        7,373      168,210 Shs  Def   7      168,210
Exxon Mobil Corp.                Com      30231G102        2,955       67,418 Shs  Def   9                                  67,418
Exxon Mobil Corp                 Com      30231G102        7,092      161,809 Shs  Def  11      110,842       43,843         5,286
Exxon Mobil Corp                 Com      30231G102       58,105    1,325,682 Shs  Def  12                 1,325,682
Exxon-Mobil Corp.                Com      30231G102        1,143       16,364 Shs  Def  15       16,364
Exxon Mobil Corporation          Com      30231G102       58,409    1,332,636 Shs  Def   3    1,297,234                     35,402
F&M Bancorp-Md                   Com      302367107          438       16,240 Shs  Def  12                    16,240
F & M Bank Corp-Timberville Va   Com      30237P106            2           86 Shs  Def  12                        86
Fbl Finl Group Inc               Com      30239F106        2,663      142,000 Shs  Def   6      132,800                      9,200
Fei Co                           Com      30241L109           21          600 Shs  Def  12                       600
Fei Company                      Com      30241L109       13,938      392,070 Shs  Def   3      363,670                     28,400
Ffd Financial Corp               Com      30243C107           24        2,000 Shs  Def  12                     2,000
Fcnb Capital Trust 8.25%         Pfd      30243V204          215        8,500 Shs  Def  12                     8,500
Flir Systems Inc                 Com      302445101           88        1,840 Shs  Def  12                     1,840
Fcb/Nc Cap Tr Ii                 Pfd      30245K206          389       14,630 Shs  Def  12                    14,630
Fmc Corp New                     Com      302491303            4          100 Shs  Def  12                       100
Fnb Corp-N.C.                    Com      302519103          165       10,781 Shs  Def  12                    10,781
F N B Corp-Pa                    Com      302520101          114        3,891 Shs  Def  12                     3,891
Fpc Capital Trust I Ser A        Pfd      302552203          448       18,600 Shs  Def  12                    18,600
Fpic Insurance Group Inc         Com      302563101           58        4,500 Shs  Def  12                     4,500
Fpl Group Inc.                   Com      302571104          210        3,519 Shs  Def   2        3,519
Fpl Group Inc Com                Com      302571104          692       11,617 Shs  Def   5       11,000                        617
Fpl Group Inc                    Com      302571104            5           80 Shs  Def   6           80
Fpl Group Inc.                   Com      302571104        2,654       44,983 Shs  Def   9                                  44,983
Fpl Group Inc                    Com      302571104        1,578       26,498 Shs  Def  12                    26,498
F N B Corp-Va                    Com      302930102           25        1,336 Shs  Def  12                     1,336
Fti Consulting Inc               Com      302941109           54        1,734 Shs  Def  12                     1,734
Factory Point Bancorp Inc-Vt     Com      303061105           91        5,221 Shs  Def  12                     5,221
Factset Research Systems Inc     Com      303075105            4          100 Shs  Def  12                       100
Factual Data Corp                Com      303094106          527       65,900 Shs  Def   6       63,000                      2,900
Fairchild Semiconductor Intl     Com      303726103          138        4,825 Shs  Def  12                     4,825
Fairchild Semiconductor Intl Cl ACom      303726103       10,482      366,500 Shs  Def   3      348,900                     17,600
Fairmont Hotels Resorts          Com      305204109            8          300 Shs  Def   6          300
***Fairmont Hotels & Resorts     Com      305204109          178        6,303 Shs  Def  12                     6,303
Falcon Prods Inc                 Com      306075102          179       29,200 Shs  Def   6       29,200
Falconstor Software Inc          Com      306137100            3          400 Shs  Def  12                       400
Falmouth Bancorp Inc             Com      306754102            2          100 Shs  Def  12                       100
Family Dollar Stores Inc.        Com      307000109          432       12,900 Shs  Def   2       12,900
Family Dollar Stores Inc         Com      307000109          874       26,088 Shs  Def  12                    26,088
Farmer Brothers Co               Com      307675108          129          425 Shs  Def   2          425
Farmers Group Capital-8.45%      Pfd      309593200           49        1,950 Shs  Def  12                     1,950
Farmers National Banc Corp       Com      309627107           12        1,020 Shs  Def  12                     1,020
Farmers Group Cap Ii-8.25% Cum   Pfd      309900207          105        4,100 Shs  Def  12                     4,100
Fastenal Co                      Com      311900104          124        1,645 Shs  Def  12                     1,645
Fedders Corp                     Com      313135501          326      108,680 Shs  Def   6      104,280                      4,400
Freddie Mac                      Com      313400301          387        6,100 Shs  Def   1        4,600                      1,500
Freddie Mac                      Com      313400301       13,712      216,373 Shs  Def   2      208,823                      7,550
Freddie Mac                      Com      313400301        9,960      157,170 Shs  Def   4      157,170
Freddie Mac                      Com      313400301        4,502       71,040 Shs  Def   5       60,665                     10,375
Freddie Mac                      Com      313400301          265        4,185 Shs  Def  11        3,685          500
Freddie Mac-Voting Common        Com      313400301        8,753      138,128 Shs  Def  12                   138,128
Federal Home Ln Mtg Corp.        Com      313400301          212        2,100 Shs  Def  15        2,100
Freddie Mac Com                  Com      313400301       15,293      241,328 Shs  Def   3      232,728                      8,600
Federal Mogul Corp               Com      313549107           12       15,200 Shs  Def  12                    15,200
Fannie Mae                       Com      313586109        8,500      106,410 Shs  Def   1       28,540                     77,870
Fannie Mae                       Com      313586109       24,078      301,432 Shs  Def   2      299,632                      1,800
Fannie Mae                       Com      313586109        8,567      107,253 Shs  Def   4      107,253
Fannie Mae                       Com      313586109        6,092       76,266 Shs  Def   5       65,281                     10,985
Fannie Mae                       Com      313586109       22,292      279,071 Shs  Def   6      279,071
Fannie Mae                       Com      313586109        1,650       20,650 Shs  Def   7       20,650
Fannie Mae                       Com      313586109      206,414    2,584,052 Shs  Def   8                 2,584,052
Fannie Mae                       Com      313586109       10,904      136,490 Shs  Def   9                       100       136,390
Fannie Mae                       Com      313586109      389,410    4,874,942 Shs  Def  10    4,874,942
Fannie Mae                       Com      313586109        2,712       33,950 Shs  Def  11       25,265        5,180         3,235
Fannie Mae                       Com      313586109       26,002      325,518 Shs  Def  12                   325,518
Federal Natl Mtg Association     Com      313586109        6,183       49,170 Shs  Def  15       49,170
Fannie Mae                       Com      313586109       31,037      388,547 Shs  Def   3      373,947                     14,600
Federal Realty Investment        Com      313747206           83        3,225 Shs  Def   2        3,225
Fedl Rlty Invt Trust S B I       Com      313747206            4          143 Shs  Def   6          143
Federal Realty Investment Trust  Com      313747206        1,025       39,650 Shs  Def   9                                  39,650
Federal Realty Invt Trust        Com      313747206        1,200       46,737 Shs  Def  12                    46,737
Federal Realty Invt Tr  Sh Ben InCom      313747206          116        4,500 Shs  Def   3        4,500
Federal Realty Investment        Pfd      313747404           10          400 Shs  Def  12                       400
Federal Signal Corporation       Com      313855108           96        4,066 Shs  Def   2        4,066
Federal Signal Corp.             Com      313855108          419       17,632 Shs  Def   9                                  17,632
Federal Signal Corp              Com      313855108          553       23,318 Shs  Def  12                    23,318
Federated Department Stores      Com      31410H101          118        2,900 Shs  Def   2        2,900
Federated Department Stores In   Com      31410H101          840       20,575 Shs  Def   5       17,725                      2,850
Federated Dept Stores In         Com      31410H101       31,848      779,630 Shs  Def   6      779,630
Federated Department Stores      Com      31410H101          225        5,499 Shs  Def  12                     5,499
Federated Investors Inc (Pa.)    Com      314211103        6,578      203,350 Shs  Def   7      203,350
Federated Investors Inc (Pa.)    Com      314211103          844       26,080 Shs  Def  12                    26,080
Fedex Corp                       Com      31428X106           45          780 Shs  Def   2          780
Fedex Corp                       Com      31428X106        1,906       32,800 Shs  Def   6       32,800
Fedex Corp                       Com      31428X106        3,531       60,773 Shs  Def  12                    60,773
Felcor Lodging Trust Inc         Com      31430F101           26        1,200 Shs  Def   2        1,200
Felcor Lodging Trust Inc         Com      31430F101           16          775 Shs  Def  12                       775
Ferrellgas Partners Lp           Com      315293100          127        6,700 Shs  Def  12                     6,700
Ferro Corp.                      Com      315405100        2,740       95,125 Shs  Def   2       95,125
Ferro Corp                       Com      315405100           17          600 Shs  Def  12                       600
F5 Networks Inc                  Com      315616102           55        2,350 Shs  Def  12                     2,350
F5 Networks Inc                  Com      315616102          198        8,500 Shs  Def   3        7,500                      1,000
Fibercore Inc                    Com      31563B109            1          500 Shs  Def  12                       500
Fibermark Inc                    Com      315646109          381       63,000 Shs  Def   6       63,000
Fidelity Bancorp Inc-Pa          Com      315831107          115        5,947 Shs  Def  12                     5,947
Fidelity Bancorp Inc Del         Com      31583B105          169        8,700 Shs  Def   6        8,700
Fidelity Bankshares Inc New      Com      31604Q107        3,428      190,450 Shs  Def   7      190,450
Fidelity Natl Finl Inc           Com      316326107        2,984      113,150 Shs  Def   6      113,150
Fidelity National Finl Inc       Com      316326107          743       28,160 Shs  Def   3       27,720                        440
Fifth Third Bancorp              Com      316773100       75,414    1,117,579 Shs  Def   2    1,116,922                        657
Fifth Third Bancorp              Com      316773100        8,087      119,849 Shs  Def   7      119,849
Fifth Third Bancorp              Com      316773100          537        7,959 Shs  Def  11        5,450          334         2,175
Fifth Third Bancorp              Com      316773100        2,844       42,153 Shs  Def  12                    42,153
Fifth Third Bancorp  Com  Nasd BkCom      316773100        4,730       70,100 Shs  Def   3       67,200                      2,900
Financial Federal Corp           Com      317492106          656       20,000 Shs  Def   7       20,000
Financial Inds Corp              Com      317574101        1,765      126,100 Shs  Def   6      122,500                      3,600
Fsa 6.95% Sr Quids Qrtly Inc     Pfd      31769P308           49        2,000 Shs  Def  12                     2,000
Finisar Corp                     Com      31787A101           11        1,400 Shs  Def  12                     1,400
Finger Lakes Bancorp Inc         Com      31787C107           20        1,735 Shs  Def   2        1,735
Finlay Enterprises Inc           Com      317884203        2,136      178,000 Shs  Def   6      172,000                      6,000
Finova Group Inc.                Com      317928109            3        7,875 Shs  Def   2        7,875
Finova Group Inc                 Com      317928109            1        4,235 Shs  Def  12                     4,235
Firepond Inc Com                 Com      318224102            2        2,000 Shs  Def  12                     2,000
First Albany Companies Inc       Com      318465101            2          288 Shs  Def  12                       288
First Amern Finl Corp            Com      318522307       37,302    1,750,290 Shs  Def   6    1,708,115        1,070        41,105
First American Corp              Com      318522307           35        1,657 Shs  Def  12                     1,657
First Bancorp P R Com            Com      318672102        3,506      121,300 Shs  Def   3      118,700                      2,600
First Bell Bancorp Inc.          Com      319301107          156       10,000 Shs  Def   2       10,000
First Bell Bancorp               Com      319301107          316       20,300 Shs  Def   4       20,300
First Bell Bancorp Inc           Com      319301107        1,171       75,300 Shs  Def   6       73,300                      2,000
First Capital Instl Real         Com      31941R206            1            8 Shs  Def  12                         8
First Cash Finl Svcs Inc         Com      31942D107        1,002      122,200 Shs  Def   6      118,600                      3,600
First Charter Corp-N.C.          Com      319439105          587       31,439 Shs  Def  12                    31,439
First Ctzns Bancshares I         Com      31946M103       13,127      127,500 Shs  Def   6      122,200                      5,300
First Citizens Bancshares Inc    Com      31946M103          161        1,560 Shs  Def  12                     1,560
First Citizens Bancshares Inc    Com      31946M202           41          450 Shs  Def  12                       450
First Chester Cnty Corp          Com      31947W100           33        2,142 Shs  Def  12                     2,142
First Commonwealth Financial     Com      319829107          132       10,000 Shs  Def   1                                  10,000
First Commonwealth Financial     Com      319829107          103        7,777 Shs  Def  12                     7,777
First Commonwealth Finl Cp/Pa    Com      319829107          253       19,100 Shs  Def   3       19,100
First Fed Cap Corp               Com      319960100        4,843      256,900 Shs  Def   6      249,400                      7,500
First Federal Capital Corp       Com      319960100           21        1,100 Shs  Def  12                     1,100
First Data Corp.                 Com      319963104       34,365      393,872 Shs  Def   1      125,897                    267,975
First Data Corp.                 Com      319963104        1,712       19,617 Shs  Def   2       19,617
First Data                       Com      319963104            9          100 Shs  Def   4          100
First Data Corp.                 Com      319963104        5,763       66,050 Shs  Def   7       66,050
First Data Corp                  Com      319963104        1,861       21,330 Shs  Def  11       18,850        2,380
First Data Corp                  Com      319963104        4,632       53,091 Shs  Def  12                    53,091
First Data Corp                  Com      319963104       14,841      170,100 Shs  Def   3      164,300                      5,800
First Defiance Finl Corp         Com      32006W106        1,789      103,700 Shs  Def   6       99,600                      4,100
First Essex Bancorp Inc          Com      320103104        1,625       53,400 Shs  Def   6       50,200                      3,200
First Fed Bancshares Ark         Com      32020F105           76        3,200 Shs  Def   6        3,200
First Finl Bankshares            Com      32020R109          236        7,100 Shs  Def   6        7,100
First Financial Bankshares Inc   Com      32020R109            7          200 Shs  Def  12                       200
First Financial Bankshares Inc   Com      32020R109          242        7,300 Shs  Def   3        7,300
First Finl Corp Ind              Com      320218100           26          600 Shs  Def   6          600
First Financial Corp-Ind         Com      320218100           12          283 Shs  Def  12                       283
First Financial Holdings Inc     Com      320239106           54        2,000 Shs  Def  12                     2,000
First Franklin Corp.             Com      320272107           11          900 Shs  Def   2          900
First Indust Realty Tr Inc       Com      32054K103            3           87 Shs  Def   6           87
First Industrial Realty Trust    Com      32054K103          434       12,675 Shs  Def  12                    12,675
First Industrial Realty Tr Inc   Pfd      32054K400           19          750 Shs  Def  12                       750
First Industrial Realty Tr Inc   Pfd      32054K806           49        2,070 Shs  Def  12                     2,070
Escrow First Int'L Banc          Com      32054Q894            4        3,600 Shs  Def   6        3,600
First Ind Corp                   Com      32054R108        3,415      175,575 Shs  Def   6      171,700                      3,875
First Mariner Bancorp            Com      320795107           52        4,830 Shs  Def  12                     4,830
First Merchants Corp             Com      320817109          165        6,300 Shs  Def   6        6,300
First Natl Corp Orangebu         Com      320942105          733       29,200 Shs  Def   6       29,200
First Health Group Corp.         Com      320960107            7          300 Shs  Def   2          300
First Health Group Corp          Com      320960107          312       12,950 Shs  Def  12                    12,950
First National Community         Com      32110M101            8          242 Shs  Def  12                       242
First Mutual Bancshares          Com      32190E102          622       45,200 Shs  Def   6       45,200
First Oak Brook Bancshares,      Com      335847208           53        1,700 Shs  Def   2        1,700
First Oak Brook Bancshar         Com      335847208          635       20,400 Shs  Def   6       19,200                      1,200
First Place Financial Corp-Del   Com      33610T109           18        1,075 Shs  Def  12                     1,075
First Rep Bk San Francis         Com      336158100          707       24,900 Shs  Def   6       24,900
First Republic Bank Com          Com      336158100           81        2,850 Shs  Def   3        2,850
First State Bancorporation       Com      336453105           41        1,784 Shs  Def   2        1,784
1St Source Capital Trust I       Pfd      33645W200           18          700 Shs  Def  12                       700
1St Source Corp                  Com      336901103        2,309       97,520 Shs  Def   6       95,475                      2,045
First Tennessee                  Com      337162101        6,007      171,374 Shs  Def   2      171,374
First Tenn Natl Corp             Com      337162101            2           60 Shs  Def   6           60
First Tennessee                  Com      337162101          973       27,600 Shs  Def   9                                  27,600
First Tennessee National Corp    Com      337162101          256        7,300 Shs  Def  11          400                      6,900
First Tennessee National Corp    Com      337162101          170        4,850 Shs  Def  12                     4,850
First Tennessee National Corp    Com      337162101       31,930      910,980 Shs  Def   3      870,780                     40,200
First Trust Bank Charlotte       Com      33732N105           21        1,760 Shs  Def  12                     1,760
First Un Real Estate Equity      Com      337400105            2          750 Shs  Def   2          750
First Union Real Estate Equity   Com      337400105            1          500 Shs  Def  12                       500
First Utd Corp                   Com      33741H107          371       23,800 Shs  Def   6       22,500                      1,300
First United Corp                Com      33741H107            5          292 Shs  Def  12                       292
First Va Banks Inc               Com      337477103           46          850 Shs  Def   6          850
First Virginia Banks Inc         Com      337477103        1,392       25,964 Shs  Def  12                    25,964
First West Virginia Bancorp      Com      337493100           38        1,903 Shs  Def  12                     1,903
Fiserv Inc.                      Com      337738108           19          412 Shs  Def   2          412
Fiserv Inc.                      Com      337738108       16,169      351,580 Shs  Def   7      351,580
Fiserv Inc                       Com      337738108          179        3,888 Shs  Def  12                     3,888
Fiserv Inc  Com  Nasd Indl       Com      337738108       16,306      354,550 Shs  Def   3      337,700                     16,850
Firstfed Finl Corp               Com      337907109        8,556      327,200 Shs  Def   6      319,400                      7,800
Firstmerit Corp.                 Com      337915102           12          400 Shs  Def   2          400
Firstmerit Corp                  Com      337915102          447       15,512 Shs  Def  12                    15,512
Firstfed Amer Bancorp In         Com      337929103        2,135       89,341 Shs  Def   6       87,381                      1,960
Firstfed America Bancorp Inc     Com      337929103           12          500 Shs  Def  12                       500
Flagstar Bancorp Inc             Com      337930101        5,879      252,550 Shs  Def   6      245,800                      6,750
Flagstar Bancorp Inc             Com      337930101        1,478       63,500 Shs  Def   3       63,500
Firstenergy Corp.                Com      337932107           88        2,553 Shs  Def   2        2,553
Firstenergy Corp                 Com      337932107            7          209 Shs  Def   6          209
Firstenergy Corp                 Com      337932107          825       23,861 Shs  Def  12                    23,861
Firstenergy Corp Com             Com      337932107        2,597       75,100 Shs  Def   3       75,100
Fisher Scientific Intl Inc New   Com      338032204            6          200 Shs  Def  12                       200
Fisher Scientific Intl.          Com      338032204           72        1,600 Shs  Def  15        1,600
Fisher Scientific International ICom      338032204           25          900 Shs  Def                           900
Five Star Quality Car            Com      33832D106          217       29,867 Shs  Def   6       28,419          121         1,327
Five Star Quality Care Inc       Com      33832D106           27        3,688 Shs  Def  12                     3,688
Five Star Quality Care Inc.      Com      33832D106           29        4,000 Shs  Def                         4,000
Flanders Corp                    Com      338494107           87       44,500 Shs  Def  12                    44,500
Fleet Capital Trust I-8% Trust   Pfd      33889F202           13          500 Shs  Def  12                       500
Fleet Capital Tr Iii-7.05% Cum   Pfd      33889N205          182        7,700 Shs  Def  12                     7,700
Fleet Capital Trust Iv-7.17%     Pfd      33889R206           74        3,100 Shs  Def  12                     3,100
Fleet Capital Trust Vi Gtd Tr    Pfd      33889T202           58        2,200 Shs  Def  12                     2,200
Fleet Capital Tr Vii             Pfd      33889V207          193        8,050 Shs  Def  12                     8,050
Fleetboston Financial            Com      339030108          559       15,969 Shs  Def   2       15,969
Fleet Boston Financial           Com      339030108          306        8,753 Shs  Def   4        8,753
Fleetboston Financial            Com      339030108        2,698       77,073 Shs  Def   5       50,212                     26,861
Fleetboston Financial            Com      339030108       42,490    1,214,001 Shs  Def   6    1,166,377                     47,624
Fleetboston Financial            Com      339030108      156,216    4,463,323 Shs  Def   8                 4,463,323
Fleet Boston Financial Corp.     Com      339030108        1,569       45,215 Shs  Def   9                                  45,215
Fleetboston Financial            Com      339030108      322,947    9,227,055 Shs  Def  10    9,227,055
Fleetboston Finl Corp            Com      339030108          479       13,694 Shs  Def  11        7,484        6,210
Fleetboston Finl Corp            Com      339030108       13,409      383,125 Shs  Def  12                   383,125
Fleet Boston Financial Corp.     Com      339030108          323        5,800 Shs  Def  15        5,800
Fleet Boston Financial Corp      Com      339030108       14,505      414,442 Shs  Def   3      398,942                     15,500
Fleetwood Enterprises Inc.       Com      339099103          973       90,080 Shs  Def   2       90,080
Fleetwood Enterprises Inc        Com      339099103           24        2,200 Shs  Def  12                     2,200
Fleming Companies Inc            Com      339130106          607       27,100 Shs  Def  12                    27,100
Flexsteel Inds Inc               Com      339382103           78        5,200 Shs  Def   6        5,200
Florida Banks, Inc.              Com      340560101            9        1,100 Shs  Def   2        1,100
Florida East Coast Inds Inc      Com      340632108          422       14,910 Shs  Def  12                    14,910
Florida East Coast Inds Inc      Com      340632207           27        1,032 Shs  Def  12                     1,032
Florida Rock Industries Inc      Com      341140101          231        5,800 Shs  Def  12                     5,800
Florida Rock Inds Inc  Com       Com      341140101        4,977      124,920 Shs  Def   3      119,470                      5,450
Fluor Corp New                   Com      343412102          326        7,994 Shs  Def  12                     7,994
Fluor Corp (New)                 Com      343412102       18,180      445,700 Shs  Def   3      419,300                     26,400
Flowers Foods Inc                Com      343498101           19          759 Shs  Def  12                       759
Flowserve Corp                   Com      34354P105           29          905 Shs  Def  12                       905
Flushing Financial Corp          Com      343873105            7          400 Shs  Def  12                       400
Foamex Intl Inc                  Com      344123104        2,830      290,300 Shs  Def   6      279,900                     10,400
Fomento Economico Mex-Sp Adr     ADS      344419106       15,253      323,500 Shs  Def   3      323,500
Foot Locker Inc                  Com      344849104            5          290 Shs  Def   6          290
Foot Locker Inc                  Com      344849104           19        1,166 Shs  Def  12                     1,166
Foothill Indpt Bancorp           Com      344905104           84        6,400 Shs  Def   6        6,400
Footstar Inc                     Com      344912100            2           56 Shs  Def  12                        56
Ford Motor Co Capital Trust I    Pfd      345343206          234        9,050 Shs  Def  12                     9,050
Ford Motor Co-Dep Shs-Repstg     Pfd      345370407           18          700 Shs  Def  12                       700
Ford Motor Co.                   Com      345370860        2,518      152,685 Shs  Def   2      152,685
Ford Motor                       Com      345370860          412       25,000 Shs  Def   4       25,000
Ford Mtr Co Del Com P            Com      345370860        9,909      614,523 Shs  Def   6      570,433                     44,090
Ford Motor Co.                   Com      345370860          429       27,292 Shs  Def   9                                  27,292
Ford Motor Co.                   Com      345370860        1,649      100,000 Shs  Def  10      100,000
Ford Motor Co Del                Com      345370860          223       13,510 Shs  Def  11        7,744        1,221         4,545
Ford Motor Co Del                Com      345370860       12,380      750,786 Shs  Def  12                   750,786
Ford Motor Co.                   Com      345370860          221        8,422 Shs  Def  15        8,422
Ford Mtr Co Del  Com             Com      345370860        3,423      207,600 Shs  Def   3      199,330                      8,270
Ford Cap Trst Ii                 PFD CV   345395206       12,587      223,800 Shs  Def   6      194,000                     29,800
Ford Cap Trst Ii  6 1/2  1-15-   Com      345395206          150        2,670 Shs  Def   6        2,670
Ford Mtr Co Cap Tr Ii            Pfd      345395206          999       17,760 Shs  Def  12                    17,760
Ford Motor Credit                Pfd      345397202           27        1,100 Shs  Def  12                     1,100
Ford Motor Credit Corp 7.6%      Pfd      345397301           18          725 Shs  Def  12                       725
***Fording Inc                   Com      345426100            8          427 Shs  Def  12                       427
Forest City Enterprises Inc      Com      345550107           84        2,217 Shs  Def  12                     2,217
Forest City Enterprises Inc Cl A Com      345550107        3,631       95,550 Shs  Def   3       91,950                      3,600
Forest Laboratories              Com      345838106           75          920 Shs  Def   4          920
Forest Laboratories Inc          Com      345838106          507        6,200 Shs  Def  12                     6,200
Forest Oil Corp                  Com      346091705       22,224      750,300 Shs  Def   6      731,500                     18,800
Forest Oil Corp                  Com      346091705           60        2,015 Shs  Def  12                     2,015
Forest Oil Corp Com New          Com      346091705          350       11,800 Shs  Def   3       11,800
Forgent Networks Inc             Com      34629U103            4        1,500 Shs  Def  12                     1,500
Fort Dearborn Income Secs Inc    Cl End Fd347200107           11          735 Shs  Def  12                       735
Fortis Securities Inc            Cl End Fd34955T100            1          100 Shs  Def  12                       100
Fortune Brands Inc.              Com      349631101          224        4,536 Shs  Def   2        4,536
Fortune Brands, Inc.             Com      349631101           15          300 Shs  Def   4          300
Fortune Brands Inc Co            Com      349631101       19,673      398,290 Shs  Def   6      386,365                     11,925
Fortune Brands Inc               Com      349631101          219        4,440 Shs  Def  11        3,940          500
Fortune Brands Inc               Com      349631101        1,689       34,216 Shs  Def  12                    34,216
Fossil Inc                       Com      349882100            5          200 Shs  Def  12                       200
L B Foster Co Cl A               Com      350060109           15        2,700 Shs  Def  12                     2,700
Foundry Networks                 Com      35063R100            1          200 Shs  Def   4          200
Foundry Networks Com             Com      35063R100        3,666      513,630 Shs  Def   6      499,460        1,110        13,060
Foundry Networks Inc             Com      35063R100           63        8,830 Shs  Def  12                     8,830
4 Kids Entertainment Inc         Com      350865101          243       12,200 Shs  Def  12                    12,200
Fox Entmt Group Inc Class A      Com      35138T107            5          200 Shs  Def   6          200
Fox Entertainment Group Inc      Com      35138T107            5          200 Shs  Def  12                       200
Franklin Bk Na Southfiel         Com      352456107          159        8,700 Shs  Def   6        8,700
Franklin Bank N.A.               Com      352456107          293       16,000 Shs  Def  12                    16,000
Franklin Electric Co Inc         Com      353514102       10,042      198,227 Shs  Def  12                   198,227
Franklin Elec Inc  Com  Nasd IndlCom      353514102          720       14,220 Shs  Def   3       14,220
Franklin Finl Corp Tenn          Com      353523202            9          400 Shs  Def  12                       400
Franklin Financial Services      Com      353525108           25        1,000 Shs  Def  12                     1,000
Franklin Multi Income Trust      Cl End Fd354021107           29        3,325 Shs  Def  12                     3,325
Franklin Resources, Inc.         Com      354613101          335        8,000 Shs  Def   1                                   8,000
Franklin Resources               Com      354613101          116        2,774 Shs  Def   4        2,774
Franklin Res Inc                 Com      354613101            5          120 Shs  Def   6          120
Franklin Resources               Com      354613101           54        1,289 Shs  Def   7        1,289
Franklin Resources Inc           Com      354613101          777       18,530 Shs  Def  12                    18,530
Franklin Universal Trust-Sbi     Cl End Fd355145103            2          200 Shs  Def  12                       200
Freemarkets Inc                  Com      356602102          225        9,810 Shs  Def  12                     9,810
Freeport Mcmoran Copper          Pfd      35671D501           53        2,800 Shs  Def  12                     2,800
Freeport Mcmoran Copper          Pfd      35671D600        1,395       49,463 Shs  Def  12                    49,463
Freeport Mcmoran Copper          Com      35671D857           28        1,563 Shs  Def   2        1,563
Freeport Mcmoran Copper          Com      35671D857          117        6,622 Shs  Def  12                     6,622
Freeport Mcmoran Copper          Pfd      35671D865          849       84,940 Shs  Def  12                    84,940
Freeport Mcmoran Copper          Pfd      35671D881          107        4,950 Shs  Def  12                     4,950
Fremont General Financing I      Pfd      356905208           10          500 Shs  Def  12                       500
Fremont General Corp             Com      357288109            1          160 Shs  Def  12                       160
Fresh Choice Inc                 Com      358032100           18        7,900 Shs  Def   6        7,900
Fresh Brands Inc                 Com      35803U108          236       13,900 Shs  Def   6       13,900
Friedman Billings Ramsey         Com      358433100            4          500 Shs  Def   2          500
Friedman Billings Ramsey Group ClCom      358433100          385       55,000 Shs  Def                        55,000
Friedman Inds Inc                Com      358435105          234       88,327 Shs  Def   6       85,649                      2,678
Friedmans Inc                    Com      358438109        3,052      283,900 Shs  Def   6      276,200                      7,700
Frischs Restaurants Inc          Com      358748101        1,192       60,400 Shs  Def   6       58,900                      1,500
Frischs Restaurants Inc          Com      358748101            2          100 Shs  Def  12                       100
Frontier Airlines Inc Ne         Com      359065109        4,384      239,300 Shs  Def   6      234,400                      4,900
Frontier Insurance Group Inc     Com      359081106            1      100,341 Shs  Def  12                   100,341
Frontier Oil Corp                Com      35914P105           11          500 Shs  Def  12                       500
Frontier Oil Corp                Com      35914P105        3,525      164,120 Shs  Def   3      152,420                     11,700
Frontline Communications Corp    Com      35921T108            3       10,000 Shs  Def  12                    10,000
Frontstep Inc                    Com      35921W101            1          200 Shs  Def  12                       200
***Fuel-Tech Nv                  Com      359523107            6        1,000 Shs  Def  12                     1,000
Fuelcell Energy Inc              Com      35952H106          283       17,960 Shs  Def  12                    17,960
Fujitsu Ltd                      ADR      359590304           31          800 Shs  Def   2          800
Fuller H B Co Com                Com      359694106        6,313      210,500 Shs  Def   6      204,300                      6,200
Fuller H B Co  Com  Nasd Indl    Com      359694106        2,307       77,020 Shs  Def   3       77,020
Fulton Financial Corp-Pa         Com      360271100          640       25,540 Shs  Def  12                    25,540
Furniture Brands Intl In         Com      360921100        1,706       46,800 Shs  Def   6       45,500                      1,300
Furniture Brands International   Com      360921100           23          625 Shs  Def  12                       625
Furukawa Elec Ltd Adr            Com      361118102        1,614       32,682 Shs  Def   6       32,072                        610
Ga Finl Inc                      Com      361437106          222       12,900 Shs  Def   6       12,900
Gatx Corp.                       Com      361448103        2,794       87,860 Shs  Def   2       86,422                      1,438
Gatx Corp                        Com      361448103            3          100 Shs  Def   6          100
Gatx Corp                        Com      361448103        1,161       36,519 Shs  Def  12                    36,519
Gbb Capital V                    Pfd      36146Q200        1,961       76,900 Shs  Def  12                    76,900
Gbc Bancorp Calif                Com      361475106        5,784      172,900 Shs  Def   6      166,100                      6,800
Glb Bancorp Inc                  Com      361778103           79        8,150 Shs  Def  12                     8,150
Gse Systems Inc                  Com      36227K106            7        2,000 Shs  Def  12                     2,000
***Gsi Lumonics Inc              Com      36229U102            1          100 Shs  Def  12                       100
Gsi Lumonics Inc.                Com      36229U102           51        5,000 Shs  Def                         5,000
G-Iii Apparel Group Ltd          Com      36237H101          414       51,800 Shs  Def   6       50,200                      1,600
Gtsi Corp                        Com      36238K103          533       59,500 Shs  Def   6       58,500                      1,000
***Gtsi Corp                     Com      36238K103            9        1,000 Shs  Def  12                     1,000
Gabelli Equity Trust Inc         Com      362397101          515       46,452 Shs  Def  12                    46,452
Gabelli Equity Tr Inc            Pfd      362397408           26        1,000 Shs  Def  12                     1,000
Gabelli Global Multimedia        Com      36239Q109            1          100 Shs  Def  12                       100
Gabelli Utility Tr               Com      36240A101          113       11,638 Shs  Def  12                    11,638
Gabelli Convertible Securities   Cl End Fd36240B109           21        1,948 Shs  Def  12                     1,948
Gables Residential Trust-Sbi     Com      362418105        1,264       40,716 Shs  Def  12                    40,716
Gables Residential Trust         Pfd      362418204          275       11,090 Shs  Def  12                    11,090
Gadzooks Inc                     Com      362553109          572       32,800 Shs  Def   6       32,800
Gaiam Inc                        Com      36268Q103            8          440 Shs  Def  12                       440
Gallagher Arthur J & Co          Com      363576109          272        8,300 Shs  Def  12                     8,300
Gallaher Group Plc-Spon          ADR      363595109           49        1,590 Shs  Def   2        1,590
Gallaher Group Plc               Com      363595109       21,334      691,300 Shs  Def   6      691,300
Gametech International I         Com      36466D102          514      115,400 Shs  Def   6      108,700                      6,700
Gannett Co                       Com      364730101        1,005       13,210 Shs  Def   2       13,210
Gannett                          Com      364730101          381        5,000 Shs  Def   4        5,000
Gannett Inc Com                  Com      364730101          341        4,475 Shs  Def   5        3,883                        592
Gannett Inc                      Com      364730101            8          100 Shs  Def   6          100
Gannett Co                       Com      364730101          127        1,667 Shs  Def   7        1,667
Gannett Co Inc                   Com      364730101        1,898       24,941 Shs  Def  12                    24,941
Gannett Inc  Com                 Com      364730101        6,765       88,900 Shs  Def   3       84,600                      4,300
The Gap                          Com      364760108          250       16,637 Shs  Def   4       16,637
Gap Inc                          Com      364760108            1           88 Shs  Def   6           88
Gap Inc                          Com      364760108          861       57,267 Shs  Def  12                    57,267
Gap Stores                       Com      364760108           81        3,400 Shs  Def  15        3,400
Garan Inc                        Com      364802108        2,650       49,300 Shs  Def   6       47,100                      2,200
Garden Fresh Restaurant          Com      365235100          776       80,400 Shs  Def   6       77,100                      3,300
Gartner Inc. Cl A                CL A     366651107          226       17,516 Shs  Def   1                                  17,516
Gartner, Inc.                    Com      366651206           26        1,985 Shs  Def   2        1,985
Gartner Inc                      Com      366651206            6          429 Shs  Def  12                       429
Gaston Federal Bancorp Inc       Com      367304102            2          121 Shs  Def  12                       121
Gateway, Inc.                    Com      367626108           14        2,250 Shs  Def   2        2,250
Gateway Inc                      Com      367626108          218       34,540 Shs  Def   6       34,540
Gateway, Inc.                    Com      367626108       58,068    9,187,970 Shs  Def   8                 9,187,970
Gateway Inc.                     Com      367626108          199       30,400 Shs  Def   9                                  30,400
Gateway, Inc.                    Com      367626108      119,338   18,882,595 Shs  Def  10   18,882,595
Gateway Inc                      Com      367626108        1,233      195,063 Shs  Def  12                   195,063
Gateway, Inc.                    Com      367626108       50,560    8,000,000 Shs  Def  14    8,000,000
Gateway Inc.                     Com      367626108           30        3,000 Shs  Def  15        3,000
Gaylord Entertainment Co New     Com      367905106           10          389 Shs  Def  12                       389
Gateway Financial Holdings Inc   Com      368140109            1           90 Shs  Def  12                        90
Gehl Co                          Com      368483103          664       43,800 Shs  Def   6       41,700                      2,100
Gemstar Tv Guide Intl Inc        Com      36866W106          155       10,490 Shs  Def  12                    10,490
Genaera Corp.                    Com      36867G100           40       12,500 Shs  Def                        12,500
Genaissance Pharmaceuticals      Com      36867W105          435      146,910 Shs  Def  12                   146,910
Genaissance Pharmaceuticals      Com      36867W105           59       20,000 Shs  Def                        20,000
Gencorp Inc                      Com      368682100       11,028      701,500 Shs  Def   6      684,200                     17,300
Gencorp Inc                      Com      368682100           11          725 Shs  Def  12                       725
Gene Logic Inc                   Com      368689105           39        2,000 Shs  Def  12                     2,000
Genelabs Technologies Inc        Com      368706107           19       10,900 Shs  Def  12                    10,900
Genentech, Inc.                  Com      368710406       11,480      227,550 Shs  Def   1       53,100                    174,450
Genentech Inc                    Com      368710406           10          200 Shs  Def   2          200
Genentech Inc                    Com      368710406        1,329       26,335 Shs  Def  11       22,160        3,975           200
Genentech Inc                    Com      368710406          623       12,343 Shs  Def  12                    12,343
General American Investors Co    Cl End Fd368802104           96        2,900 Shs  Def  12                     2,900
General Cable Corp Del N         Com      369300108        9,246      647,500 Shs  Def   6      631,000                     16,500
General Cable Corp               Com      369300108       10,249      717,740 Shs  Def   3      670,840                     46,900
General Communication Inc        Com      369385109          497       57,100 Shs  Def   3       48,200                      8,900
General Dynamics Corp            Com      369550108        1,596       16,990 Shs  Def   6       16,990
General Dynamics Corp.           Com      369550108          547        5,700 Shs  Def   9                                   5,700
General Dynamics Corp            Com      369550108        1,305       13,886 Shs  Def  12                    13,886
General Dynamics Corp  Com       Com      369550108        3,777       40,200 Shs  Def   3       40,200
General Electric Co.             Com      369604103       27,013      721,315 Shs  Def   1      179,012                    542,303
General Electric Co.             Com      369604103       41,941    1,119,932 Shs  Def   2    1,110,332                      9,600
General Electric                 Com      369604103        4,975      132,846 Shs  Def   4      132,846
General Electric Co Com          Com      369604103       19,950      532,708 Shs  Def   5      417,844                    114,864
General Electric Co              Com      369604103            8          217 Shs  Def   6          171                         46
General Electric Co.             Com      369604103       13,543      361,620 Shs  Def   7      361,620
General Electric Co.             Com      369604103           22          575 Shs  Def   8                       575
General Electric Co.             Com      369604103        8,940      239,672 Shs  Def   9                    10,500       229,172
General Electric Co.             Com      369604103        8,426      225,000 Shs  Def  10      225,000
General Electric Co              Com      369604103        8,964      239,350 Shs  Def  11      191,973       42,604         4,023
General Electric Co              Com      369604103       77,957    2,081,626 Shs  Def  12                 2,081,626
General Electric Co.             Com      369604103       14,973      259,286 Shs  Def  15      259,286
General Elec Co  Com             Com      369604103       87,676    2,341,158 Shs  Def   3    2,258,458                     82,700
General Growth Pptys Inc         Com      370021107          462       10,450 Shs  Def   5       10,450
General Growth Properties Inc    Com      370021107           82        1,850 Shs  Def  12                     1,850
General Magic Inc                Com      370253106            2        7,150 Shs  Def  12                     7,150
General Mills Inc.               Com      370334104          405        8,281 Shs  Def   2        8,281
General Mills Inc Com            Com      370334104          313        6,400 Shs  Def   5        6,400
General Mills Inc.               Com      370334104          147        3,000 Shs  Def   7        3,000
General Mills Inc                Com      370334104          956       19,580 Shs  Def  11       16,505        2,675           100
General Mills Inc                Com      370334104        1,327       27,174 Shs  Def  12                    27,174
General Mills                    Com      370334104        4,678       60,100 Shs  Def  15       60,100
General Motors Accept Corp       Pfd      370425209           91        3,700 Shs  Def  12                     3,700
General Motors Corporation       Com      370442105        2,842       47,006 Shs  Def   2       47,006
General Motors                   Com      370442105           36          600 Shs  Def   4          600
General Mtrs Corp                Com      370442105        4,369       72,271 Shs  Def   6       72,271
General Motors Corporation       Com      370442105      124,495    2,059,467 Shs  Def   8                 2,059,467
General Motors Corporation       Com      370442105      229,338    3,793,852 Shs  Def  10    3,793,852
General Motors Corp              Com      370442105          448        7,418 Shs  Def  11        4,617          401         2,400
General Motors Corp              Com      370442105       12,968      214,530 Shs  Def  12                   214,530
General Motors Corp.             Com      370442105        9,072       94,177 Shs  Def  15       94,177
General Mtrs Corp  Com           Com      370442105        2,936       48,571 Shs  Def   3       45,871                      2,700
General Motors Corp.             Deb      370442741           80        3,000 Shs  Def                         3,000
General Motors Corp 7.25% Sr     Pfd      370442758           63        2,600 Shs  Def  12                     2,600
General Motors Corp              Pfd      370442766           27        1,100 Shs  Def  12                     1,100
General Motors Corp 7.25%        Pfd      370442816           41        1,700 Shs  Def  12                     1,700
General Motors Corporation       Com      370442832           47        2,867 Shs  Def   2        2,867
General Motors Corp Class H Co   Com      370442832          308       18,733 Shs  Def   5       18,733
General Mtrs Corp                Com      370442832          400       24,340 Shs  Def   6       24,223                        117
General Motors Corp-Cl H New     Com      370442832        1,249       75,929 Shs  Def  12                    75,929
General Motors Corp.             CL H     370442832        3,300      125,900 Shs  Def  15      125,900
Genesco Inc                      Com      371532102        4,626      167,800 Shs  Def   6      164,100                      3,700
Genesco Inc                      Com      371532102           11          415 Shs  Def  12                       415
Genesee & Wyo Inc                Com      371559105        3,586      151,500 Shs  Def   6      146,325                      5,175
Genesee & Wyoming Inc-Cl A       Com      371559105          208        8,772 Shs  Def  12                     8,772
Genesee & Wyoming Inc-Cl A       Com      371559105          835       35,275 Shs  Def   3       28,375                      6,900
Genesee Corp-Cl B                Com      371601204            1           52 Shs  Def  12                        52
Genesis Health Ventures Inc      Com      37183F107          602       33,100 Shs  Def  12                    33,100
Genesis Microchip Inc            Com      37184C103            6          241 Shs  Def  12                       241
Gentex Corp                      Com      371901109           44        1,470 Shs  Def  12                     1,470
Genlyte Group Inc                Com      372302109        2,115       56,300 Shs  Def   6       53,900                      2,400
Genlyte Group Inc                Com      372302109            8          200 Shs  Def  12                       200
Genlyte Group Inc                Com      372302109        1,067       28,420 Shs  Def   3       28,420
Genome Therapeutics Corp.        Com      372430108           14        2,400 Shs  Def   2        2,400
Genome Therapeutics Corp         Com      372430108            1          200 Shs  Def  12                       200
***Gensci Regeneration           Com      37244V109            1        8,800 Shs  Def  12                     8,800
Genta Inc New                    Com      37245M207          142        8,450 Shs  Def  12                     8,450
Gensym Corp                      Com      37245R107            4        4,400 Shs  Def  12                     4,400
Genuine Parts Co.                Com      372460105          248        6,755 Shs  Def   2        6,755
Genuine Parts Co                 Com      372460105          575       15,625 Shs  Def   5       12,525                      3,100
Genuine Parts Co                 Com      372460105        1,762       47,915 Shs  Def   6       47,915
Genuine Parts Co.                Com      372460105           74        2,000 Shs  Def   7        2,000
Genuine Parts Co                 Com      372460105          922       25,082 Shs  Def  12                    25,082
Genus Inc                        Com      372461103            9        2,000 Shs  Def  12                     2,000
Genzyme Transgenics Corp         Com      37246E105            8        2,500 Shs  Def  12                     2,500
Gentiva Health Services Inc      Com      37247A102            6          250 Shs  Def  12                       250
Genstar Therapeutics Corp        Com      37248D105           24       23,600 Shs  Def  12                    23,600
Genuity Inc                      Com      37248E103            1        1,600 Shs  Def  12                     1,600
Genzyme Corp                     Com      372917104           46        1,048 Shs  Def   2        1,048
Genzyme                          Com      372917104           24          550 Shs  Def   4          550
Genzyme Corp                     Com      372917104            7          153 Shs  Def   6          153
Genzyme Corp                     Com      372917104          201        4,600 Shs  Def  11        4,600
Genzyme Corp                     Com      372917104        3,509       80,357 Shs  Def  12                    80,357
Genzyme Corp                     Com      372917104        1,079       24,700 Shs  Def   3       24,700
Genzyme Corp                     Com      372917500           19        3,192 Shs  Def  12                     3,192
Genzyme Corp Biosurgery          Com      372917708          117       17,174 Shs  Def   5        8,430                      8,744
Genzyme Corp Biosurgery          Com      372917708           48        7,119 Shs  Def  12                     7,119
Georgia Gulf Corp New            Com      373200203           21          800 Shs  Def  12                       800
Georgia-Pacific Corp.            Com      373298108           10          318 Shs  Def   2          318
Georgia Pacific Corp Com         Com      373298108          743       24,819 Shs  Def   5       17,821                      6,998
Georgia Pac Corp                 Com      373298108           18          592 Shs  Def   6          592
Georgia Pacific Corp             Com      373298108          576       19,229 Shs  Def  12                    19,229
Georgia Power Capital Trust I    Pfd      373331206           93        3,700 Shs  Def  12                     3,700
Georgia Power Capital Trust      Pfd      373333202           55        2,200 Shs  Def  12                     2,200
Georgia Power Company            Pfd      373334549           46        1,830 Shs  Def  12                     1,830
Georgia Power Company            Pfd      373334556           39        1,600 Shs  Def  12                     1,600
Georgia Power Co-6.875% Sen      Pfd      373334564           85        3,550 Shs  Def  12                     3,550
Georgia Capital Trust Iv         Pfd      37333R209          200        8,235 Shs  Def  12                     8,235
Gerber Childrenswear Inc         Com      373701101        1,510      198,700 Shs  Def   6      191,500                      7,200
Gerber Scientific Inc.           Com      373730100            9        1,200 Shs  Def   2        1,200
Geron Corp                       Com      374163103           23        3,000 Shs  Def  12                     3,000
Getty Images Inc                 Com      374276103           99        3,300 Shs  Def  12                     3,300
Getty Realty Corp New            Com      374297109          365       19,420 Shs  Def  12                    19,420
Getty Rlty Corp New Com          Com      374297109          201       10,700 Shs  Def   3       10,700
Giant Inds Inc                   Com      374508109        1,492      144,900 Shs  Def   6      139,700                      5,200
Giant Industries Inc             Com      374508109            3          300 Shs  Def  12                       300
Gibraltar Stl Corp               Com      37476F103          772       35,500 Shs  Def   6       34,300                      1,200
Gibraltar Stl. Corp.             Com      37476F103           49        2,250 Shs  Def                         2,250
Gilead Sciences Inc              Com      375558103          326        9,050 Shs  Def  12                     9,050
Gilead Sciences Inc              Com      375558103          209        5,800 Shs  Def   3        2,400                      3,400
Gillette Co.                     Com      375766102        2,280       67,043 Shs  Def   1       30,960                     36,083
Gillette Co.                     Com      375766102          320        9,419 Shs  Def   2        9,419
Gillette                         Com      375766102          130        3,830 Shs  Def   4        3,830
Gillette Co Com                  Com      375766102          211        6,200 Shs  Def   5        5,950                        250
Gillette Co                      Com      375766102            2           55 Shs  Def   6           55
Gillette Co.                     Com      375766102          789       23,200 Shs  Def   7       23,200
Gillette Co.                     Com      375766102        1,696       50,353 Shs  Def   9                                  50,353
Gillette Co                      Com      375766102          303        8,900 Shs  Def  11        8,250          650
Gillette Co                      Com      375766102        7,863      231,192 Shs  Def  12                   231,192
Gillette Co.                     Com      375766102           65        1,200 Shs  Def  15        1,200
Gillette Co  Com                 Com      375766102        5,178      152,242 Shs  Def   3      147,242                      5,000
Glacier Bancorp Inc              Com      37637Q105          197        8,677 Shs  Def   2        8,677
Glacier Bancorp Inc N            Com      37637Q105        5,074      224,031 Shs  Def   6      217,676          525         5,830
***Glamis Gold Ltd               Com      376775102            1          200 Shs  Def  12                       200
Glatfelter                       Com      377316104          314       17,520 Shs  Def  12                    17,520
Glaxo Smithkline Sponsored       ADR      37733W105          440        9,358 Shs  Def   2        9,358
Glaxosmithkline Plc-Adr          ADR      37733W105            9          200 Shs  Def   4          200
Glaxo Smithkline Plc Adr         Com      37733W105          336        7,145 Shs  Def   5        6,945                        200
Glaxo Smithkline Sponsored Plc AdADR      37733W105           16          341 Shs  Def   7          341
Glaxosmithkline Plc - Spons Adr  ADR      37733W105          342        7,221 Shs  Def   9                                   7,221
Glaxosmithkline Plc              Com      37733W105          225        4,788 Shs  Def  11        2,288        2,500
Glaxosmithkline Plc              SPON ADR 37733W105           14          300 Shs  Def  15          300
Glen Burnie Bancorp              Com      377407101           13          600 Shs  Def  12                       600
Glenayre Technologies Inc        Com      377899109            5        2,600 Shs  Def  12                     2,600
Glenborough Realty Trust Inc     Com      37803P105            6          277 Shs  Def  12                       277
Glenborough Rlty Tr Inc Com      Com      37803P105          142        6,600 Shs  Def   3        6,600
Glimcher Realty Trust-Sbi        Com      379302102           77        4,126 Shs  Def  12                     4,126
Glimcher Realty Trust            Com      379302102           72        3,900 Shs  Def   3        3,900
Global Industries Ltd            Com      379336100          266       28,500 Shs  Def  12                    28,500
Global High Income Dollar Fund   Cl End Fd37933G108          157       10,800 Shs  Def  12                    10,800
Global Imaging Systems           Com      37934A100        2,142      116,400 Shs  Def   6      108,800                      7,600
Global Imaging Systems Inc       Com      37934A100            2          100 Shs  Def  12                       100
Global Imaging Systems Inc.      Com      37934A100           37        2,000 Shs  Def                         2,000
Global Imaging Systems           Com      37934A100        6,719      365,140 Shs  Def   3      345,140                     20,000
Global Partners Income Fund      Cl End Fd37935R102           40        3,150 Shs  Def  12                     3,150
Global Payments Inc              Com      37940X102        4,999      136,400 Shs  Def   3      117,000                     19,400
Globecomm Systems Inc            Com      37956X103           11        1,500 Shs  Def  12                     1,500
Globespanvirata Inc              Com      37957V106          459       30,766 Shs  Def  12                    30,766
Globespan Inc                    Com      37957V106          121        8,140 Shs  Def   3        8,140
Gold Banc Corp Inc               Com      379907108        2,031      225,700 Shs  Def   6      218,900                      6,800
Gold Banc Corp Inc               Com      379907108           36        4,000 Shs  Def  12                     4,000
Goamerica Inc                    Com      38020R106           15       10,870 Shs  Def  12                    10,870
***Goldcorp Inc                  Com      380956409           38        2,200 Shs  Def  12                     2,200
Golden St Bancorp Inc            Com      381197102       22,210      746,040 Shs  Def   6      661,780                     84,260
Golden State Bancorp Inc         Com      381197102          347       11,695 Shs  Def  12                    11,695
Golden West Finl Corp. Del       Com      381317106          114        1,800 Shs  Def   2        1,800
Golden West Finl Corp Del        Com      381317106          656       10,325 Shs  Def   5        7,675                      2,650
Golden West Fincl Corp Del       Com      381317106            7          115 Shs  Def   6          115
Golden West Financial Corp-Del   Com      381317106           50          785 Shs  Def  12                       785
Goldman Sachs Group              Com      38141G104       10,186      112,860 Shs  Def   1       51,050                     61,810
Goldman Sachs Group, Inc.        Com      38141G104           45          500 Shs  Def   2          500
Goldman Sachs Group Inc          Com      38141G104       10,374      114,950 Shs  Def   6      114,950
Goldman Sachs Group Inc          Com      38141G104        3,427       37,974 Shs  Def  12                    37,974
Goldman Sachs Group Inc          Com      38141G104        9,025      100,000 Shs  Def   3      100,000
Golf Trust Of America Inc        Com      38168B103            1          150 Shs  Def  12                       150
Goodman Fielder Ltd S            Com      382382208        6,786    2,068,788 Shs  Def   6    1,790,333                    278,455
Goodrich Corporation             Com      382388106        7,919      250,286 Shs  Def  12                   250,286
Goodrich B F Co  Com             Com      382388106       28,049      886,500 Shs  Def   3      881,100                      5,400
Goodyear Tire & Rubber Co Com    Com      382550101          428       16,725 Shs  Def   5       10,025                      6,700
Goodyear Tire & Rubr Co          Com      382550101           11          420 Shs  Def   6          420
Goodyear Tire & Rubber Co        Com      382550101           67        2,609 Shs  Def   9                                   2,609
Goodyear Tire & Rubber Co        Com      382550101        1,004       39,263 Shs  Def  12                    39,263
Goodys Family Clothing Inc       Com      382588101            2          300 Shs  Def  12                       300
Gottschalks Inc                  Com      383485109          320       89,000 Shs  Def   6       85,200                      3,800
W R Grace & Co-Del New           Com      38388F108            8        3,736 Shs  Def  12                     3,736
Graco Inc  Com                   Com      384109104           57        1,400 Shs  Def   3        1,400
Grainger Ww Inc.                 Com      384802104          101        1,800 Shs  Def   2        1,800
Grainger W W Inc                 Com      384802104            2           40 Shs  Def   6           40
W W Grainger Inc                 Com      384802104        2,004       35,643 Shs  Def  12                    35,643
Grand Metropolitan Delaware Lp   Pfd      386087209          172        6,285 Shs  Def  12                     6,285
Granite Construction Inc         Com      387328107           10          400 Shs  Def  12                       400
Granite St Bankshares In         Com      387472103          892       33,400 Shs  Def   6       31,800                      1,600
Grant Prideco                    Com      38821G101            8          575 Shs  Def   4          575
Great Amern Finl Res Inc         Com      389915109           42        2,300 Shs  Def   6        2,300
Great Atlantic & Pac Tea Inc     Com      390064103        5,018      179,970 Shs  Def   3      168,470                     11,500
Great Lakes Chemical Corp        Com      390568103          164        5,810 Shs  Def  12                     5,810
Great Lakes Reit Inc             Com      390752103           13          780 Shs  Def  12                       780
Great Lakes Reit Inc Com         Com      390752103          352       20,750 Shs  Def   3       20,750
Great Lakes Reit Inc 9.75% Pfd   Pfd      390752202            9          350 Shs  Def  12                       350
Great Plains Energy Inc          Com      391164100          499       20,000 Shs  Def   2       20,000
Great Plains Energy Inc          Com      391164100            3          130 Shs  Def   6          130
Great Plains Energy Inc          Com      391164100           97        3,899 Shs  Def  12                     3,899
Great Plains Energy Inc          Com      391164100          694       27,800 Shs  Def   3       20,300                      7,500
Great Plains Energy Inc          Pfd      391164308            6          100 Shs  Def  12                       100
Great Plains Energy Inc          Pfd      391164506           12          190 Shs  Def  12                       190
Great-West Life & Annuity Ins    Pfd      391369204            2          100 Shs  Def  12                       100
Great Western Financial Tr I     Pfd      39141F203           25        1,000 Shs  Def  12                     1,000
Greater Atlantic Financial       Com      391601101          713      117,854 Shs  Def  12                   117,854
Greater Bay Bancorp              Com      391648102        8,512      249,470 Shs  Def   7      249,470
Greater Bay Bancorp              Com      391648102          450       13,175 Shs  Def  12                    13,175
Greater China Fund Inc           Cl End Fd39167B102           25        2,455 Shs  Def  12                     2,455
Greenbrier Cos Inc               Com      393657101        3,630      534,870 Shs  Def   6      512,740          765        21,365
Greenpoint Finl Corp             Com      395384100            9          210 Shs  Def   6          210
Greenpoint Financial Corp        Com      395384100            4          100 Shs  Def  12                       100
Greenpoint Financial Corp        Com      395384100       21,837      499,700 Shs  Def   3      486,000                     13,700
Greif Bros Corp                  Com      397624107        3,834      107,400 Shs  Def   6      104,400                      3,000
Greka Energy Corporation         Com      397637109            2          349 Shs  Def  12                       349
Grey Wolf Inc                    Com      397888108       11,969    3,022,400 Shs  Def   6    2,950,900                     71,500
Grey Wolf Inc                    Com      397888108           44       11,000 Shs  Def  12                    11,000
Griffon Corp                     Com      398433102          183       10,935 Shs  Def  12                    10,935
Griffon Corp  Com                Com      398433102        4,975      297,030 Shs  Def   3      290,430                      6,600
Group 1 Automotive Inc           Com      398905109          277        7,100 Shs  Def  12                     7,100
Group 1 Automotive Inc           Com      398905109        4,688      120,060 Shs  Def   3      110,260                      9,800
Group 1 Software Inc New         Com      39943Y103        1,677      120,200 Shs  Def   6      116,000                      4,200
Group 1 Software Inc-New         Com      39943Y103            3          250 Shs  Def  12                       250
Le Groupe Cgi Inc Cat A Sub      Com      39945C109            3          500 Shs  Def  12                       500
Grupo Televisa Sa De Cv          SPON ADR 40049J206        3,308       42,800 Shs  Def  15       42,800
Grupo Televisa Sa De Cv          ADR      40049J206        9,486      195,540 Shs  Def   3      195,540
Grupo Elektra Sa Spon Gdr        ADR      40050A102        4,570      537,600 Shs  Def   3      537,600
Gtech Holdings Corp              Com      400518106           32          650 Shs  Def  12                       650
Gtech Holdings Corp              Com      400518106       17,342      355,730 Shs  Def   3      337,230                     18,500
***Gucci Group Nv (Ny Listed)    Com      401566104            9          100 Shs  Def  12                       100
Guidant Corp.                    Com      401698105        9,032      208,487 Shs  Def   2      206,887                      1,600
Guidant Corp                     Com      401698105            4           99 Shs  Def   6           99
Guidant Corp                     Com      401698105          248        5,715 Shs  Def  11        2,760          355         2,600
Guidant Corp                     Com      401698105        2,903       67,018 Shs  Def  12                    67,018
Guidant Corp.                    Com      401698105          124        1,800 Shs  Def  15        1,800
Guilford Pharmaceuticals Inc     Com      401829106          866      121,595 Shs  Def  12                   121,595
Guitar Center Inc                Com      402040109          829       47,300 Shs  Def  12                    47,300
Gulf Power Cap Tr I-7.625% Cum   Pfd      402473201           40        1,600 Shs  Def  12                     1,600
Gulf Power Co-7.50% Jr Sub       Pfd      402479810           58        2,332 Shs  Def  12                     2,332
Gulfstream Bancshares Inc        Com      402736102           13        1,000 Shs  Def  12                     1,000
Gum Tech International Inc       Com      402803100           13        1,500 Shs  Def  12                     1,500
H & Q Healthcare Investors       Cl End Fd404052102          273       12,298 Shs  Def  12                    12,298
H & Q Life Sciences Investors    Cl End Fd404053100          470       24,020 Shs  Def  12                    24,020
Hca Inc                          Com      404119109          101        2,300 Shs  Def   2        2,300
Hca Inc                          Com      404119109           13          300 Shs  Def   6          300
Hca Inc                          Com      404119109        1,100       24,954 Shs  Def  12                    24,954
Hca Inc.                         Com      404119109          119        1,700 Shs  Def  15        1,700
Hca Inc                          Com      404119109           88        2,000 Shs  Def   3        2,000
Hcc Insurance Holdings Inc       Com      404132102           11          400 Shs  Def  12                       400
Heco Capital Trust I-8.05% Cum   Pfd      404151201           56        2,200 Shs  Def  12                     2,200
Heco Capital Trust Ii            Pfd      40415B209           84        3,560 Shs  Def  12                     3,560
Hdfc Bank  Ltd - Adr             Com      40415F101        1,233       80,300 Shs  Def   3       77,400                      2,900
Hl&P Capital Trust I-8.125%      Pfd      404202202          124        5,190 Shs  Def  12                     5,190
Hmn Financial                    Com      40424G108            3          200 Shs  Def   4          200
Hmn Finl Inc                     Com      40424G108          661       41,200 Shs  Def   6       39,700                      1,500
Hnc Software Inc                 Com      40425P107            1           54 Shs  Def  12                        54
Hrpt Proprties Trust             Com      40426W101           20        2,200 Shs  Def   2        2,200
Hrpt Properties Tr-Sbi           Com      40426W101          229       25,423 Shs  Def  12                    25,423
Hrpt Properties Trust 9.875%     Pfd      40426W200           75        2,900 Shs  Def  12                     2,900
H Power Corp                     Com      40427A108            3        1,300 Shs  Def  12                     1,300
Hadron Inc New                   Com      405009200            3        1,740 Shs  Def  12                     1,740
Haemonetics Corp-Mass            Com      405024100            6          200 Shs  Def  12                       200
Haemonetics Corporation          Com      405024100          136        4,300 Shs  Def   3        4,300
Haggar Corp                      Com      405173105        1,194       97,100 Shs  Def   6       93,200                      3,900
Hain Celestial Group Inc         Com      405217100           22        1,000 Shs  Def   7        1,000
Hain Celestial Group Inc         Com      405217100           40        1,800 Shs  Def  12                     1,800
Halliburton Co.                  Com      406216101          261       15,283 Shs  Def   2       14,683                        600
Halliburton Co                   Com      406216101        8,548      500,750 Shs  Def   6      449,250                     51,500
Halliburton Co                   Com      406216101          703       41,179 Shs  Def  12                    41,179
Halliburton Co.                  Com      406216101           54        2,000 Shs  Def  15        2,000
Halliburton Co                   Com      406216101          188       11,000 Shs  Def                        11,000
Halliburton Co  Com              Com      406216101       25,726    1,507,100 Shs  Def   3    1,472,600                     34,500
Halsey Drug Co Inc               Com      406369108            2        1,000 Shs  Def  12                     1,000
Hallwood Realty Partners Lp      Com      40636T203            2           24 Shs  Def  12                        24
Hampshire Group Ltd              Com      408859106          246       13,100 Shs  Def   6       12,100                      1,000
John Hancock Bank & Thrift       Cl End Fd409735107          270       31,925 Shs  Def  12                    31,925
Hancock Fabrics Inc              Com      409900107          336       18,600 Shs  Def  12                    18,600
Hancock Fabrics Inc  Com         Com      409900107        6,704      371,410 Shs  Def   3      369,610                      1,800
Hancock Holding Co               Com      410120109           54        1,000 Shs  Def  12                     1,000
Hancock Holding Co               Com      410120109           98        1,820 Shs  Def   3        1,820
John Hancock Income Securities   Cl End Fd410123103          215       14,800 Shs  Def  12                    14,800
John Hancock Patriot Global      Cl End Fd41013G103           13        1,000 Shs  Def  12                     1,000
John Hancock Patriot Preferred   Cl End Fd41013J107           99        8,000 Shs  Def  12                     8,000
John Hancock Patriot Premium     Cl End Fd41013Q101           33        3,600 Shs  Def  12                     3,600
John Hancock Patriot Premium     Cl End Fd41013T105           22        2,000 Shs  Def  12                     2,000
John Hancock Patriot Select      Cl End Fd41013U102            1          100 Shs  Def  12                       100
John Hancock Investors Trust     Cl End Fd410142103          255       13,380 Shs  Def  12                    13,380
Hancock John Finl Services       Com      41014S106           76        2,003 Shs  Def   2        2,003
Hancock John Finl Svcs I         Com      41014S106        7,844      205,400 Shs  Def   6      205,400
Hancock John Finl Services Inc.  Com      41014S106        1,520       39,807 Shs  Def   7       39,807
Hancock John Finl Svcs Inc       Com      41014S106          165        4,321 Shs  Def  12                     4,321
John Hancock Financial Srvcs     Com      41014S106        1,302       34,100 Shs  Def   3       34,100
Hancock John Finl Trends Fd      Com      41014X105           28        2,000 Shs  Def  12                     2,000
Handleman Co Del                 Com      410252100        5,372      523,100 Shs  Def   6      507,100                     16,000
Handleman Co                     Com      410252100            3          300 Shs  Def  12                       300
Handspring Inc                   Com      410293104           23        5,000 Shs  Def  12                     5,000
Hanger Orthopedic Group Inc      Com      41043F208           99        9,550 Shs  Def  12                     9,550
Hanover Capital Mortgage         Com      410761100            2          200 Shs  Def  12                       200
Hanover Compressor Co            Com      410768105       21,039    1,169,500 Shs  Def   6    1,149,100                     20,400
Hanover Compressor Co            Com      410768105           21        1,190 Shs  Def  12                     1,190
Hanover Foods Corp-Cl A          Com      41078W100           20          400 Shs  Def  12                       400
Harbor Bank-Va                   Com      41146K104          400       20,765 Shs  Def  12                    20,765
Harbor Florida Bancshares        Com      411901101        4,419      230,378 Shs  Def   7      230,378
Harbor Florida Bancshares Inc    Com      411901101          322       16,810 Shs  Def  12                    16,810
Harken Energy Corp               Com      412552309            1          625 Shs  Def  12                       625
Harland John H Co                Com      412693103        3,916      134,700 Shs  Def   6      127,200                      7,500
Harland John H Co  Com           Com      412693103       11,174      384,395 Shs  Def   3      363,795                     20,600
Harley Davidson, Inc.            Com      412822108          667       12,100 Shs  Def   2       12,100
Harley Davidson Inc              Com      412822108            8          151 Shs  Def   6          151
Harley Davidson, Inc.            Com      412822108          351        6,400 Shs  Def   9                                   6,400
Harley Davidson Inc              Com      412822108        1,006       18,250 Shs  Def  11       16,600        1,650
Harley Davidson Inc              Com      412822108       10,058      182,438 Shs  Def  12                   182,438
Harleysville Group Inc           Com      412824104           60        2,260 Shs  Def  12                     2,260
Harleysville National Corp-Pa    Com      412850109            9          400 Shs  Def  12                       400
Harman International             Com      413086109           47          950 Shs  Def  12                       950
Harmonic Inc                     Com      413160102           23        2,015 Shs  Def  12                     2,015
Harrahs Entertainment Inc        Com      413619107           36          812 Shs  Def  12                       812
Harris & Harris Group Inc        Com      413833104            1          130 Shs  Def  12                       130
Harris Corp.                     Com      413875105           47        1,300 Shs  Def   2        1,300
Harris Corp Del                  Com      413875105            5          130 Shs  Def   6          130
Harris Corp-Del                  Com      413875105          115        3,189 Shs  Def  12                     3,189
Harris Corp Del  Com             Com      413875105       19,634      546,750 Shs  Def   3      527,750                     19,000
Harsco Corp                      Com      415864107           39        1,000 Shs  Def   4        1,000
Harsco Corp                      Com      415864107        4,228      108,030 Shs  Def   6      108,030
Harsco Corp                      Com      415864107          101        2,580 Shs  Def  12                     2,580
Harsco Corp  Com                 Com      415864107          759       19,390 Shs  Def   3       19,390
Harte-Hanks Inc                  Com      416196103          845       26,700 Shs  Def   3       14,600                     12,100
Hartford Capital I-7.70% Cum     Pfd      416315208          400       16,123 Shs  Def  12                    16,123
Hartford Capital Iii 7.45%       Pfd      41631P204          168        6,850 Shs  Def  12                     6,850
Hartford Financial Services      Com      416515104        2,164       31,770 Shs  Def   2       31,070                        700
Hartford Financial               Com      416515104           14          200 Shs  Def   4          200
Hartford Financial Services      Com      416515104        2,334       34,267 Shs  Def   5       23,877                     10,390
Hartford Financial Services      Com      416515104       13,728      201,422 Shs  Def   6      171,557                     29,865
Hartford Financial Services      Com      416515104          107        1,574 Shs  Def   7        1,574
Hartford Financial Services      Com      416515104          563        8,278 Shs  Def   9                                   8,278
Hartford Financial Services      Com      416515104        1,412       20,728 Shs  Def  12                    20,728
Hartford Life Capital I 7.20%    Pfd      416590206           43        1,800 Shs  Def  12                     1,800
Hartford Life Capital Ii         Pfd      416591204           25        1,000 Shs  Def  12                     1,000
Harvard Bioscience Inc           Com      416906105           62        7,010 Shs  Def   3        7,010
Hasbro Inc.                      Com      418056107           43        2,687 Shs  Def   2        2,687
Hasbro Inc                       Com      418056107        5,921      374,265 Shs  Def   6      374,265
Hasbro Inc                       Com      418056107          247       15,623 Shs  Def  12                    15,623
Hathaway Corp                    Com      419011101            6        2,050 Shs  Def  12                     2,050
Hatteras Income Securities Inc   Cl End Fd419025101           88        6,478 Shs  Def  12                     6,478
Haverty Furniture Inc            Com      419596101        1,026       59,600 Shs  Def   6       53,800                      5,800
Haverty Furniture Companies      Com      419596101        1,493       86,752 Shs  Def  12                    86,752
Hawaiian Airls Inc New           Com      419849104            7        2,270 Shs  Def   2        2,270
Hawaiian Elec Inds Inc.          Com      419870100           88        2,000 Shs  Def   2        2,000
Hawaiian Electric Industries     Com      419870100          175        3,966 Shs  Def  12                     3,966
Hawaiian Elec Industries  Com    Com      419870100        2,957       67,180 Shs  Def   3       67,180
Hawaiian Electric Inds Cap Tr    Pfd      41987M201          282       11,159 Shs  Def  12                    11,159
Hawkins Inc                      Com      420261109          286       31,300 Shs  Def   6       31,300
Hawthorne Finl Corp              Com      420542102        1,079       36,900 Shs  Def   6       36,900
Health Care Property Invs Inc    Com      421915109        3,523       86,668 Shs  Def   9                                  86,668
Health Care Property Invs Inc    Com      421915109        1,920       47,340 Shs  Def  12                    47,340
Health Care Properties           Pfd      421915307           64        2,600 Shs  Def  12                     2,600
Healthcare Ppty Invs Inc         Pfd      421915406           30        1,200 Shs  Def  12                     1,200
Healthsouth Corp.                Com      421924101          236       16,464 Shs  Def   1                                  16,464
Healthsouth Corp                 Com      421924101           12          820 Shs  Def   6          820
Healthsouth Corp                 Com      421924101        1,530      106,610 Shs  Def  12                   106,610
Healthsouth Corp Com             Com      421924101        2,105      146,700 Shs  Def   3      132,000                     14,700
Healthsouth Corp Sub Deb         Cvt      421924AF8        6,755    7,000,000 Prn  Def                                   7,000,000
Health Management                Com      421933102          251       12,100 Shs  Def   2       12,100
Health Management Associates     Com      421933102          583       28,105 Shs  Def  12                    28,105
Healthcare Realty Trust          Com      421946104        2,177       71,715 Shs  Def  12                    71,715
Healthcare Realty Trust          Com      421946104          988       32,550 Shs  Def   3       30,800                      1,750
Headwaters Inc                   Com      42210P102            5          300 Shs  Def  12                       300
Health Care Reit, Inc.           Com      42217K106          353       12,550 Shs  Def   9                                  12,550
Health Care Reit Inc             Com      42217K106          493       17,652 Shs  Def  12                    17,652
Health Care Reit Inc-8.875%      Pfd      42217K205           45        1,800 Shs  Def  12                     1,800
Health Net Inc                   Com      42222G108          682       24,860 Shs  Def   6       24,860
Health Net Inc.                  Com      42222G108      130,564    4,758,151 Shs  Def   8                 4,758,151
Health Net Inc.                  Com      42222G108      297,166   10,829,682 Shs  Def  10   10,829,682
Health Net Inc                   Com      42222G108        1,192       43,457 Shs  Def  12                    43,457
Health-Net Systems               Com      42222G108           35          800 Shs  Def  15          800
Health Net Inc                   Com      42222G108       29,278    1,066,965 Shs  Def   3    1,036,865                     30,100
***Healthtrac Inc                Com      42226R100            1       11,000 Shs  Def  12                    11,000
Hearst-Argyle Television Inc.    Com      422317107           30        1,200 Shs  Def   2        1,200
Hearst-Argyle Television         Com      422317107            5          190 Shs  Def   6          190
Hearst-Argyle Television Inc     Com      422317107            7          300 Shs  Def  12                       300
Heartland Express Inc            Com      422347104          303       15,177 Shs  Def   5       15,177
Hearx Ltd                        Com      422360305            1        1,110 Shs  Def                         1,110
Hecla Mining Co                  Com      422704106            2          804 Shs  Def  12                       804
Hecla Mining Co-7% Cum Conv      Pfd      422704205            4          200 Shs  Def  12                       200
Heidrick & Struggles Intl Inc    Com      422819102           44        2,100 Shs  Def  12                     2,100
Heinz Company                    Com      423074103          311        7,500 Shs  Def   1                                   7,500
H J Heinz Co                     Com      423074103        2,207       53,183 Shs  Def   2       53,183
H.J. Heinz                       Com      423074103           33          800 Shs  Def   4          800
Heinz H J Co                     Com      423074103          210        5,050 Shs  Def   5        5,050
Heinz H J Co                     Com      423074103            8          198 Shs  Def   6          150                         48
H J Heinz Co                     Com      423074103           58        1,400 Shs  Def   7        1,400
H J Heinz Co                     Com      423074103        1,103       26,724 Shs  Def   9                                  26,724
La Compagnie H.J. Heinz Ltee     Com      423074103        7,632      183,906 Shs  Def  12                   183,906
Helix Technology Inc.            Com      423319102          646       25,500 Shs  Def   2       25,500
Helix Technology Corp            Com      423319102           23          900 Shs  Def  12                       900
Helix Tech. Corp.                Com      423319102           38        1,500 Shs  Def                         1,500
Helmerich & Payne                Com      423452101          461       11,500 Shs  Def   2       10,100                      1,400
Helmerich & Payne Inc            Com      423452101       10,614      263,982 Shs  Def   6      263,317                        665
Helmerich & Payne Inc            Com      423452101           64        1,600 Shs  Def  12                     1,600
Helmerich & Payne Inc  Com       Com      423452101          890       22,200 Shs  Def   3       22,200
Hemispherx Biopharma Inc         Com      42366C103            7        1,650 Shs  Def  12                     1,650
Henry Jack & Associates, Inc.    Com      426281101        6,636      299,175 Shs  Def   7      299,175
Henry Jack & Associates Inc      Com      426281101           11          500 Shs  Def  12                       500
Herbalife Intl Inc               Com      426908208        4,183      286,326 Shs  Def   6      272,226                     14,100
Herbalife International Inc      Com      426908208           22        1,500 Shs  Def  12                     1,500
Herbalife Intl Inc               Com      426908307          481       35,230 Shs  Def   6       31,430                      3,800
Heritage Commerce Corp           Com      426927109          844      101,700 Shs  Def   6      100,200                      1,500
Hercules Inc                     Com      427056106       14,529    1,091,600 Shs  Def   6    1,091,600
Hercules Inc                     Com      427056106           95        7,146 Shs  Def  12                     7,146
Hercules Trust I                 Pfd      427097209           21          900 Shs  Def  12                       900
Herley Industries Inc            Com      427398102           50        2,505 Shs  Def  12                     2,505
Hershey Foods Corp.              Com      427866108          497        7,250 Shs  Def   2        7,250
Hershey Foods                    Com      427866108          116        1,690 Shs  Def   4        1,690
Hershey Foods Corp.              Com      427866108        7,766      113,301 Shs  Def   7      113,301
Hershey Foods Corp               Com      427866108        2,147       31,321 Shs  Def  12                    31,321
Hewlett-Packard Co.              Com      428236103          540       30,112 Shs  Def   1       12,800                     17,312
Hewlett-Packard Co.              Com      428236103        8,582      478,376 Shs  Def   2      476,376                      2,000
Hewlett Packard                  Com      428236103          547       30,510 Shs  Def   4       30,510
Hewlett Packard Co Com           Com      428236103        2,245      125,130 Shs  Def   5      105,990                     19,140
Hewlett Packard                  Com      428236103       13,471      750,889 Shs  Def   6      750,790                         99
Hewlett Packard Co               Com      428236103        6,961      387,989 Shs  Def  12                   387,989
Hewlett Packard Co.              Com      428236103        2,847       99,575 Shs  Def  15       99,575
Hewlett Packard Co  Com          Com      428236103        7,706      429,544 Shs  Def   3      414,044                     15,500
Hexcel Corp New                  Com      428291108           40       10,000 Shs  Def  12                    10,000
Hexcel Corp                      Com      428291108           40       10,000 Shs  Def                        10,000
Hi / Fn Inc                      Com      428358105            2          158 Shs  Def  12                       158
Hi-Tech Pharmacal Co Inc         Com      42840B101           10          900 Shs  Def  12                       900
Hibbett Sporting Goods Inc       Com      428565105           63        2,700 Shs  Def  12                     2,700
Hibernia Corp-Cl A               Com      428656102          973       50,965 Shs  Def  12                    50,965
Hibernia Corp  Cl A              Com      428656102       18,849      986,845 Shs  Def   3      929,345                     57,500
High Income Opportunity Fund     Cl End Fd42967Q105           47        6,200 Shs  Def  12                     6,200
High Yield Plus Fund Inc         Cl End Fd429906100           10        2,200 Shs  Def  12                     2,200
Highwoods Properties Inc.        Com      431284108           87        3,100 Shs  Def   2        3,100
Highwoods Properties Inc         Com      431284108        1,518       54,052 Shs  Def  12                    54,052
Highwoods Properties Inc         Pfd      431284306          322       13,565 Shs  Def  12                    13,565
Highwoods Properties Inc-8%      Pfd      431284504           59        2,500 Shs  Def  12                     2,500
Hilb Rogal & Hamilton Co         Com      431294107          193        6,200 Shs  Def  12                     6,200
Hillenbrand Industries Inc.      Com      431573104        1,039       16,853 Shs  Def   2       16,853
Hillenbrand Industries Inc       Com      431573104        2,434       39,500 Shs  Def  12                    39,500
Hillenbrand Inds Inc  Com        Com      431573104       20,480      332,300 Shs  Def   3      311,000                     21,300
Hillman Group Capital Tr         Pfd      43162L206           85        3,400 Shs  Def  12                     3,400
Hilton Hotels Corp.              Com      432848109          100        7,000 Shs  Def   2        7,000
Hilton Hotels Corp               Com      432848109          458       32,000 Shs  Def   5       32,000
Hilton Hotels Corp               Com      432848109          103        7,186 Shs  Def  12                     7,186
Hilton Hotels Corp               Pfd      432848307          107        4,300 Shs  Def  12                     4,300
Hines Horticulture Inc           Com      433245107            1          300 Shs  Def   6          300
Holly Corp                       Com      435758305        4,085      220,200 Shs  Def   6      213,800                      6,400
Holly Corp New                   Com      435758305            3          156 Shs  Def  12                       156
Holly Corp  Com Par $0.01        Com      435758305           67        3,600 Shs  Def   3        3,000                        600
Hollis-Eden Pharmaceuticals      Com      435902101           24        4,000 Shs  Def  12                     4,000
Hollywood Entertainment Corp     Com      436141105            3          200 Shs  Def  12                       200
Hollywood Entertainment Corp.    Com      436141105           50        3,000 Shs  Def                         3,000
Hollywood Entmt Corp             Com      436141105        1,509       89,800 Shs  Def   3       85,200                      4,600
Home Fed Bancorp                 Com      436926109           53        2,400 Shs  Def   6        2,400
Home Depot, Inc.                 Com      437076102        3,500       71,997 Shs  Def   1       27,225                     44,772
The Home Depot, Inc.             Com      437076102       26,557      546,330 Shs  Def   2      538,202                      8,128
Home Depot                       Com      437076102          103        2,123 Shs  Def   4        2,123
Home Depot Inc Com               Com      437076102          802       16,507 Shs  Def   5       11,122                      5,385
The Home Depot, Inc.             Com      437076102        5,285      108,719 Shs  Def   7      108,719
The Home Depot, Inc.             Com      437076102           19          400 Shs  Def   8                       400
Home Depot Inc.                  Com      437076102        1,345       27,912 Shs  Def   9                     7,000        20,912
The Home Depot, Inc.             Com      437076102        2,674       55,000 Shs  Def  10       55,000
Home Depot Inc                   Com      437076102        2,892       59,496 Shs  Def  11       53,109        5,411           676
Home Depot Inc                   Com      437076102       26,331      541,673 Shs  Def  12                   541,673
Home Depot Inc.                  Com      437076102        6,611       86,765 Shs  Def  15       86,765
Home Depot Inc  Com              Com      437076102       20,368      419,015 Shs  Def   3      401,915                     17,100
Home Properties Of Ny Inc        Com      437306103            3           94 Shs  Def   6           94
Home Properties Of New York      Com      437306103          119        3,450 Shs  Def  12                     3,450
Homefed Corp                     Com      43739D208            1        1,188 Shs  Def   7        1,188
Homefed Corp New                 Com      43739D208            1        1,412 Shs  Def  12                     1,412
Homestore.Com Inc                Com      437852106           32       12,000 Shs  Def  12                    12,000
Hon Industries Inc.              Com      438092108        1,041       36,650 Shs  Def   2       36,650
Hon Industries Inc               Com      438092108          232        8,175 Shs  Def  12                     8,175
Honda Mtr Ltd                    Com      438128308        6,875      332,819 Shs  Def   6      287,514                     45,305
Honeywell Int'L, Inc.            Com      438516106       12,378      323,450 Shs  Def   1      117,900                    205,550
Honeywell International Inc.     Com      438516106        4,637      121,165 Shs  Def   2      120,165                      1,000
Honeywell                        Com      438516106       10,050      262,595 Shs  Def   4      262,595
Honeywell International Inc      Com      438516106        1,342       35,070 Shs  Def   5       26,924                      8,146
Honeywell International          Com      438516106       18,805      491,373 Shs  Def   6      491,333                         40
Honeywell International Inc.     Com      438516106           36          950 Shs  Def   8                       950
Honeywell International Inc.     Com      438516106        3,222       83,664 Shs  Def   9                    13,925        69,739
Honeywell International Inc.     Com      438516106       18,944      495,000 Shs  Def  10      495,000
Honeywell Intl Inc               Com      438516106          326        8,514 Shs  Def  11        4,139        1,075         3,300
Honeywell Intl Inc               Com      438516106       10,471      273,614 Shs  Def  12                   273,614
Honeywell Inc.                   Com      438516106          149        2,440 Shs  Def  15        2,440
Honeywell International Inc      Com      438516106        6,100      159,400 Shs  Def   3      158,500                        900
Hooper Holmes, Inc.              Com      439104100        1,065      101,500 Shs  Def   7      101,500
Hooper Holmes Inc                Com      439104100           28        2,700 Shs  Def  12                     2,700
Hoovers Inc                      Com      439321100           80       16,026 Shs  Def  12                    16,026
Horace Mann Educators Corp New   Com      440327104           54        2,400 Shs  Def  12                     2,400
Horizon Finl Corp Wash           Com      44041F105          806       63,440 Shs  Def   6       61,255                      2,185
Horizon Group Properties Inc     Com      44041U102            2          816 Shs  Def  12                       816
Horizon Health Corp              Com      44041Y104        1,259       80,700 Shs  Def   6       78,100                      2,600
Horizon Health Corp              Com      44041Y104           16        1,000 Shs  Def  12                     1,000
Horizon Offshore Inc             Com      44043J105        2,468      210,400 Shs  Def   6      202,200                      8,200
Horizon Organic Holding Corp     Com      44043T103           62        3,750 Shs  Def  12                     3,750
Hormel Foods Corp                Com      440452100        1,188       43,432 Shs  Def  12                    43,432
Hospitality Properties Trust     Com      44106M102            3          100 Shs  Def   2          100
Hospitality Properties Trust     Com      44106M102          504       14,450 Shs  Def   9                                  14,450
Hospitality Properties Trust     Com      44106M102        2,685       78,213 Shs  Def  12                    78,213
Hospitality Pptys Tr             Pfd      44106M300           48        1,900 Shs  Def  12                     1,900
Host Marriott Corp New           Com      44107P104           54        4,500 Shs  Def   2        4,500
Host Marriott Corp New           Com      44107P104       18,444    1,543,450 Shs  Def   6    1,432,550                    110,900
Host Marriott Corp-New Reit      Com      44107P104        1,280      107,095 Shs  Def  12                   107,095
Host Marriott Corp New           Pfd      44107P203          132        5,100 Shs  Def  12                     5,100
Host Marriott Corp New           Pfd      44107P401           52        1,990 Shs  Def  12                     1,990
Hot Topic Inc                    Com      441339108           36        1,700 Shs  Def  12                     1,700
Hotel Reservations Network       Com      441451101        7,543      128,000 Shs  Def   3      125,600                      2,400
Household Capital Trust I        Pfd      44180E208           13          500 Shs  Def  12                       500
Household Capital Trust Iv       Pfd      44180R209           99        4,150 Shs  Def  12                     4,150
Household Capital Trust V        Pfd      44180S207           11          400 Shs  Def  12                       400
Household Cap Tr Vi              Pfd      44180T205          106        4,200 Shs  Def  12                     4,200
Household International          Com      441815107        1,238       21,800 Shs  Def   1                                  21,800
Household International Inc.     Com      441815107          203        3,580 Shs  Def   2        3,580
Household International          Com      441815107           16          290 Shs  Def   4          290
Household Intl Inc               Com      441815107        2,209       38,890 Shs  Def   6       38,890
Household International Inc      Com      441815107        2,068       36,415 Shs  Def  12                    36,415
Household Intl Inc  Com          Com      441815107        7,719      135,900 Shs  Def   3      130,400                      5,500
Household Intl Inc               Pfd      441815743           23          900 Shs  Def  12                       900
Household International          Pfd      441815750           96        4,000 Shs  Def  12                     4,000
Household Intl Inc               Pfd      441815792           11          200 Shs  Def  12                       200
Household Intl Inc-Dep Shs       Pfd      441815834           17          700 Shs  Def  12                       700
Houston Expl Co                  Com      442120101       14,170      457,100 Shs  Def   6      445,800                     11,300
Houston Exploration Co           Com      442120101           48        1,550 Shs  Def  12                     1,550
Houston Expl Co Com              Com      442120101        6,420      207,100 Shs  Def   3      192,300                     14,800
Hovnanian Enterprises In         Com      442487203       10,424      392,020 Shs  Def   6      377,414                     14,606
Howell Corp                      Com      443051107          365       30,800 Shs  Def   6       29,700                      1,100
Huaneng Power Intl Inc  Adr N    Com      443304100        5,971      222,300 Shs  Def   3      222,300
Hubbell Inc-Cl A                 Com      443510102           11          360 Shs  Def  12                       360
Hubbell Inc.  Cl B               Com      443510201          294        8,922 Shs  Def   2        8,922
Hubbell Inc Cl B                 Com      443510201          201        6,100 Shs  Def   5        6,100
Hubbell Inc-Cl B                 Com      443510201          188        5,717 Shs  Def  12                     5,717
Hudson City Bancorp Inc          Com      443683107           68        2,100 Shs  Def  12                     2,100
Hudson United Bank               Com      444165104          171        5,458 Shs  Def   9                                   5,458
Hudson United Bancorp            Com      444165104          815       25,635 Shs  Def  12                    25,635
Hudson United Bancorp            Com      444165104        6,431      202,165 Shs  Def   3      190,265                     11,900
Huffy Corp.                      Com      444356109            8        1,200 Shs  Def   2        1,200
Huffy Corp                       Com      444356109        1,105      162,500 Shs  Def   6      156,500                      6,000
Huffy Corp                       Com      444356109            4          600 Shs  Def  12                       600
Hughes Supply Inc                Com      444482103        5,914      151,800 Shs  Def   6      144,500                      7,300
Hughes Supply Inc                Com      444482103          127        3,250 Shs  Def  12                     3,250
Hughes Supply Inc  Com           Com      444482103        3,787       97,190 Shs  Def   3       92,990                      4,200
Hugoton Royalty Trust Texas      Com      444717102          187       15,600 Shs  Def  12                    15,600
Humana Inc Com                   Com      444859102        6,042      446,495 Shs  Def   6      436,095                     10,400
Humana Inc                       Com      444859102           90        6,636 Shs  Def  12                     6,636
Humana Inc  Com                  Com      444859102        2,266      167,450 Shs  Def   3      165,050                      2,400
Human Genome Sciences            Com      444903108           72        3,300 Shs  Def   2        3,300
Human Genome Scs                 Com      444903108           73        3,350 Shs  Def   4        3,350
Human Genome Sciences Inc.       Com      444903108           22        1,000 Shs  Def   7        1,000
Human Genome Sciences Inc        Com      444903108          127        5,822 Shs  Def  12                     5,822
Humboldt Bancorp                 Com      445069107          141       14,000 Shs  Def   6       13,600                        400
Hunt J B Trans Svcs Inc          Com      445658107        6,871      241,680 Shs  Def   6      241,680
Jb Hunt Transport Services Inc   Com      445658107          783       27,550 Shs  Def  12                    27,550
Hunter Douglas N V Ad            Com      445681208        5,638      754,781 Shs  Def   6      699,766                     55,015
***Huntington Exploration Inc    Com      445901101            2       20,000 Shs  Def  12                    20,000
Huntington Bancshares Inc.       Com      446150104        4,837      245,557 Shs  Def   2      245,557
Huntington Bancshares In         Com      446150104           13          652 Shs  Def   6          652
Huntington Bancshares Inc        Com      446150104          689       34,967 Shs  Def  12                    34,967
Hutchinson Technology Inc        Com      448407106        5,207      241,400 Shs  Def   3      221,500                     19,900
Hutchinson Whampoa -             ADR      448415208           48        1,100 Shs  Def   2        1,100
Hutchison Whampoa Ltd            Com      448415208        4,052       93,199 Shs  Def   6       91,819                      1,380
Huttig Building Products Inc     Com      448451104            2          392 Shs  Def  12                       392
Hyperion 2002 Term Trust Inc     Cl End Fd448915108           20        2,000 Shs  Def  12                     2,000
Hyperion 2005 Investment Grade   Cl End Fd448918102           13        1,380 Shs  Def  12                     1,380
Icn Pharmaceutical In            Com      448924100       20,795      657,865 Shs  Def   6      585,170                     72,695
Icn Pharmaceuticals Inc New      Com      448924100        1,071       33,729 Shs  Def  12                    33,729
Idt Corp                         Com      448947101            2          100 Shs  Def  12                       100
Hypercom Corp                    Com      44913M105           61       10,480 Shs  Def   3       10,480
Hyperion Total Return Fund Inc   Cl End Fd449145101            5          575 Shs  Def  12                       575
Hyperion Solutions Corp          Com      44914M104           14          500 Shs  Def  12                       500
Hyperion Solutions Corp          Com      44914M104        3,844      142,300 Shs  Def   3      134,400                      7,900
Hyseq Inc                        Com      449163302            9        1,630 Shs  Def   2        1,630
Hyseq Inc                        Com      449163302            5        1,000 Shs  Def  12                     1,000
Hytek Microsystems Inc           Com      449180108            2        1,400 Shs  Def  12                     1,400
Icos Corp                        Com      449295104          129        2,800 Shs  Def  12                     2,800
Icu Medical Inc                  Com      44930G107          158        4,350 Shs  Def  12                     4,350
***Id Biomedical Corp            Com      44936D108            7        1,115 Shs  Def  12                     1,115
Idec Pharmaceutical Corp.        Com      449370105           23          350 Shs  Def   2          350
Idec Pharmaceuticals             Com      449370105           65        1,005 Shs  Def   4        1,005
Idec Pharmaceuticals Corp        Com      449370105          297        4,622 Shs  Def  12                     4,622
Idec Pharmaceuticals Corp Com    Com      449370105          874       13,600 Shs  Def   3       11,800                      1,800
I.D. Systems, Inc.               Com      449489103            1          100 Shs  Def   2          100
Ies Utilities Inc-7.875% Qtrly   Pfd      44949R508          108        4,320 Shs  Def  12                     4,320
Igen International Inc-Del       Com      449536101        7,209      190,315 Shs  Def  12                   190,315
Igen International Inc           Com      449536101        2,273       60,000 Shs  Def                        60,000
Ihop Corp New                    Com      449623107          498       14,760 Shs  Def  12                    14,760
Imc Global Inc                   Com      449669100       21,508    1,470,474 Shs  Def   6    1,450,304        1,260        18,910
Imc Global Inc                   Com      449669100           15        1,000 Shs  Def  12                     1,000
Ing Prime Rate Tr                Cl End Fd44977W106          102       14,775 Shs  Def  12                    14,775
Ing Capital Funding Trust I      Pfd      44978D107           74        3,000 Shs  Def  12                     3,000
I-Link Corp                      Com      449927102            1        3,850 Shs  Def  12                     3,850
Ims Health Inc.                  Com      449934108          500       22,254 Shs  Def   2       22,254
Ims Health Inc                   Com      449934108          888       39,538 Shs  Def  12                    39,538
Irt Property Co                  Com      450058102           28        2,400 Shs  Def   2        2,400
Irt Property Co                  Com      450058102           31        2,650 Shs  Def  12                     2,650
Irt Ppty Co  Com                 Com      450058102        2,840      245,920 Shs  Def   3      234,570                     11,350
Itc Deltacom Inc                 Com      45031T104            1        3,275 Shs  Def  12                     3,275
Istar Financial Inc              Com      45031U101          329       11,400 Shs  Def   5       11,400
Istar Financial Inc              Com      45031U101          182        6,310 Shs  Def  12                     6,310
Ista Pharmaceuticals Inc         Com      45031X105            3        3,500 Shs  Def  12                     3,500
Itla Cap Corp                    Com      450565106        2,435       98,400 Shs  Def   6       94,600                      3,800
Itt Educational Services Inc     Com      45068B109           27          600 Shs  Def  12                       600
Itt Educational Svcs Inc         Com      45068B109        9,900      220,000 Shs  Def   3      197,700                     22,300
Itxc Corp                        Com      45069F109            4          600 Shs  Def  12                       600
Ibasis, Inc.                     Com      450732102            2        2,000 Shs  Def   2        2,000
Ibasis Inc                       Com      450732102            1        1,600 Shs  Def  12                     1,600
Iberiabank Corp                  Com      450828108        2,493       71,900 Shs  Def   6       69,700                      2,200
Iberiabank Corp                  Com      450828108          520       15,000 Shs  Def   7       15,000
Iberiabank Corp                  Com      450828108           50        1,450 Shs  Def  12                     1,450
Ibis Technology Corp             Com      450909106          181       12,270 Shs  Def  12                    12,270
Itt Industries, Inc.             Com      450911102          284        4,500 Shs  Def   2        4,500
Itt Inds Inc Ind                 Com      450911102            3           40 Shs  Def   6           40
Itt Industries, Inc.             Com      450911102           88        1,400 Shs  Def   7        1,400
Itt Industries Inc               Com      450911102          428        6,795 Shs  Def  12                     6,795
Itt Industries Inc Ind  Com      Com      450911102        3,934       62,400 Shs  Def   3       59,000                      3,400
Idacorp Inc Com                  Com      451107106        7,452      183,950 Shs  Def   6      178,650                      5,300
Idacorp Inc                      Com      451107106          313        7,740 Shs  Def  12                     7,740
Idacorp Inc                      Com      451107106        1,014       25,030 Shs  Def   3       24,030                      1,000
Idexx Labs                       Com      45168D104            2           93 Shs  Def   6           93
Idexx Laboratories Corp          Com      45168D104           30        1,100 Shs  Def  12                     1,100
Idexx Labs Inc                   Com      45168D104       20,062      747,470 Shs  Def   3      699,170                     48,300
Igate Corp                       Com      45169U105           55       14,000 Shs  Def  12                    14,000
Ikon Office Solutions In         Com      451713101            4          310 Shs  Def   6          310
Ikon Office Solutions Inc        Com      451713101          280       23,922 Shs  Def  12                    23,922
Ikon Office Solutions Inc        Com      451713101          264       22,500 Shs  Def                        22,500
Ikon Office Solutions            Com      451713101        8,856      755,660 Shs  Def   3      675,810                     79,850
Identix Inc.                     Com      451906101            3          300 Shs  Def   2          300
Identix Inc                      Com      451906101           22        2,477 Shs  Def  12                     2,477
Illinois Tool Works, Inc.        Com      452308109          232        3,200 Shs  Def   1                                   3,200
Illinois Tool Works              Com      452308109       10,251      141,691 Shs  Def   2      139,391                      2,300
Illinois Tool Works              Com      452308109          417        5,765 Shs  Def   4        5,765
Illinois Tool Works Inc Com      Com      452308109        2,571       35,535 Shs  Def   5       26,235                      9,300
Illinois Tool Wks Inc            Com      452308109            4           50 Shs  Def   6           50
Illinois Tool Works Inc          Com      452308109          387        5,352 Shs  Def  11        2,460        1,367         1,400
Illinois Tool Works Inc          Com      452308109        2,130       29,444 Shs  Def  12                    29,444
Illinois Tool Wks Inc  Com       Com      452308109        2,966       41,000 Shs  Def   3       37,500                      3,500
Illumina Inc                     Com      452327109          126       13,325 Shs  Def  12                    13,325
Image Entertainment Inc New      Com      452439201            3        1,000 Shs  Def  12                     1,000
Imaging Diagnostic Systems Inc   Com      45244W100            1        1,500 Shs  Def  12                     1,500
Imation Corp.                    Com      45245A107            2           80 Shs  Def   2           80
Imation Corp                     Com      45245A107           19          715 Shs  Def  12                       715
***Imax Corp                     Com      45245E109            4          900 Shs  Def  12                       900
Imclone Systems Inc              Com      45245W109           25        1,000 Shs  Def   2        1,000
Imclone Systems Inc              Com      45245W109        1,657       67,271 Shs  Def  12                    67,271
Imclone Systems Inc              Com      45245W109       32,019    1,300,000 Shs  Def  14    1,300,000
Imagistics International Inc     Com      45247T104           17        1,046 Shs  Def   2        1,046
Imagistics Intl Inc              Com      45247T104           21        1,314 Shs  Def  12                     1,314
Immucor Inc                      Com      452526106           18        1,250 Shs  Def  12                     1,250
Immunex Corporation              Com      452528102           89        2,950 Shs  Def   2        2,950
Immunex                          Com      452528102           16          530 Shs  Def   4          530
Immunex Corp New                 Com      452528102        1,660       54,849 Shs  Def  12                    54,849
Immunogen Inc                    Com      45253H101           31        2,825 Shs  Def  12                     2,825
Impac Mortgage Holdings Inc      Com      45254P102           99       10,500 Shs  Def  12                    10,500
Impath Inc                       Com      45255G101           12          300 Shs  Def  12                       300
Impath Inc.                      Com      45255G101          131        2,000 Shs  Def  15        2,000
Rts Imperial Chemical Inds Plc   Rts      452704125            3          482 Shs  Def  12                       482
Imperial Chem Inds Plc           Com      452704505       19,390    1,020,000 Shs  Def   6    1,020,000
Imperial Credit Industries Inc   Com      452729106            1       15,000 Shs  Def  12                    15,000
Immunomedics Inc                 Com      452907108          451       23,765 Shs  Def  12                    23,765
Immunomedics Inc                 Com      452907108        6,532      344,500 Shs  Def   3      326,400                     18,100
Illinois Power Co-4.20% Pfd      Pfd      452990567           37        1,000 Shs  Def  12                     1,000
Imperial Pkg Corp                Com      453077109            1           37 Shs  Def   2           37
Imperial Sugar Co                Com      453096208           10        1,607 Shs  Def  12                     1,607
Wts Implant Sciences Corp        Wts      45320R116            1          300 Shs  Def  12                       300
Inamed Corp                      Com      453235103           53        1,600 Shs  Def   3          300                      1,300
Incyte Pharmaceuticals Inc.      Com      45337C102            8          700 Shs  Def   2          700
Incyte Genomics Inc              Com      45337C102            7          600 Shs  Def  12                       600
Independence Community Bank      Com      453414104           28        1,000 Shs  Def  12                     1,000
Independence Federal Savings     Com      453432106            2          200 Shs  Def  12                       200
Independence Hldg Co New         Com      453440307          310       17,385 Shs  Def   6       15,460                      1,925
Independent Bank Corp-Mass       Com      453836108          255        9,836 Shs  Def  12                     9,836
Independent Cap Tr Iii 8.625%    Pfd      45384D201          515       19,825 Shs  Def  12                    19,825
Independent Capital Trust I      Pfd      45384F206          689       27,250 Shs  Def  12                    27,250
Independent Community            Com      45384Q103          216        4,740 Shs  Def  12                     4,740
India Fund Inc                   Cl End Fd454089103           15        1,400 Shs  Def  12                     1,400
Indian River Banking Co          Com      45435P104           63        2,420 Shs  Def  12                     2,420
Indiana Mich Pwr Co-7.60% Jr     Pfd      454889791           15          600 Shs  Def  12                       600
Indiana Michigan Power Co-8%     Pfd      454889817           23          900 Shs  Def  12                       900
Indiana Utd Bancorp              Com      455149104           52        2,625 Shs  Def   6        2,625
Indus International Inc          Com      45578L100           52       10,000 Shs  Def  12                    10,000
Industrie Natuzzi S P            Com      456478106        6,630      451,558 Shs  Def   6      447,698                      3,860
Indymac Bancorp Inc              Com      456607100        4,510      182,600 Shs  Def   6      182,600
Indymac Bancorp Inc              Com      456607100           54        2,200 Shs  Def  12                     2,200
Indymac Bancorp Inc              Com      456607100       18,250      738,850 Shs  Def   3      691,950                     46,900
Inergy L P                       Com      456615103           30        1,000 Shs  Def  12                     1,000
Infinium Software Inc            Com      45662Y109            4        1,000 Shs  Def  12                     1,000
Informatica Corporation          Com      45666Q102           42        5,850 Shs  Def  12                     5,850
Information Architects Corp      Com      45669R305            1        1,300 Shs  Def  12                     1,300
Informax Inc                     Com      45677N205            9        5,000 Shs  Def  12                     5,000
Informax Inc                     Com      45677N205           53       30,000 Shs  Def                        30,000
Inforte Corp                     Com      45677R107           72        6,100 Shs  Def  12                     6,100
Infospace Inc                    Com      45678T102            7        4,840 Shs  Def  12                     4,840
Infousa Inc New Com              Com      456818301        6,992      920,293 Shs  Def   6      895,518        1,880        22,895
Ing Groep Nv Spons Adr           ADR      456837103          493       18,316 Shs  Def   2       18,316
Ing Groep N V Adr Spo            Com      456837103        5,655      208,255 Shs  Def   6      184,265                     23,990
Ingersoll-Rand Co.               Com      456866102          778       15,905 Shs  Def   9                                  15,905
Ingles Markets A                 Com      457030104            2          192 Shs  Def   6          192
Ingram Micro Inc                 Com      457153104          208       12,550 Shs  Def   5        9,050                      3,500
Ingram Micro Inc                 Com      457153104            5          310 Shs  Def   6          310
Ingram Micro Inc-Cl A            Com      457153104           60        3,610 Shs  Def  12                     3,610
Inhale Therapeutic Sys Inc       Com      457191104            7          650 Shs  Def   2          650
Inhale Therapeutic Systems Inc   Com      457191104            7          674 Shs  Def  12                       674
Inkine Pharmaceutical Co Inc.    Com      457214104          124       70,873 Shs  Def   9                                  70,873
Inkine Pharmaceutical Co Inc     Com      457214104           18        9,700 Shs  Def  12                     9,700
Inktomi Corp                     Com      457277101           62       17,930 Shs  Def  12                    17,930
Innodata Corp                    Com      457642205          259      103,600 Shs  Def   6       99,800                      3,800
Input/Output Inc                 Com      457652105            5          530 Shs  Def  12                       530
Insituform East Inc              Com      457662104            1        1,000 Shs  Def  12                     1,000
Insituform Technologies Inc      Com      457667103        2,323       91,908 Shs  Def  12                    91,908
Insmed Inc                       Com      457669208            6        2,100 Shs  Def  12                     2,100
Innotrac Corp                    Com      45767M109          930      213,758 Shs  Def   6      206,858                      6,900
Innotrac Corporation             Com      45767M109           11        2,500 Shs  Def  12                     2,500
Insight Communications Inc       Com      45768V108           42        2,000 Shs  Def  12                     2,000
Insight Communications Inc       Com      45768V108        2,208      105,405 Shs  Def   3       98,805                      6,600
Innovative Solutions & S         Com      45769N105        1,238      125,600 Shs  Def   6      121,200                      4,400
Innovative Solutions & Support   Com      45769N105           30        3,059 Shs  Def  12                     3,059
Inrange Technologies Corp        Com      45769V206            6          800 Shs  Def  12                       800
Inkeepers Usa Trust              Com      4576J0104           23        2,000 Shs  Def   2        2,000
Inkeepers Usa Trust              Com      4576J0104          500       44,800 Shs  Def   9                                  44,800
Innkeepers Usa Trust-Sbi         Com      4576J0104        1,129       99,511 Shs  Def  12                    99,511
Insightful Corp                  Com      45770X100            3        1,000 Shs  Def  12                     1,000
Inspire Pharmaceuticals Inc      Com      457733103            2          879 Shs  Def  12                       879
Insured Municipal Income Fund    Cl End Fd45809F104           24        1,820 Shs  Def  12                     1,820
Integramed Amer Inc              Com      45810N302          127       21,900 Shs  Def   6       20,700                      1,200
Integrated Device Technology     Com      458118106          214        6,430 Shs  Def  12                     6,430
Integrated Electrical Sv         Com      45811E103        3,147      629,400 Shs  Def   6      611,300                     18,100
Integrated Circuit S             Com      45811K208       11,677      572,390 Shs  Def   3      541,790                     30,600
Integrated Silicon Solution      Com      45812P107            4          300 Shs  Def  12                       300
Intel Corp.                      Com      458140100       53,111    1,746,511 Shs  Def   1      388,583                  1,357,928
Intel Corp.                      Com      458140100       39,036    1,283,673 Shs  Def   2    1,278,673                      5,000
Intel                            Com      458140100          456       15,000 Shs  Def   4       15,000
Intel Corp Com                   Com      458140100        4,931      162,137 Shs  Def   5      130,677                     31,460
Intel Corp                       Com      458140100            4          127 Shs  Def   6          127
Intel Corp.                      Com      458140100        6,457      212,321 Shs  Def   7      212,321
Intel Corp.                      Com      458140100        7,460      239,329 Shs  Def   9                                 239,329
Intel Corp.                      Com      458140100        7,581      249,300 Shs  Def  10      249,300
Intel Corp                       Com      458140100        3,698      121,599 Shs  Def  11      102,334       14,060         3,905
Intel Corp                       Com      458140100       40,477    1,331,032 Shs  Def  12                 1,331,032
Intel Corp.                      Com      458140100        9,240      194,740 Shs  Def  15      194,740
Intel Corp                       Com      458140100           91        3,020 Shs  Def                         3,020
Intel Corp  Com  Nasd Indl       Com      458140100       44,547    1,464,878 Shs  Def   3    1,411,578                     53,300
Intelidata Technologies Corp     Com      45814T107            4        2,900 Shs  Def  12                     2,900
Integrated Information Systems   Com      45817B103            7       47,680 Shs  Def  12                    47,680
Inter Tel Inc                    Com      458372109            1           50 Shs  Def  12                        50
Inter Tel Inc  Com  Nasd Indl    Com      458372109        7,058      382,150 Shs  Def   3      355,810                     26,340
Interactive Network Inc          Com      45837P108            1        2,000 Shs  Def  12                     2,000
Interchange Finl Svcs S          Com      458447109           54        2,200 Shs  Def   6        2,200
Interface Inc                    Com      458665106          830      130,700 Shs  Def   6      130,700
Interface Inc-Cl A               Com      458665106           13        2,000 Shs  Def  12                     2,000
Interdigital Communications      Com      45866A105          410       42,762 Shs  Def  12                    42,762
Interlott Technologies I         Com      458764107          342       63,400 Shs  Def   6       61,400                      2,000
Intermagnetics General Corp      Com      458771102           44        1,597 Shs  Def  12                     1,597
Intermedia Communications Inc    Pfd      458801404           22           22 Shs  Def  12                        22
Intermet Corp                    Com      45881K104           42        6,000 Shs  Def  12                     6,000
Internap Network Svcs Corp       Com      45885A102           21       27,115 Shs  Def  12                    27,115
International Aircraft I         Com      458860103           21       16,700 Shs  Def   6       16,700
Intl Aluminum Corp               Com      458884103           11          500 Shs  Def  12                       500
Intl Assets Holding Corp         Com      459028106           13        9,415 Shs  Def  12                     9,415
International Bancshares         Com      459044103          331        7,500 Shs  Def   6        7,500
International Business Machine   Com      459200101        4,562       43,863 Shs  Def   1        5,460                     38,403
International Business           Com      459200101       20,776      199,765 Shs  Def   2      199,365                        400
Ibm                              Com      459200101       13,163      126,568 Shs  Def   4      126,568
International Business Machines  Com      459200101        2,325       22,354 Shs  Def   5       20,516                      1,838
International Business M         Com      459200101       22,875      219,946 Shs  Def   6      219,929                         17
International Business Machines  Com      459200101        4,426       42,556 Shs  Def   7       42,556
International Business Machines  Com      459200101      195,331    1,878,184 Shs  Def   8                 1,878,184
International Business Machines  Com      459200101        2,608       25,359 Shs  Def   9                     6,210        19,149
International Business Machines  Com      459200101      386,171    3,713,182 Shs  Def  10    3,713,182
International Business Machines  Com      459200101       12,916      124,193 Shs  Def  11       74,530       48,004         1,259
International Business           Com      459200101       58,784      565,231 Shs  Def  12                   565,231
International Business Machines  Com      459200101       10,556       64,066 Shs  Def  15       64,066
International Business Machines  Com      459200101          207        2,000 Shs  Def                         2,000
International Business Machines  Com      459200101       63,300      608,656 Shs  Def   3      585,956                     22,700
Intl Flavors & Fragrances Inc    Com      459506101          522       14,940 Shs  Def  12                    14,940
International Lottery &          Com      459824207            1        1,083 Shs  Def  12                     1,083
Intl Game Technology             Com      459902102          198        3,175 Shs  Def  12                     3,175
International Multifoods Corp    Com      460043102           11          450 Shs  Def  12                       450
International Paper Cap Tr       PFD      460137300        2,611       56,300 Shs  Def   2       56,300
International Paper Capital      Pfd      460137300          969       20,900 Shs  Def  12                    20,900
International Paper Cap Tr Iii   Pfd      460140205          364       14,905 Shs  Def  12                    14,905
International Paper Co.          Com      460146103        2,390       55,557 Shs  Def   2       55,557
International Paper Co Com       Com      460146103        3,796       88,268 Shs  Def   5       69,713                     18,555
International Paper Co           Com      460146103        4,069       94,599 Shs  Def   6       94,599
International Paper Co.          Com      460146103           26          616 Shs  Def   7          616
International Paper Co           Com      460146103        5,120      119,044 Shs  Def  12                   119,044
International Paper Co.          Com      460146103        3,543       51,700 Shs  Def  15       51,700
International Rectifier          Com      460254105           34          740 Shs  Def   2          740
International Rectifier Corp     Com      460254105          421        9,263 Shs  Def  12                     9,263
Intl Remote Imag Sys Inc         Com      460259500           15        5,900 Shs  Def   6        5,900
Intl Shipholding Corp New        Com      460321201           93       13,700 Shs  Def  12                    13,700
International Speedway Corp      Com      460335201          480       10,514 Shs  Def  12                    10,514
Intl Speedway Corp Cl A          Com      460335201        2,324       50,850 Shs  Def   3       50,850
International Speedway Corp      Com      460335300           25          544 Shs  Def  12                       544
Intl Specialty Prods Inc         Com      460337108          869       90,700 Shs  Def   6       90,700
International Specialty Products Com      460337108           98       10,200 Shs  Def                        10,200
Interneuron Pharmaceuticals      Com      460573108          564       64,420 Shs  Def  12                    64,420
Internet Capital Group Inc       Com      46059C106           47       73,660 Shs  Def  12                    73,660
Internet Pictures Corp           Com      46059S200            3        1,209 Shs  Def  12                     1,209
Internet Infrastructure          Com      46059V104            3          600 Shs  Def  12                       600
Internet Holdrs Tr               Com      46059W102           15          500 Shs  Def  12                       500
Internet Architecture Holdr      Com      46060A107            7          200 Shs  Def   2          200
Internet Architecture            Com      46060A107            3          100 Shs  Def  12                       100
Internet Sec Sys Inc             Com      46060X107            5          211 Shs  Def   2          211
Internet Sec Sys Inc             Com      46060X107           42        1,830 Shs  Def  12                     1,830
Internet Security Systems Inc    Com      46060X107            7          300 Shs  Def   3                                     300
Interpool Inc                    Com      46062R108        9,302      497,450 Shs  Def   6      484,700                     12,750
Interpool Inc                    Com      46062R108            3          150 Shs  Def   7          150
Interpublic Group                Com      460690100        4,494      131,110 Shs  Def   2      131,110
Interpublic Group                Com      460690100        1,098       32,017 Shs  Def   4       32,017
Interpublic Group Cos In         Com      460690100        3,123       91,100 Shs  Def   6       91,100
Interpublic Group Of Cos Inc     Com      460690100        1,692       49,370 Shs  Def  12                    49,370
Interpublic Group Cos Cvt Bond   Cvt      460690AJ9        2,389    2,900,000 Prn  Def                                   2,900,000
Intersil Corporation Cl A        Com      46069S109           10          350 Shs  Def  12                       350
Itersil Holding Corp             Com      46069S109       21,674      764,500 Shs  Def   3      759,800                      4,700
Interstate Bakeries Corp-Del     Com      46072H108          301       12,452 Shs  Def  12                    12,452
Interstate Bakeries Cp           Com      46072H108       11,298      466,680 Shs  Def   3      427,480                     39,200
Interstate Hotels Corp           Com      46088R108            1          476 Shs  Def  12                       476
Interstate Natl Dealer S         Com      46102P104          149       29,900 Shs  Def   6       29,900
Intertan Inc                     Com      461120107          123       10,803 Shs  Def  12                    10,803
Intertan Inc  Com                Com      461120107          234       20,600 Shs  Def   3       20,600
Intest Corp                      Com      461147100          644      113,700 Shs  Def   6      109,400                      4,300
Intimate Brands Inc-Cl A         Com      461156101           83        4,207 Shs  Def  12                     4,207
Intrabiotics Pharmaceuticals     Com      46116T100           57       16,200 Shs  Def  12                    16,200
Intrado Inc                      Com      46117A100          604       27,705 Shs  Def  12                    27,705
Intraware Inc                    Com      46118M103            1          700 Shs  Def  12                       700
Intuit Corp.                     Com      461202103           19          500 Shs  Def   7          500
Intuit Inc                       Com      461202103        1,064       27,727 Shs  Def  12                    27,727
Invacare Corp.                   Com      461203101          301        8,000 Shs  Def   2        8,000
Invacare Corp                    Com      461203101          676       17,989 Shs  Def  12                    17,989
Investment Grade Municipal       Cl End Fd461368102           15        1,000 Shs  Def  12                     1,000
Investment Technology Group      Com      46145F105          197        3,740 Shs  Def  12                     3,740
Invision Technologies Inc        Com      461851107           52        1,300 Shs  Def  12                     1,300
Invitrogen Corp                  Com      46185R100          461       13,428 Shs  Def  12                    13,428
Iomega Corp                      Com      462030305          878       99,140 Shs  Def   6       99,140
Iomega Corp                      Com      462030305           14        1,625 Shs  Def  12                     1,625
Iron & Glass Bancorp Inc         Com      462735101           11          400 Shs  Def  12                       400
Irwin Finl Corp                  Com      464119106        9,424      503,700 Shs  Def   6      490,800                     12,900
I C Isaacs & Co Inc              Com      464192103            1        2,250 Shs  Def  12                     2,250
Isco International Inc           Com      46426P103            2        2,500 Shs  Def  12                     2,500
Ishares Inc                      Com      464286103           40        4,042 Shs  Def  12                     4,042
Ishares Inc.                     MSCI AUST464286103           15          950 Shs  Def  15          950
Ishares Inc                      Com      464286202           17        2,000 Shs  Def  12                     2,000
Ishares Inc                      Com      464286608           33          600 Shs  Def  12                       600
Ishares Inc.                     MSCI EMU 464286608          145        1,700 Shs  Def  15        1,700
Ishares Inc.                     MSCI SING464286673            2          200 Shs  Def  15          200
Ishares Inc                      Com      464286699           22        1,496 Shs  Def  12                     1,496
Ishares Inc.                     MSCI  UTD464286699           23        1,000 Shs  Def  15        1,000
Ishares Inc                      Com      464286707           21        1,138 Shs  Def  12                     1,138
Ishares Inc                      Com      464286749           23        1,779 Shs  Def  12                     1,779
Ishares Inc.                     MSCI SWIT464286749           10          500 Shs  Def  15          500
Ishares Inc.                     MSCI SWED464286756            1           50 Shs  Def  15           50
Ishares Inc                      Com      464286806           22        1,441 Shs  Def  12                     1,441
Ishares Inc                      Com      464286814           22        1,259 Shs  Def  12                     1,259
Ishares Inc                      Com      464286848          165       20,212 Shs  Def  12                    20,212
Ishares Inc.                     MSCI JAPA464286848           79        6,800 Shs  Def  15        6,800
Ishares Inc                      Com      464286871           57        6,192 Shs  Def  12                     6,192
Ishares Inc.                     MSCI HONG464286871            5          350 Shs  Def  15          350
Ishares Trust                    Com      464287101          456        7,850 Shs  Def  12                     7,850
Ishares S&P 500 Index Fund       Com      464287200           12          101 Shs  Def   4          101
Ishares Trust                    Com      464287408           11          200 Shs  Def  12                       200
Ishares Trust                    Com      464287465           61          510 Shs  Def  12                       510
Ishares Tr                       Com      464287499        1,036       16,950 Shs  Def  12                    16,950
Ishares Trust                    Com      464287507        1,302       12,060 Shs  Def  12                    12,060
Ishares Tr                       Com      464287556          143        1,860 Shs  Def  12                     1,860
Ishares Tr                       Com      464287564          130        1,450 Shs  Def  12                     1,450
Ishares Trust                    Com      464287580           15          257 Shs  Def  12                       257
Ishares Trust                    Com      464287606        1,161        9,877 Shs  Def  12                     9,877
Ishares Trust                    Com      464287630        1,186        8,475 Shs  Def  12                     8,475
Ishares Trust                    Com      464287655        1,257       12,553 Shs  Def  12                    12,553
Ishares Trust                    Com      464287663           17          225 Shs  Def  12                       225
Ishares Trust                    Com      464287697          133        2,000 Shs  Def  12                     2,000
Ishares Trust                    Com      464287705          168        1,705 Shs  Def  12                     1,705
Ishares Trust                    Com      464287713           43        1,624 Shs  Def  12                     1,624
Ishares Trust                    Com      464287721          256        5,152 Shs  Def  12                     5,152
Ishares Trust                    Com      464287739            9          100 Shs  Def  12                       100
Ishares Trust                    Com      464287747           69        5,500 Shs  Def  12                     5,500
Ishares Trust                    Com      464287754           13          259 Shs  Def  12                       259
Ishares Trust                    Com      464287762          142        2,328 Shs  Def  12                     2,328
Ishares Trust                    Com      464287796            5          100 Shs  Def  12                       100
Ishares Trust                    Com      464287804        1,498       12,230 Shs  Def  12                    12,230
Ishares Trust                    Com      464287812          171        3,598 Shs  Def  12                     3,598
Ishares Trust                    Com      464287838           77        1,825 Shs  Def  12                     1,825
Ishares Trust                    Com      464287879        1,320       14,005 Shs  Def  12                    14,005
Ishares Trust                    Com      464287887        1,291       16,160 Shs  Def  12                    16,160
Isis Pharmaceuticals             Com      464330109           11          690 Shs  Def   4          690
Isis Pharmaceuticals Inc         Com      464330109           77        4,800 Shs  Def  12                     4,800
Isle Of Capri Casinos In         Com      464592104        5,229      283,400 Shs  Def   6      275,600                      7,800
Isle Capri Casinos Inc           Com      464592104          461       25,000 Shs  Def  12                    25,000
Isle Of Capris Casinos Inc       Com      464592104          973       52,745 Shs  Def   3       51,845                        900
Isolyser Co Inc                  Com      464888106            3        1,000 Shs  Def  12                     1,000
Italy Fund Inc                   Com      465395101            2          326 Shs  Def  12                       326
I3 Mobile Inc                    Com      465713105           48       28,000 Shs  Def  12                    28,000
Ito Yokado Ltd Adr - New         ADR      465714301          330        8,375 Shs  Def   2        8,375
Itochu Corp Adr                  Com      465717106        1,892       56,837 Shs  Def   6       56,012                        825
Itron Inc                        Com      465741106            6          200 Shs  Def  12                       200
Itron Inc                        Com      465741106        1,830       61,500 Shs  Def   3       61,100                        400
I2 Technologies Inc              Com      465754109        1,862      367,960 Shs  Def   6      347,860                     20,100
I2 Technologies Inc              Com      465754109          202       39,954 Shs  Def  12                    39,954
***Ivanhoe Energy Inc            Com      465790103            4        2,000 Shs  Def  12                     2,000
Ivax Corp.                       Com      465823102        2,531      157,665 Shs  Def   2      157,665
Ivax Corp                        Com      465823102        3,379      210,530 Shs  Def   5      157,895                     52,635
Ivax Corp Florida                Com      465823102            2          126 Shs  Def   6          126
Ivax Corp                        Com      465823102          222       13,805 Shs  Def  12                    13,805
Ivex Packaging Corp Del Com      Com      465855104        8,368      365,100 Shs  Def   3      330,500                     34,600
Ivillage Inc                     Com      46588H105            3        1,200 Shs  Def  12                     1,200
Jdn Realty Corp                  Com      465917102          313       24,513 Shs  Def  12                    24,513
Jdn Realty Corp                  Pfd      465917201          109        4,350 Shs  Def  12                     4,350
Ixys Corp Del                    Com      46600W106            2          200 Shs  Def  12                       200
J Alexander Corp                 Com      466096104           56       15,225 Shs  Def  12                    15,225
Jbi Capital Trust I-9.25% Gtd    Pfd      46610Q206            2          100 Shs  Def  12                       100
Jcp&L Capital Lp-8.56% Cum       Pfd      46611K208          106        4,175 Shs  Def  12                     4,175
Jds Uniphase Corp                Com      46612J101           38        6,370 Shs  Def   2        6,370
Jds Uniphase Corp Com            Com      46612J101          841      143,115 Shs  Def   6      132,330                     10,785
Jds Uniphase Corp                Com      46612J101           12        2,000 Shs  Def   7        2,000
Jds Uniphase Corp                Com      46612J101          841      142,780 Shs  Def  12                   142,780
Jds Uniphase Common Stock        Com      46612J101           37        6,800 Shs  Def                         6,800
Jds Uniphase Corp                Com      46612J101           29        5,000 Shs  Def                         5,000
Jlg Inds Inc                     Com      466210101       10,191      688,600 Shs  Def   6      667,300                     21,300
Jlg Industries Inc               Com      466210101          258       17,460 Shs  Def  12                    17,460
Jni Corp                         Com      46622G105            4          500 Shs  Def  12                       500
J Net Enterprises Inc            Com      46622V102           11        4,900 Shs  Def  12                     4,900
Jpm Chase Capital Ix             PFD      46623C202           33        1,300 Shs  Def   2        1,300
Jpm Chase Capital Ix             Pfd      46623C202           33        1,300 Shs  Def  12                     1,300
Jp Realty Inc                    Com      46624A106           11          400 Shs  Def  12                       400
Jp Realty Inc                    Com      46624A106        4,802      179,500 Shs  Def   3      170,300                      9,200
Jps Industries Inc               Com      46624E405          130       28,300 Shs  Def   6       27,600                        700
Jp Morgan Chase & Co.            Com      46625H100          882       24,740 Shs  Def   1        3,500                     21,240
J.P. Morgan Chase & Co.          Com      46625H100       16,222      455,045 Shs  Def   2      449,695                      5,350
Jp Morgan Chase                  Com      46625H100          139        3,910 Shs  Def   4        3,910
J.P. Morgan Chase & Co           Com      46625H100        6,636      186,135 Shs  Def   5      146,622                     39,513
J.P. Morgan Chase & C            Com      46625H100       41,556    1,166,624 Shs  Def   6    1,102,561                     64,063
J.P. Morgan Chase & Co.          Com      46625H100        4,973      139,490 Shs  Def   7      139,490
J.P. Morgan Chase & Co.          Com      46625H100      198,548    5,569,367 Shs  Def   8                 5,569,367
J P Morgan Chase & Co            Com      46625H100        3,371       94,661 Shs  Def   9                     7,430        87,231
J.P. Morgan Chase & Co.          Com      46625H100      337,056    9,454,581 Shs  Def  10    9,454,581
Jp Morgan Chase & Co             Com      46625H100          822       23,062 Shs  Def  11       14,887        8,000
J P Morgan Chase & Co            Com      46625H100       22,707      636,936 Shs  Def  12                   636,936
Jp Morgan Chase & Co.            Com      46625H100        5,062       89,100 Shs  Def  15       89,100
Jp Morgan Chase & Co             Com      46625H100        8,695      243,890 Shs  Def   3      234,470                      9,420
J P Morgan Chase & Co            PFD      46625H209          960       12,750 Shs  Def   2       12,750
J P Morgan Chase & Co            Pfd      46625H209           60          800 Shs  Def  12                       800
Jabil Circuit Inc                Com      466313103            8          356 Shs  Def   6          356
Jabil Circuit Inc                Com      466313103          351       14,925 Shs  Def  12                    14,925
Jabil Circuit Inc                Com      466313103           14          600 Shs  Def   3          600
Jack In The Box Inc C            Com      466367109       14,052      470,409 Shs  Def   6      462,214          630         7,565
Jacksonville Bancorp Inc         Com      469248108          510       22,000 Shs  Def   6       20,900                      1,100
Jaco Electrs Inc                 Com      469783104          465       73,300 Shs  Def   6       70,900                      2,400
Jacobs Engineering Group Inc     Com      469814107           30          420 Shs  Def  12                       420
Jakks Pacific, Inc.              Com      47012E106           34        1,500 Shs  Def   2        1,500
Jakks Pac Inc                    Com      47012E106        6,020      264,600 Shs  Def   6      255,000                      9,600
Jakks Pacific Inc                Com      47012E106            7          300 Shs  Def  12                       300
Jakks Pacific Inc                Com      47012E106       11,005      483,740 Shs  Def   3      474,140                      9,600
Jardine Fleming India Fund Inc   Cl End Fd471112102           13        1,581 Shs  Def  12                     1,581
Jefferson-Pilot Corp.            Com      475070108        5,760      115,020 Shs  Def   2      115,020
Jefferson Pilot Corp             Com      475070108            4           70 Shs  Def   6           70
Jefferson-Pilot Corp.            Com      475070108        3,885       77,572 Shs  Def   7       77,572
Jefferson-Pilot Corp.            Com      475070108          352        7,102 Shs  Def   9                                   7,102
Jefferson Pilot Corp             Com      475070108          275        5,500 Shs  Def  11        5,500
Jefferson Pilot Corp             Com      475070108        7,923      158,213 Shs  Def  12                   158,213
Jefferson Smurfit Gro            Com      47508W107        5,624      235,375 Shs  Def   6      217,890                     17,485
John Nuveen Co-Cl A              Com      478035108        1,005       18,219 Shs  Def  12                    18,219
John Nuveen Co  -Cl              Com      478035108        7,699      139,595 Shs  Def   3      133,795                      5,800
Johnson & Johnson                Com      478160104       21,226      326,800 Shs  Def   1       83,160                    243,640
Johnson & Johnson                Com      478160104       32,259      496,671 Shs  Def   2      495,171                      1,500
Johnson & Johnson                Com      478160104        8,576      132,039 Shs  Def   4      132,039
Johnson & Johnson Com            Com      478160104        9,681      149,047 Shs  Def   5      109,158                     39,889
Johnson & Johnson                Com      478160104            2           31 Shs  Def   6                                      31
Johnson & Johnson                Com      478160104       15,182      233,756 Shs  Def   7      233,756
Johnson & Johnson                Com      478160104        1,626       25,164 Shs  Def   9                                  25,164
Johnson & Johnson                Com      478160104        7,664      118,000 Shs  Def  10      118,000
Johnson & Johnson                Com      478160104        4,732       72,856 Shs  Def  11       58,340       13,042           524
Johnson & Johnson                Com      478160104       39,001      600,473 Shs  Def  12                   600,473
Johnson & Johnson                Com      478160104        1,161       11,220 Shs  Def  15       11,220
Johnson & Johnson  Com           Com      478160104       66,898    1,029,996 Shs  Def   3      990,168                     39,828
Johnson Controls Inc.            Com      478366107        1,492       16,900 Shs  Def   2       16,900
Johnson Ctls Inc                 Com      478366107           20          230 Shs  Def   6          230
Johnson Controls Inc             Com      478366107          459        5,196 Shs  Def  12                     5,196
Johnson Controls Inc.            Com      478366107          352        2,500 Shs  Def  15        2,500
Johnson Ctls Inc  Com            Com      478366107       17,035      192,900 Shs  Def   3      182,900                     10,000
Johnson Outdoors Inc             Com      479167108        1,164      118,200 Shs  Def   6      114,200                      4,000
Jones Apparel Group Inc.         Com      480074103          278        7,950 Shs  Def   5        7,350                        600
Jones Apparel Group Inc          Com      480074103            9          270 Shs  Def   6          270
Jones Apparel Group Inc          Com      480074103          323        9,232 Shs  Def  12                     9,232
Jos A Bank Clothiers Inc         Com      480838101        1,299       96,600 Shs  Def   6       94,000                      2,600
Joseph A Bank Clothiers Inc      Com      480838101            7          500 Shs  Def  12                       500
Joule' Inc                       Com      481109106           13        8,300 Shs  Def  12                     8,300
Journal Register Co              Com      481138105          142        6,700 Shs  Def   3        6,700
Joy Global Inc                   Com      481165108        1,581       96,975 Shs  Def  12                    96,975
Juniper Networks                 Com      48203R104           14        1,100 Shs  Def   2        1,100
Juniper Networks                 Com      48203R104            5          391 Shs  Def   6          391
Juniper Networks                 Com      48203R104          165       13,070 Shs  Def  12                    13,070
Kcpl Financing I-8.30% Trust     Pfd      482432200           10          410 Shs  Def  12                       410
Kcs Energy Inc                   Com      482434206           20        6,350 Shs  Def  12                     6,350
Kfx Inc                          Com      48245L107           51       19,000 Shs  Def  12                    19,000
Kla-Tencor Corp                  Com      482480100          900       13,527 Shs  Def  12                    13,527
Kla-Tencor Corp.                 Com      482480100          212        2,000 Shs  Def  15        2,000
Kla-Tencorp Corp Com             Com      482480100       32,991      496,100 Shs  Def   3      483,200                     12,900
Klm Royal Dutch Airlines         Com      482516309          188       13,000 Shs  Def  11       13,000
***Klm Royal Dutch Airls         Com      482516309           50        3,425 Shs  Def  12                     3,425
K Mart Corp                      Com      482584109           39       24,315 Shs  Def  12                    24,315
Kpmg Consulting Inc              Com      48265R109        6,774      335,369 Shs  Def   6      335,215                        154
Kpmg Consulting Inc              Com      48265R109           74        3,659 Shs  Def  12                     3,659
Kpmg Consulting Inc              Com      48265R109          580       28,700 Shs  Def   3       28,700
Ks Bancorp Inc                   Com      48266R108           18        1,125 Shs  Def  12                     1,125
K-Swiss Inc -Cl A                Com      482686102        9,671      231,375 Shs  Def   3      219,675                     10,700
K Tron Intl Inc                  Com      482730108          352       28,700 Shs  Def   6       27,700                      1,000
K2 Inc                           Com      482732104        1,850      283,700 Shs  Def   6      275,700                      8,000
K V Pharmaceutical Co-Cl A       Com      482740206           44        1,500 Shs  Def  12                     1,500
Kadant Inc.                      Com      48282T104            1           96 Shs  Def   2           96
Kadant Inc.                      Com      48282T104            1           79 Shs  Def   7           79
Kadant Inc                       Com      48282T104           40        2,793 Shs  Def  12                     2,793
Kaman Corp                       Com      483548103        7,561      446,100 Shs  Def   6      433,300                     12,800
Kaman Corp-Cl A                  Com      483548103            9          548 Shs  Def  12                       548
Kaneb Pipeline Partners Lp       Sr Pref U484169107          189        4,600 Shs  Def   9                                   4,600
Kaneb Pipe Line Partners Lp      Com      484169107           58        1,420 Shs  Def  12                     1,420
Kaneb Services Llc               Com      484173109            4          166 Shs  Def  12                       166
Kansas City Life Insurance Co    Com      484836101          155        3,990 Shs  Def  12                     3,990
Kansas City Southn Inds Inc      Com      485170302        8,424      528,480 Shs  Def   2      524,130                      4,350
Kansas City Southn Inds Inc      Com      485170302          187       11,762 Shs  Def  12                    11,762
Kaydon Corp.                     Com      486587108          807       29,900 Shs  Def   2       29,900
Kaydon Corp                      Com      486587108           91        3,360 Shs  Def  12                     3,360
Keane Inc                        Com      486665102        9,826      576,295 Shs  Def   6      576,295
Keane Inc                        Com      486665102          166        9,750 Shs  Def  12                     9,750
Kb Home                          Com      48666K109        1,823       42,000 Shs  Def   4       42,000
Kb Home                          Com      48666K109        8,697      200,390 Shs  Def   6      200,390
Kb Home Com                      Com      48666K109        7,506      172,955 Shs  Def   3      154,255                     18,700
Keith Companies Inc              Com      487539108        1,223       94,710 Shs  Def   6       92,210                      2,500
Kellogg Co                       Com      487836108        1,134       33,786 Shs  Def  12                    33,786
Kellogg Co.                      Com      487836108          235        4,400 Shs  Def  15        4,400
Kellwood Co                      Com      488044108        7,542      310,500 Shs  Def   6      310,200                        300
Kellwood Co                      Com      488044108           19          800 Shs  Def  12                       800
Kelly Services Inc-Cl A          Com      488152208           80        2,825 Shs  Def  12                     2,825
Kemet Corp.                      Com      488360108           10          500 Shs  Def   2          500
Kemet Corp                       Com      488360108        1,557       80,370 Shs  Def   6       80,370
Kemet Corp                       Com      488360108          980       50,570 Shs  Def  12                    50,570
Kendle International Inc         Com      48880L107           34        1,841 Shs  Def   2        1,841
Kendle International Inc         Com      48880L107           37        2,000 Shs  Def   7        2,000
Kennametal Inc                   Com      489170100           20          500 Shs  Def  12                       500
Kennedy-Wilson Inc               Com      489399204          156       27,100 Shs  Def   6       27,100
Kennedy Wilson Inc New           Com      489399204            1          100 Shs  Def  12                       100
Kensey Nash Corp                 Com      490057106            3          200 Shs  Def  12                       200
Kentucky Power Co-8.72% Jr Sub   Com      491386108           21          800 Shs  Def  12                       800
Kerr-Mcgee Corp.                 Com      492386107          446        7,100 Shs  Def   2        5,500                      1,600
Kerr Mcgee Corp                  Com      492386107        3,471       55,227 Shs  Def   6       55,227
Kerr Mcgee Corp                  Com      492386107          399        6,345 Shs  Def  12                     6,345
Key Energy Svcs Inc              Com      492914106       20,814    1,941,600 Shs  Def   6    1,894,800                     46,800
Key Energy Services Inc          Com      492914106        1,217      113,512 Shs  Def  12                   113,512
Key Energy Group Inc Com         Com      492914106        1,870      174,440 Shs  Def   3      174,440
Key Prodtn Inc                   Com      493138101        3,151      166,300 Shs  Def   6      161,000                      5,300
Key Production Company Inc       Com      493138101          345       18,210 Shs  Def   3       17,410                        800
Keycorp New                      Com      493267108          996       37,378 Shs  Def   2       37,378
Keycorp New                      Com      493267108          374       14,046 Shs  Def   5        9,226                      4,820
Keycorp New                      Com      493267108       17,993      675,150 Shs  Def   6      675,150
Keycorp New                      Com      493267108          855       32,100 Shs  Def   9                                  32,100
Keycorp New                      Com      493267108          755       28,346 Shs  Def  12                    28,346
Keyspan Corporation              Com      49337W100          153        4,193 Shs  Def   2        4,193
Keyspan Corp                     Com      49337W100            3           70 Shs  Def   6           70
Keyspan Corporation              Com      49337W100          380       10,384 Shs  Def   9                                  10,384
Keyspan Corp                     Com      49337W100          418       11,476 Shs  Def  12                    11,476
Keyspan Corp                     Com      49337W100       19,575      538,000 Shs  Def  13      538,000
Keystone Ppty Tr Corp            Com      493596100          131        9,300 Shs  Def  12                     9,300
Kforce Inc                       Com      493732101            1          237 Shs  Def  12                       237
Kidde Plc Sponsored A            Com      493793103        3,637      310,068 Shs  Def   6      304,218                      5,850
Kilroy Realty Corp               Com      49427F108           11          400 Shs  Def  12                       400
Kimberly-Clark Corp.             Com      494368103          246        3,800 Shs  Def   1        1,800                      2,000
Kimberly-Clark Corp.             Com      494368103        1,853       28,665 Shs  Def   2       28,665
Kimberly-Clark                   Com      494368103           13          200 Shs  Def   4          200
Kimberly Clark Corp Com          Com      494368103        2,990       46,255 Shs  Def   5       36,635                      9,620
Kimberly Clark Corp              Com      494368103           16          250 Shs  Def   6          250
Kimberly-Clark Corp.             Com      494368103          375        5,800 Shs  Def   7        5,800
Kimberly-Clark Corp.             Com      494368103        2,587       40,802 Shs  Def   9                                  40,802
Kimberly-Clark Corp.             Com      494368103        3,556       55,000 Shs  Def  10       55,000
Kimberly Clark Corp              Com      494368103        5,090       78,729 Shs  Def  12                    78,729
Kimberly Clark Corp.             Com      494368103          237        2,300 Shs  Def  15        2,300
Kimberly-Clark Corp              Com      494368103          224        3,500 Shs  Def                         3,500
Kimberly Clark Corp  Com         Com      494368103       13,692      211,794 Shs  Def   3      203,994                      7,800
Kimco Realty Corp.               Com      49446R109           69        2,100 Shs  Def   2        2,100
Kimco Realty Corp.               Com      49446R109          957       29,253 Shs  Def   7       29,253
Kimco Realty Corp                Com      49446R109          148        4,537 Shs  Def  12                     4,537
Kimco Realty Corp                Com      49446R109        5,101      156,000 Shs  Def   3      156,000
Kimco Realty Corp-Dep Shs-Rep    Pfd      49446R604           27        1,100 Shs  Def  12                     1,100
Kinder Morgan Energy             Com      494550106        1,075       32,570 Shs  Def   2       32,570
Kinder Morgan Energy Par         Com      494550106          198        6,000 Shs  Def   6        6,000
Kinder Morgan Energy Partners Lp Com      494550106          930       27,366 Shs  Def   9                                  27,366
Kinder Morgan Energy Partners    Com      494550106        7,840      237,588 Shs  Def  12                   237,588
Kinder Morgan Inc                Com      49455P101           40          830 Shs  Def   6          830
Kinder Morgan Inc Kans           Com      49455P101        2,869       59,235 Shs  Def  12                    59,235
Kinder Morgan Mgmt Llc           Com      49455U100           34        1,006 Shs  Def  12                     1,006
Kinder Morgan Management         Com      49455U100        1,175       34,900 Shs  Def   3       34,900
Kindred Healthcare In            Com      494580103       12,300      299,780 Shs  Def   6      294,700          395         4,685
Kindred Healthcare Inc           Com      494580103        2,151       53,110 Shs  Def   3       52,760                        350
King Pharmaceuticals Inc         Com      495582108        6,219      177,625 Shs  Def   7      177,625
King Pharmaceuticals Inc         Com      495582108          156        4,448 Shs  Def  12                     4,448
King Pharmaceuticals Inc         Com      495582108        4,632      132,300 Shs  Def   3      132,300
King Power Intl Group Inc        Com      495611105            1          500 Shs  Def  12                       500
Kirby Corp                       Com      497266106        7,109      237,770 Shs  Def   3      222,070                     15,700
Kmart Financing I 7.75%          PFD      498778208            2          200 Shs  Def   2          200
Kmart Financing I-7.75% Trust    Pfd      498778208            3          250 Shs  Def  12                       250
Knape & Vogt Mfg Co              Com      498782101          232       19,100 Shs  Def   6       19,100
Knight Ridder Inc                Com      499040103            3           40 Shs  Def   6           40
Knight-Ridder Inc                Com      499040103        1,172       17,068 Shs  Def  12                    17,068
Knight Trading Group Inc         Com      499063105           61        8,510 Shs  Def  12                     8,510
Koger Equity Inc                 Com      500228101           54        3,000 Shs  Def  12                     3,000
Koger Equity Inc                 Com      500228101           43        2,400 Shs  Def   3                                   2,400
Kohls Corp.                      Com      500255104          170        2,396 Shs  Def   2        2,396
Kohls Corp.                      Com      500255104          107        1,500 Shs  Def   7        1,500
Kohls Corp                       Com      500255104          439        6,166 Shs  Def  12                     6,166
Koninklijke Philips              ADR      500472303          420       13,907 Shs  Def   2       13,907
Koninklijke Philips E            Com      500472303       33,922    1,122,480 Shs  Def   6    1,065,387                     57,093
Koninklijke Philips E            ADR      500472303           45        1,500 Shs  Def   8                     1,500
Koninklijke Philips E            Com      500472303          704       23,275 Shs  Def   9                    23,275
Koninklijke Philips E            ADR      500472303        8,854      293,000 Shs  Def  10      293,000
Koninklijke Philips E            Com      500472303          359       11,895 Shs  Def  11       11,395
Kookmin Bk New Sponso            Com      50049M109        3,837       91,760 Shs  Def   6       81,215                     10,545
Kopin Corp                       Com      500600101           89        9,775 Shs  Def  12                     9,775
Korea Electric Power Corp.       ADR      500631106          341       32,350 Shs  Def   2       30,750                      1,600
Korea Electric Power Corp.       ADR      500631106        4,518      428,700 Shs  Def   3      428,700
Korea Fund Inc                   Cl End Fd500634100           67        3,800 Shs  Def  12                     3,800
Korea Telecom Adr Spo            Com      50063P103        9,909      416,206 Shs  Def   6      380,531                     35,675
Korea Telecom Spons Adr          ADR      50063P103       28,489    1,188,015 Shs  Def   3    1,178,015                     10,000
Kos Pharmaceuticals Inc          Com      500648100           28        1,000 Shs  Def  12                     1,000
Koss Corp                        Com      500692108          287       19,900 Shs  Def   6       16,900                      3,000
Kraft Foods Inc Cl A             Com      50075N104          310        8,030 Shs  Def   6        8,030
Kraft Foods Inc                  Com      50075N104        6,611      171,050 Shs  Def   7      171,050
Kraft Foods Inc                  Com      50075N104        1,900       49,151 Shs  Def  12                    49,151
Kraft Foods Inc.                 CL A     50075N104          135        2,200 Shs  Def  15        2,200
Kramont Realty Trust             Com      50075Q107          171       12,700 Shs  Def   9                                  12,700
Kramont Realty Trust             Com      50075Q107           80        5,910 Shs  Def  12                     5,910
Krispy Kreme Doughnuts Inc       Com      501014104        1,300       31,816 Shs  Def  12                    31,816
The Kroger Co.                   Com      501044101        7,458      336,562 Shs  Def   2      336,562
Kroger Co Com                    Com      501044101          217        9,800 Shs  Def   5        9,800
Kroger Co                        Com      501044101            2          100 Shs  Def   6          100
The Kroger Co.                   Com      501044101        1,534       69,225 Shs  Def   7       69,225
The Kroger Co.                   Com      501044101      206,392    9,313,700 Shs  Def   8                 9,313,700
Kroger Co.                       Com      501044101            8          350 Shs  Def   9                       350
The Kroger Co.                   Com      501044101      385,566   17,399,187 Shs  Def  10   17,399,187
Kroger Co                        Com      501044101        6,061      273,509 Shs  Def  12                   273,509
Kroger Co.                       Com      501044101        3,747      106,100 Shs  Def  15      106,100
Kroll, Inc.                      Com      501049100            8          500 Shs  Def   2          500
Kronos Inc                       Com      501052104          477       10,156 Shs  Def  12                    10,156
Krupp Government Income          Com      501118103           89       13,138 Shs  Def  12                    13,138
Krupp Insured Mortgage Lp        Com      501120109           15        5,500 Shs  Def  12                     5,500
Krupp Insured Plus Lp            Com      501124101            4        1,038 Shs  Def  12                     1,038
Krupp Insured Plus Ii Lp         Com      501125108           39       16,643 Shs  Def  12                    16,643
Krupp Insured Plus Iii Lp        Com      501126106           61       18,486 Shs  Def  12                    18,486
Kubota Ltd Corp                  Com      501173207        2,072       33,670 Shs  Def   6       33,125                        545
Kulicke & Soffa Industries Inc   Com      501242101            4          200 Shs  Def  12                       200
Kulicke & Soffa Industries Inc   Com      501242101        1,103       53,010 Shs  Def   3       47,210                      5,800
Lca-Vision Inc.                  Com      501803209            4        2,000 Shs  Def   2        2,000
Lca-Vision Inc New               Com      501803209            3        1,774 Shs  Def  12                     1,774
Lcc International Inc Cl A       Com      501810105            2          500 Shs  Def  12                       500
Lnr Property Corp                Com      501940100           32          900 Shs  Def  12                       900
Ll & E Royalty Trust Ubi         Com      502003106            3        1,050 Shs  Def  12                     1,050
Lmi Aerospace Inc                Com      502079106           48       10,700 Shs  Def   6        8,700                      2,000
Lsb Bancshares Inc-N.C.          Com      502158108           34        2,217 Shs  Def  12                     2,217
Lsi Logic Corp.                  Com      502161102           22        1,300 Shs  Def   2        1,300
Lsi Logic Corp                   Com      502161102           21        1,230 Shs  Def   6        1,230
Lsi Logic Corp.                  Com      502161102        1,175       67,700 Shs  Def   9                                  67,700
Lsi Logic Corp                   Com      502161102          479       28,188 Shs  Def  12                    28,188
Lsi Industries Inc               Com      50216C108           71        3,600 Shs  Def   2        3,600
Lsi Industries Inc               Com      50216C108           59        3,000 Shs  Def   7        3,000
Lsi Industries Inc               Com      50216C108           13          652 Shs  Def  12                       652
Ltc Properties Inc               Com      502175102           35        4,400 Shs  Def  12                     4,400
Ltx Corp                         Com      502392103          233        8,570 Shs  Def  12                     8,570
L-3 Communications Hldings Inc   Com      502424104        1,014        9,057 Shs  Def  12                     9,057
Lvmh Moet Hennessy Louis         ADR      502441207           10        1,000 Shs  Def   2        1,000
La Barge Inc                     Com      502470107           10        2,000 Shs  Def  12                     2,000
La Quinta Properties Inc         Pfd      50419Q201          145        6,300 Shs  Def  12                     6,300
La Quinta Corp Paired            Com      50419U202       20,625    2,825,163 Shs  Def   6    2,778,058        3,965        43,140
La Quinta Corp                   Com      50419U202           21        2,955 Shs  Def  12                     2,955
La Quinta Corp-Paired            Com      50419U202          513       71,780 Shs  Def   3       46,180                     25,600
La Z Boy Inc                     Com      505336107           10          350 Shs  Def  12                       350
Laboratory Corp Amer Hldgs       Com      50540R409          420        4,383 Shs  Def  12                     4,383
Laboratory Corp Amer Hldgs       Com      50540R409           65          675 Shs  Def                           675
Labranche & Co Inc               Com      505447102            6          200 Shs  Def  12                       200
Laclede Group Inc                Com      505597104           47        2,000 Shs  Def   2        2,000
Laclede Group Inc                Com      505597104           19          825 Shs  Def  12                       825
Ladish Inc                       Com      505754200        2,373      212,800 Shs  Def   6      206,500                      6,300
Ladenburg Thalmann Finl Svcs     Com      50575Q102            2        3,112 Shs  Def  12                     3,112
Lafarge North America In         Com      505862102        3,229       74,670 Shs  Def   6       74,670
Lafarge North America Inc.       Com      505862102          172        4,000 Shs  Def   9                                   4,000
Lafarge North Amer Inc           Com      505862102           22          500 Shs  Def  12                       500
Lafarge Corp  Com                Com      505862102        8,929      206,500 Shs  Def   3      195,800                     10,700
Lahaina Acquisitions Inc         Com      507275105            4        5,000 Shs  Def  12                     5,000
Lakeland Finl Corp               Com      511656100           40        2,000 Shs  Def   6        2,000
Lakes Gaming Inc                 Com      51206P109          509       73,200 Shs  Def   6       68,300                      4,900
Lam Research Corp.               Com      512807108            9          300 Shs  Def   2          300
Lam Research Corp                Com      512807108          257        8,775 Shs  Def  12                     8,775
Lamar Advertising Co-Cl A        Com      512815101        3,291       81,025 Shs  Def  12                    81,025
Lamson & Sessions Co             Com      513696104          775      134,700 Shs  Def   6      126,800                      7,900
Lancaster Colony Corp.           Com      513847103        1,448       39,100 Shs  Def   2       39,100
Lancaster Colony Corp            Com      513847103       13,957      378,633 Shs  Def   6      372,918          450         5,265
Lancaster Colony Corp            Com      513847103           86        2,333 Shs  Def  12                     2,333
Lance Inc                        Com      514606102           49        3,425 Shs  Def  12                     3,425
Lancer Corp-Tex                  Com      514614106            5        1,000 Shs  Def  12                     1,000
Landacorp Inc                    Com      514756105            1          500 Shs  Def  12                       500
Landair Corp                     Com      514757103           13          800 Shs  Def  12                       800
Landauer Inc.                    Com      51476K103        1,080       28,600 Shs  Def   9                                  28,600
Landauer Inc                     Com      51476K103            4          100 Shs  Def  12                       100
Landamerica Finl Group I         Com      514936103       11,920      344,200 Shs  Def   6      334,900                      9,300
Landamerica Financial Group      Com      514936103           28          800 Shs  Def  12                       800
Landamerica Finl Group I         Com      514936103           21          600 Shs  Def   3                                     600
Lands End                        Com      515086106          269        6,000 Shs  Def   4        6,000
Lands End Inc                    Com      515086106           91        2,025 Shs  Def  12                     2,025
Lands End Inc  Com               Com      515086106        5,035      112,210 Shs  Def   3      102,310                      9,900
Landrys Restaurants Inc          Com      51508L103            5          200 Shs  Def  12                       200
Landrys Restaurants Inc          Com      51508L103        1,310       57,060 Shs  Def   3       46,260                     10,800
Landstar Sys Inc                 Com      515098101        4,844       52,200 Shs  Def   6       50,200                      2,000
Landstar Systems Inc             Com      515098101        1,144       12,325 Shs  Def  12                    12,325
Landstar Sys Inc                 Com      515098101        1,021       11,000 Shs  Def   3        9,400                      1,600
Langer Biomechanics Group        Com      515707107            1          100 Shs  Def   7          100
Large Scale Biology Corp         Com      517053104            3        1,000 Shs  Def  12                     1,000
Larscom Inc-Cl A                 Com      51729Y108            3        3,000 Shs  Def  12                     3,000
Laser-Pacific Media Corp         Com      517923108           52       22,300 Shs  Def   6       22,300
Lasalle Hotel Properties Sbi     Com      517942108           32        2,000 Shs  Def   2        2,000
Lasalle Hotel Properties         Com      517942108          499       30,805 Shs  Def  12                    30,805
Lasalle Hotel Properties         Pfd      517942207           42        1,600 Shs  Def  12                     1,600
Laser Mortgage Management        Com      51806D100            1        1,250 Shs  Def  12                     1,250
Laser Vision Centers Inc         Com      51807H100           11        3,500 Shs  Def  12                     3,500
Laserscope                       Com      518081104           10        2,200 Shs  Def  12                     2,200
Latin American Equity Fd Inc     Cl End Fd51827Q106           20        1,471 Shs  Def  12                     1,471
The Latin Amern Discovery Fd I   Com      51828C106          167       15,000 Shs  Def   5       15,000
Latitude Communications Inc      Com      518292107           11        4,650 Shs  Def  12                     4,650
Estee Lauder Companies           Com      518439104           34        1,000 Shs  Def   2        1,000
Estee Lauder Companies           Com      518439104          120        3,500 Shs  Def   7        3,500
Estee Lauder Companies Inc       Com      518439104          256        7,486 Shs  Def  12                     7,486
Estee Lauder Companies           Com      518439104        3,538       65,000 Shs  Def  15       65,000
Laurel Capital Group Inc         Com      518629100          144        7,000 Shs  Def  12                     7,000
Law Enforcement Assocs Corp      Com      519485106            1        1,666 Shs  Def  12                     1,666
Lawson Products Inc.             Com      520776105           22          750 Shs  Def   2          750
Lawson Prods Inc                 Com      520776105        1,643       57,000 Shs  Def   6       53,400                      3,600
Lazare Kaplan Intl Inc           Com      521078105           32        4,900 Shs  Def  12                     4,900
Leap Wireless International      Com      521863100           25        2,927 Shs  Def  12                     2,927
Lear Corporation                 Com      521865105          474        9,950 Shs  Def   5        8,550                      1,400
Lear Corp Com                    Com      521865105        9,427      198,199 Shs  Def   6      194,004          310         3,885
Lear Corp                        Com      521865105            5          100 Shs  Def  12                       100
Lear Corp  Com                   Com      521865105       27,668      581,250 Shs  Def   3      556,950                     24,300
Lee Enterprises Inc              Com      523768109        1,580       42,823 Shs  Def  12                    42,823
Legato Systems Inc               Com      524651106            1          100 Shs  Def  12                       100
Leggett & Platt Inc.             Com      524660107          831       33,500 Shs  Def   2       33,500
Leggett & Platt                  Com      524660107       11,835      477,203 Shs  Def   4      477,203
Leggett & Platt Inc              Com      524660107        1,682       67,825 Shs  Def   5       63,225                      4,600
Leggett & Platt Inc              Com      524660107            2           90 Shs  Def   6           90
Leggett & Platt Inc              Com      524660107            2          100 Shs  Def  12                       100
Legg Mason, Inc.                 Com      524901105          357        6,732 Shs  Def   2        6,732
Legg Mason, Inc.                 Com      524901105        2,079       39,175 Shs  Def   7       39,175
Legg Mason, Inc                  Com      524901105        3,272       61,648 Shs  Def  11       57,482        4,166
Legg Mason Inc                   Com      524901105       22,998      433,262 Shs  Def  12                   433,262
Lehman Brothers Holdings         Com      524908100           59          910 Shs  Def   2          910
Lehman Brothers Hldgs Inc        Com      524908100          999       15,450 Shs  Def   5       11,900                      3,550
Lehman Bros Hldgs Inc            Com      524908100        1,482       22,920 Shs  Def   6       22,920
Lehman Brothers Holdings Inc     Com      524908100          873       13,500 Shs  Def   7       13,500
Lehman Brothers Holdings Inc     Com      524908100          400        6,195 Shs  Def  12                     6,195
Lehman Bros Hldgs Cap Tr I       Pfd      52518B200          162        6,400 Shs  Def  12                     6,400
Lehman Bros Hldgs Cap Tr Ii      Pfd      52518G209           75        3,000 Shs  Def  12                     3,000
Lendingtree Inc                  Com      52602Q105            8          600 Shs  Def  12                       600
Lennar Corp                      Com      526057104          222        4,200 Shs  Def  12                     4,200
Lennar Corp.                     Com      526057104          210        2,500 Shs  Def  15        2,500
Lennar Corp  Com                 Com      526057104       26,107      494,820 Shs  Def   3      474,720                     20,100
Lennox Intl Inc                  Com      526107107            3          201 Shs  Def  12                       201
Lennox International Inc         Com      526107107          282       21,300 Shs  Def   3       18,000                      3,300
Leucadia National                Com      527288104           12          335 Shs  Def   2          335
Leucadia Natl Corp               Com      527288104            4          120 Shs  Def   6          120
Leucadia National Corp           Com      527288104          738       20,640 Shs  Def  12                    20,640
Level 3 Communications, Inc.     Com      52729N100        6,118    1,718,400 Shs  Def   8                 1,718,400
Level 3 Communications           Com      52729N100            6        1,800 Shs  Def   9                     1,800
Level 3 Communications, Inc.     Com      52729N100       48,060   13,500,000 Shs  Def  10   13,500,000
Level 3 Communications Inc       Com      52729N100          478      134,337 Shs  Def  12                   134,337
Level 3 Communications, Inc.     Com      52729N100       71,200   20,000,000 Shs  Def  14   20,000,000
Level 3 Communications Inc.      Com      52729N100           11        2,000 Shs  Def  15        2,000
Lexington Corporate              Com      529043101           23        1,415 Shs  Def   2        1,415
Lexmark International, Inc.      Com      529771107           14          250 Shs  Def   2          250
Lexmark Intl Inc New A           Com      529771107            4           75 Shs  Def   6           75
Lexmark International, Inc.      Com      529771107       12,351      216,000 Shs  Def  10      216,000
Lexmark International Inc        Com      529771107          233        4,080 Shs  Def  12                     4,080
Libbey Inc                       Com      529898108        5,196      134,900 Shs  Def   6      134,400                        500
Liberty All-Star Growth Fund     Cl End Fd529900102          124       14,410 Shs  Def  12                    14,410
Liberate Technologies            Com      530129105            1          200 Shs  Def  12                       200
Liberty All-Star Equity Fund     Cl End Fd530158104          531       48,271 Shs  Def  12                    48,271
Liberty Corp-S.C.                Com      530370105            8          200 Shs  Def  12                       200
Liberty Media Corp               Com      530718105        8,577      678,598 Shs  Def   1      260,100                    418,498
Liberty Media Corp               Com      530718105           37        2,900 Shs  Def   2        2,900
Liberty Media Corp               CL A     530718105            7          500 Shs  Def   4          500
Liberty Media Corp               Com      530718105        3,877      306,700 Shs  Def   6      306,700
Liberty Media Corp               Com      530718105           53        4,200 Shs  Def   7        4,200
Liberty Media Corp               Com      530718105        1,026       81,144 Shs  Def   9                                  81,144
Liberty Media Corp               Com      530718105        4,644      367,417 Shs  Def  12                   367,417
Liberty Media Corp               Com      530718105        1,327      105,000 Shs  Def   3      105,000
Liberty Property Trust-Sbi       Com      531172104          416       12,899 Shs  Def  12                    12,899
Liberty Property Trust           Pfd      531172203            6          250 Shs  Def  12                       250
Lifecell Corp                    Com      531927101            7        2,000 Shs  Def  12                     2,000
Lifecore Biomedical Inc          Com      532187101            6          500 Shs  Def  12                       500
Lifepoint Hospitals Inc          Com      53219L109          111        3,014 Shs  Def  12                     3,014
Ligand Pharmaceuticals Inc       Com      53220K207           55        2,800 Shs  Def  12                     2,800
Lightpath Technologies Inc       Com      532257102            4        2,315 Shs  Def  12                     2,315
Eli Lilly & Co.                  Com      532457108       18,424      241,788 Shs  Def   1       73,217                    168,571
Lilly (Eli) & Co.                Com      532457108        1,282       16,819 Shs  Def   2       16,819
Lilly                            Com      532457108           52          680 Shs  Def   4          680
Lilly Eli & Co Com               Com      532457108          871       11,425 Shs  Def   5        9,825                      1,600
Eli Lilly & Co                   Com      532457108            4           54 Shs  Def   6           35                         19
Lilly (Eli) & Co.                Com      532457108       10,107      132,632 Shs  Def   7      132,632
Lilly (Eli) & Co.                Com      532457108        2,254       29,000 Shs  Def   9                                  29,000
Eli Lilly & Co                   Com      532457108          372        4,880 Shs  Def  11        4,614          266
Eli Lilly & Co                   Com      532457108       12,836      168,445 Shs  Def  12                   168,445
Lilly Eli & Co.                  Com      532457108          364        3,000 Shs  Def  15        3,000
Lilly Eli                        Com      532457108          182        2,400 Shs  Def                         2,400
Lilly Eli & Co  Com              Com      532457108       10,729      140,797 Shs  Def   3      134,797                      6,000
Limited Inc                      Com      532716107          555       31,000 Shs  Def   2       31,000
Limited Inc                      Com      532716107           31        1,718 Shs  Def   6        1,718
Limited Inc                      Com      532716107          838       46,812 Shs  Def  12                    46,812
Limited Inc.                     Com      532716107           97        3,400 Shs  Def  15        3,400
Lincare Holdings Inc             Com      532791100          995       36,700 Shs  Def  12                    36,700
Lincoln Elec Hldgs Inc           Com      533900106       15,056      527,000 Shs  Def   6      505,700                     21,300
Lincoln Elec Holdings Inc        Com      533900106        1,053       36,870 Shs  Def  12                    36,870
Lincoln Electric Hldgs Inc       Com      533900106        6,694      234,290 Shs  Def   3      211,490                     22,800
Lincoln Natl Cap V               Pfd      534042205            5          200 Shs  Def  12                       200
Lincoln National Capital Iii     PFD      53417P209            7          300 Shs  Def   2          300
Lincoln National Capital Iii     Pfd      53417P209          281       11,300 Shs  Def  12                    11,300
Lincoln National Convertible     Cl End Fd534183108          104        7,000 Shs  Def  12                     7,000
Lincoln National Corp. Ind.      Com      534187109        6,197      122,155 Shs  Def   2      121,155                      1,000
Lincoln Natl Corp Ind Com        Com      534187109        3,225       63,580 Shs  Def   5       54,380                      9,200
Lincoln Natl Corp Ind            Com      534187109           24          480 Shs  Def   6          480
Lincoln National Corp. Ind.      Com      534187109        2,779       54,775 Shs  Def   7       54,775
Lincoln National Corp - Ind      Com      534187109          336        6,625 Shs  Def  11        6,625
Lincoln National Corp-Ind        Com      534187109          930       18,337 Shs  Def  12                    18,337
Lincoln Natl Corp Ind  Com       Com      534187109        3,830       75,500 Shs  Def   3       75,500
Lincoln National Income Fund     Cl End Fd534217104           37        3,000 Shs  Def  12                     3,000
Lindsay Manufacturing Co         Com      535555106           18          724 Shs  Def  12                       724
Linear Technology Corp.          Com      535678106        1,866       42,200 Shs  Def   1       21,000                     21,200
Linear Technology Corp           Com      535678106        1,182       26,722 Shs  Def  12                    26,722
Linens N Things Inc              Com      535679104          162        5,305 Shs  Def  12                     5,305
Liquidix Inc                     Com      53634Y108            1          900 Shs  Def  12                       900
Lithia Mtrs Inc                  Com      536797103        3,836      155,300 Shs  Def   6      150,300                      5,000
Lithia Motors Inc.               Com      536797103           49        2,000 Shs  Def                         2,000
Littlefuse Inc.                  Com      537008104           35        1,400 Shs  Def   2        1,400
Littelfuse Inc                   Com      537008104          568       22,950 Shs  Def  12                    22,950
Liz Claiborne Inc                Com      539320101          386       13,600 Shs  Def   5       11,400                      2,200
Liz Claiborne Inc                Com      539320101        4,056      143,020 Shs  Def   6      143,020
Liz Claiborne Inc                Com      539320101          378       13,317 Shs  Def  12                    13,317
Liz Claiborne Inc  Com  Nasd IndlCom      539320101        1,537       54,200 Shs  Def   3       54,200
Lloyds Tsb Group Adr             Com      539439109          223        5,340 Shs  Def   6          360                      4,980
***Lloyds Tsb Group Plc          Com      539439109           19          467 Shs  Def  12                       467
Lo-Jack Corp                     Com      539451104          110       20,800 Shs  Def   6       18,300                      2,500
Local Financial Capital Tr I     Pfd      539551200          415       16,100 Shs  Def  12                    16,100
Local Financial Corp             Com      539553107           25        1,582 Shs  Def   2        1,582
Local Finl Corp                  Com      539553107        5,019      318,900 Shs  Def   6      309,700                      9,200
Loch Harris Inc New              Com      539578203            1       39,500 Shs  Def  12                    39,500
Lockheed Martin Corp.            Com      539830109          551        9,566 Shs  Def   2        9,566
Lockheed Martin Corp             Com      539830109        2,429       42,190 Shs  Def  12                    42,190
Loews Corp.                      Com      540424108        2,774       47,350 Shs  Def   2       47,350
Loews Corp                       Com      540424108       18,325      312,755 Shs  Def   6      302,420                     10,335
Loews Corp.                      Com      540424108          469        8,000 Shs  Def   7        8,000
Loews Corp                       Com      540424108        1,139       19,445 Shs  Def  12                    19,445
Loews Corp                       Com      540424207            3          100 Shs  Def  12                       100
Loews Corp Sub Note              Cvt      540424AL2       26,311   31,000,000 Prn  Def                                  31,000,000
Lone Star Steakhouse             Com      542307103       17,178      833,159 Shs  Def   6      815,804        1,380        15,975
Lone Star Steakhouse & Saloon    Com      542307103          676       32,370 Shs  Def  12                    32,370
Lone Star Steakhouse             Com      542307103        2,313      110,700 Shs  Def   3      103,900                      6,800
Lone Star Technologies I         Com      542312103        8,221      360,400 Shs  Def   6      350,700                      9,700
Lone Star Technologies Inc       Com      542312103           35        1,550 Shs  Def  12                     1,550
Longs Drug Stores Corp           Com      543162101            5          180 Shs  Def  12                       180
Looksmart Ltd                    Com      543442107            4        1,100 Shs  Def  12                     1,100
***Lorus Therapeutics Inc        Com      544191109            7       10,850 Shs  Def  12                    10,850
Loudcloud Inc                    Com      545735102            5        2,000 Shs  Def  12                     2,000
Louisiana Pacific Corp.          Com      546347105           34        3,170 Shs  Def   2        3,170
Louisiana Pacific Corp           Com      546347105            1           75 Shs  Def  12                        75
Louisville Gas & Electric Co     Pfd      546676206            4          200 Shs  Def  12                       200
Lowe'S Companies, Inc.           Com      548661107        3,526       81,070 Shs  Def   2       81,070
Lowes Cos Inc Com                Com      548661107          335        7,693 Shs  Def   5        6,879                        814
Lowes Companies Inc              Com      548661107           23          525 Shs  Def   6          525
Lowes Companies Inc              Com      548661107          817       18,775 Shs  Def  11       15,175        3,200
Lowes Companies Inc              Com      548661107        7,474      171,854 Shs  Def  12                   171,854
Lubrizol Corp Com                Com      549271104          295        8,475 Shs  Def   5        7,700                        775
Lubrizol Corp.                   Com      549271104          414       11,800 Shs  Def   9                                  11,800
Lubrizol Corp                    Com      549271104            7          200 Shs  Def  12                       200
Lubrizol Corp  Com               Com      549271104       10,120      290,900 Shs  Def   3      279,200                     11,700
Lubys Cafeterias Inc.            Com      549282101           17        2,535 Shs  Def   2                                   2,535
Luby'S Inc                       Com      549282101           52        7,650 Shs  Def  12                     7,650
Lucent Technologies Inc.         Com      549463107          487      102,959 Shs  Def   2      102,959
Lucent Technologies              Com      549463107            5          968 Shs  Def   4          968
Lucent Technologies Inc Com      Com      549463107           74       15,587 Shs  Def   5       14,522                      1,065
Lucent Technologies I            Com      549463107        4,139      874,615 Shs  Def   6      754,095                    120,520
Lucent Technologies Inc.         Com      549463107       43,580    9,213,429 Shs  Def   8                 9,213,429
Lucent Technologies Inc.         Com GS   549463107          243       50,477 Shs  Def   9                     1,000        49,477
Lucent Technologies Inc.         Com      549463107       84,839   17,936,400 Shs  Def  10   17,936,400
Lucent Technologies Inc          Com      549463107           74       15,559 Shs  Def  11       14,358        1,201
Lucent Technologies Inc          Com      549463107        4,073      861,174 Shs  Def  12                   861,174
Lucent Technology                Com      549463107        3,780      501,500 Shs  Def  15      501,500
Lufkin Inds Inc                  Com      549764108        1,936       71,700 Shs  Def   6       70,100                      1,600
Luminex Corp Del                 Com      55027E102        1,429      113,810 Shs  Def  12                   113,810
Luxottica Group Spa              ADR      55068R202           19        1,000 Shs  Def   2        1,000
Lyon William Homes               Com      552074106          254       13,500 Shs  Def   6       13,500
Lyon William Homes               Com      552074106            1           40 Shs  Def  12                        40
Lyondell Chemical Co             Com      552078107        6,505      391,660 Shs  Def   6      338,960                     52,700
Lyondell Chemical Company        Com      552078107           12          700 Shs  Def  12                       700
M & T Bank                       Com      55261F104       23,035      286,606 Shs  Def   4      286,606
M & T Bank Corp                  Com      55261F104        6,552       81,525 Shs  Def   7       81,525
M & T Bank Corp                  Com      55261F104          471        5,857 Shs  Def  12                     5,857
Maf Bancorp                      Com      55261R108           81        2,299 Shs  Def   2        2,299
Maf Bancorp                      Com      55261R108       12,396      351,646 Shs  Def   4      351,646
Maf Bancorp Inc                  Com      55261R108        7,133      202,350 Shs  Def   6      197,650                      4,700
Maf Bancorp Inc                  Com      55261R108           14          409 Shs  Def  12                       409
Mbia, Inc.                       Com      55262C100          450        8,235 Shs  Def   2        8,235
Mbia Inc                         Com      55262C100          624       11,412 Shs  Def   5        9,579                      1,833
Mbia Inc                         Com      55262C100           21          380 Shs  Def   6          380
Mbia, Inc.                       Com      55262C100        1,693       31,295 Shs  Def   9                                  31,295
Mbia Inc                         Com      55262C100          564       10,317 Shs  Def  12                    10,317
Mbna Corporation                 Com      55262L100          179        4,635 Shs  Def   2        4,635
Mbna                             Com      55262L100           82        2,137 Shs  Def   4        2,137
Mbna Corporation                 Com      55262L100      117,027    3,034,144 Shs  Def   8                 3,034,144
Mbna Corporation                 Com      55262L100      219,782    5,698,250 Shs  Def  10    5,698,250
Mbna Corp                        Com      55262L100          694       18,000 Shs  Def  11       13,960        2,655         1,385
Mbna Corp                        Com      55262L100       12,812      332,167 Shs  Def  12                   332,167
Mbna Corp.                       Com      55262L100           12          200 Shs  Def  15          200
Mbna Corp                        Com      55262L100          268        6,900 Shs  Def                         6,900
Mbna Corp                        Com      55262L100       12,616      327,100 Shs  Def   3      314,300                     12,800
Mbna Corp-7.50% Cum Pfd Ser A    Pfd      55262L209           20          800 Shs  Def  12                       800
Mb Financial Inc                 Com      55264U108        1,231       41,100 Shs  Def   3       32,200                      8,900
Mci Commun Corp   7 3/4  3-15-   Com      552673AQ8           19       23,000 Shs  Def   6       23,000
M D C Hldgs Inc                  Com      552676108        7,118      164,768 Shs  Def   6      157,145                      7,623
Mdc Holdings Inc-Del             Com      552676108            4          100 Shs  Def  12                       100
M D C Hldgs Inc  Com             Com      552676108        3,472       80,365 Shs  Def   3       73,825                      6,540
Mci Capital I-8% Cum Quarterly   Pfd      55267Y206          270       16,523 Shs  Def  12                    16,523
M D U Resources Group, Inc.      Com      552690109           56        1,800 Shs  Def   2        1,800
Mdu Res Group Inc                Com      552690109        4,969      160,300 Shs  Def   6      160,300
Mdu Resources Group Inc          Com      552690109          188        6,050 Shs  Def  12                     6,050
Mcsi Inc                         Com      55270M108            5          400 Shs  Def   2          400
Mcsi Inc Com                     Com      55270M108        8,228      691,135 Shs  Def   6      672,575        1,430        17,130
Memc Electronic Materials Inc    Com      552715104            3          500 Shs  Def  12                       500
Mfs Charter Income Trust-Sbi     Cl End Fd552727109          218       26,795 Shs  Def  12                    26,795
Mfs Multimarket Income Trust     Cl End Fd552737108          132       21,381 Shs  Def  12                    21,381
Mfs Municipal Income Trust-Sbi   Cl End Fd552738106          331       44,067 Shs  Def  12                    44,067
Mfs Intermediate Income Trust    Cl End Fd55273C107          564       84,280 Shs  Def  12                    84,280
Mgic Investment                  Com      552848103           62          900 Shs  Def   2          900
Mgic Invt Corp Wis               Com      552848103       13,369      195,370 Shs  Def   6      195,370
Mgic Investment Corporation      Com      552848103      326,138    4,766,014 Shs  Def   8                 4,766,014
Magic Software                   Com      552848103            7          100 Shs  Def   9                       100
Mgic Investment Corporation      Com      552848103      661,596    9,668,221 Shs  Def  10    9,668,221
Mgic Investment Corp-Wisc        Com      552848103        4,619       67,493 Shs  Def  12                    67,493
Mgic Investment Corp.            Com      552848103           55          500 Shs  Def  15          500
Mgic Invt Corp Wis Com           Com      552848103       11,763      171,900 Shs  Def   3      171,900
Mgi Pharma Inc                   Com      552880106           34        2,500 Shs  Def  12                     2,500
Mgi Properties                   Com      552885105            2        7,062 Shs  Def  12                     7,062
Mfs Government Markets Income    Cl End Fd552939100          222       33,915 Shs  Def  12                    33,915
Mgm Mirage                       Com      552953101           12          330 Shs  Def   6          330
Mgm Mirage Inc.                  Com      552953101       47,476    1,310,419 Shs  Def   8                 1,310,419
Mgm Mirage Inc.                  Com      552953101      216,785    5,983,585 Shs  Def  10    5,983,585
Mgm Mirage                       Com      552953101          132        3,655 Shs  Def  12                     3,655
Mgm Mirage                       Com      552953101            6          100 Shs  Def  15          100
Mim Corp                         Com      553044108          178       10,800 Shs  Def  12                    10,800
M/I Schottenstein Homes          Com      55305B101        6,566      115,900 Shs  Def   6      111,800                      4,100
M/I Schottenstein Homes Inc      Com      55305B101          272        4,800 Shs  Def   3        4,800
Mks Instruments Inc              Com      55306N104          130        3,785 Shs  Def  12                     3,785
Mm02 Plc                         ADR      55309W101          310       31,625 Shs  Def   2       31,625
Mps Group Inc Com                Com      553409103        3,382      386,290 Shs  Def   6      350,990                     35,300
Mps Group Inc                    Com      553409103           73        8,315 Shs  Def  12                     8,315
Mrv Communications Inc           Com      553477100            8        2,880 Shs  Def  12                     2,880
Project Software & Dev In  Com   Com      55347W105           23        1,870 Shs  Def   3        1,870
Msc.Software Corporation         Com      553531104        3,002      130,500 Shs  Def   3      119,300                     11,200
Msdw Capital Trust I-7.10%       Pfd      553538208           59        2,400 Shs  Def  12                     2,400
Msh Entertainment Corp           Com      553574104            1       48,000 Shs  Def  12                    48,000
Msu Corp.                        Com      553757105           13      100,000 Shs  Def  15      100,000
Mtr Gaming Group Inc             Com      553769100           17        1,125 Shs  Def  12                     1,125
Mti Technology Corp              Com      553903105            1        1,000 Shs  Def  12                     1,000
M-Wave Inc                       Com      554034108          132       18,900 Shs  Def   6       17,800                      1,100
Macerich Co                      Com      554382101        4,167      138,200 Shs  Def   3      133,600                      4,600
Mack-Cali Realty Corp            Com      554489104          773       22,300 Shs  Def  12                    22,300
Mackie Designs Inc               Com      554541102            1          200 Shs  Def  12                       200
Macrochem Corp-Del               Com      555903103            2          500 Shs  Def  12                       500
Macrovision Corp                 Com      555904101           24          885 Shs  Def  12                       885
Macromedia Inc                   Com      556100105            8          372 Shs  Def  12                       372
Macronix Intl Ltd  Adr           Com      556103109          576       65,000 Shs  Def   3       65,000
Madden Steven Ltd                Com      556269108        2,756      157,500 Shs  Def   6      152,100                      5,400
Steven Madden Ltd                Com      556269108          947       54,100 Shs  Def   3       54,100
Magellan Health Svcs Inc         Com      559079108        2,514      441,000 Shs  Def   6      431,400                      9,600
Magellan Health Svcs             Com      559079108           23        4,060 Shs  Def   3        4,060
Magellan Petroleum Corp          Com      559091301            2        3,000 Shs  Def  12                     3,000
Magna Intl Inc                   Com      559222401          360        4,900 Shs  Def   5        3,625                      1,275
***Magna International Inc       Com      559222401           87        1,185 Shs  Def  12                     1,185
Magna Intl Inc Cl A Nasd Indl    Com      559222401        1,374       18,700 Shs  Def   3        8,000                     10,700
Magna Intl Inc                   PFD      559222609            8          300 Shs  Def   2          300
Magna Intl Inc                   Pfd      559222609           18          700 Shs  Def  12                       700
Magnum Hunter Res Inc            Com      55972F203        4,188      536,250 Shs  Def   6      522,250                     14,000
Magnum Hunter Resources Inc      Com      55972F203            6          750 Shs  Def  12                       750
Mahanagar Telephone Adr          ADR      559778402           57        9,500 Shs  Def   3        9,500
Mail-Well Inc                    Com      560321200        5,080      808,900 Shs  Def   6      785,300                     23,600
Mail Well Inc                    Com      560321200          304       48,458 Shs  Def  12                    48,458
Main Street Banks, Inc.          Com      56034R102           11          586 Shs  Def   2          586
Maine Pub Svc Co                 Com      560483109          279        9,400 Shs  Def   6        9,400
Major Automotive Cos Inc         Com      560775108            1        1,000 Shs  Def  12                     1,000
Managed Municipals Portfolio     Cl End Fd561662107           29        2,800 Shs  Def  12                     2,800
Managed High Income Portfolio    Cl End Fd56166C105           21        2,900 Shs  Def  12                     2,900
Managed High Yield Plus Fund     Cl End Fd561911108           49        8,541 Shs  Def  12                     8,541
Manchester Technologies          Com      562398107          275      108,400 Shs  Def   6      103,600                      4,800
Mandalay Resort Group            Com      562567107            5          150 Shs  Def   2          150
Mandalay Resort Group            Com      562567107            5          150 Shs  Def   6          150
Mandalay Resort Group            Com      562567107       22,082      719,286 Shs  Def   8                   719,286
Mandalay Resort Group            Com      562567107            9          300 Shs  Def   9                       300
Mandalay Resort Group            Com      562567107      114,204    3,720,000 Shs  Def  10    3,720,000
Mandalay Resort Group            Com      562567107          473       15,399 Shs  Def  12                    15,399
Mandalay Resort Group            Com      562567107       46,305    1,508,300 Shs  Def  14    1,508,300
Mandalay Resort Group            Com      562567107        2,049       66,750 Shs  Def   3       66,750
Manhattan Scientifics Inc        Com      563122100            1        2,000 Shs  Def  12                     2,000
Manitowoc Co Inc.                Com      563571108           28          700 Shs  Def   2          700
Manitowoc Inc                    Com      563571108        3,962      100,300 Shs  Def   6      100,300
Manitowoc Co Inc                 Com      563571108        1,732       43,855 Shs  Def  12                    43,855
Manitowoc Inc Com                Com      563571108           40        1,000 Shs  Def   3        1,000
Mannatech Inc                    Com      563771104            1          200 Shs  Def  12                       200
Manor Care Inc                   Com      564055101          199        8,550 Shs  Def   2        8,550
Manor Care Inc                   Com      564055101          189        8,000 Shs  Def   9                                   8,000
Manor Care Inc New               Com      564055101           85        3,639 Shs  Def  12                     3,639
Manor Care Inc                   Com      564055101        4,956      212,725 Shs  Def   3      195,025                     17,700
Manpower Inc.                    Com      56418H100        2,072       53,300 Shs  Def   8                    53,300
Manpower Inc.                    Com      56418H100       70,159    1,804,500 Shs  Def  10    1,804,500
Manpower Inc-Wisc                Com      56418H100          271        6,980 Shs  Def  12                     6,980
Mantech International Corp       Com      564563104          199       10,700 Shs  Def  12                    10,700
Manufactured Home Communit       Com      564682102           10          300 Shs  Def  12                       300
Manufactured Home Cm             Com      564682102          416       12,600 Shs  Def   3       10,500                      2,100
Manufacturers Svcs Ltd           Com      565005105        1,676      318,600 Shs  Def   6      310,600                      8,000
Manufacturers Services Ltd       Com      565005105            3          500 Shs  Def  12                       500
Manugistics Group Inc            Com      565011103           93        4,316 Shs  Def  12                     4,316
Manulife Finl Corp               Com      56501R106           44        1,600 Shs  Def   2        1,600
Manulife Financial Corp          Com      56501R106          206        7,500 Shs  Def   5        7,500
Manulife Financial Corp          Com      56501R106            3          109 Shs  Def   6          109
Corporation Financiere Manuvie   Com      56501R106          134        4,895 Shs  Def  12                     4,895
Mapinfo Corp                     Com      565105103           90        9,000 Shs  Def  12                     9,000
Marathon Oil Corporation         Com      565849106           12          427 Shs  Def   2          427
Marathon Oil Corp                Com      565849106       27,343      949,410 Shs  Def   6      927,110                     22,300
Marathon Oil Corp                Com      565849106        1,871       64,982 Shs  Def  12                    64,982
Marathon Oil Corp.               Com      565849106          229        5,000 Shs  Def  15        5,000
Marathon Oil Corp                Com      565849106       16,033      556,700 Shs  Def   3      547,600                      9,100
Marinemax Inc                    Com      567908108        3,137      261,400 Shs  Def   6      252,300                      9,100
Marisa Christina Inc             Com      570268102           16       11,500 Shs  Def  12                    11,500
Markel Corp.                     Com      570535104           41          200 Shs  Def   2          200
Markel Corp Holding Co           Com      570535104          122          600 Shs  Def  12                       600
Market 2000+Holdrs Trust         Com      57059Y204          217        3,700 Shs  Def  12                     3,700
Marketwatch.Com Inc              Com      570619106            1          300 Shs  Def  12                       300
Markwest Hydrocarbon Inc         Com      570762104          109       14,000 Shs  Def   6       14,000
Marketing Services Group Inc     Com      570907204            1          500 Shs  Def  12                       500
Marsh & Mclennan Co.             Com      571748102          702        6,225 Shs  Def   1          100                      6,125
Marsh & Mclennan Cos Inc         Com      571748102          336        2,980 Shs  Def   2        2,980
Marsh & Mclennan                 Com      571748102           11          100 Shs  Def   4          100
Marsh & Mclennan Cos Inc         Com      571748102            2           20 Shs  Def   6           20
Marsh & Mclennan Cos Inc         Com      571748102        1,460       12,950 Shs  Def   7       12,950
Marsh & Mclennan Cos Inc         Com      571748102           48          425 Shs  Def   8                       425
Marsh & Mclennan Cos Inc         Com      571748102        2,215       19,675 Shs  Def   9                     5,975        13,700
Marsh & Mclennan Cos Inc         Com      571748102        7,046       62,500 Shs  Def  10       62,500
Marsh & Mclennan Companies Inc   Com      571748102          423        3,751 Shs  Def  11        2,656          835           260
Marsh & Mclennan Companies Inc   Com      571748102        4,547       40,329 Shs  Def  12                    40,329
Marsh & Mclennan Co. Inc.        Com      571748102          108          600 Shs  Def  15          600
Marsh & Mclennan Cos Inc  Com    Com      571748102        3,878       34,400 Shs  Def   3       33,000                      1,400
Marsh Supermarkets Inc           Com      571783307          415       27,700 Shs  Def   6       24,400                      3,300
Marshall & Ilsley Corp.          Com      571834100          734       11,800 Shs  Def   2       11,800
Marshall & Ilsley Corp.          Com      571834100          635       10,200 Shs  Def   7       10,200
Marshall & Ilsley Corp           Com      571834100          168        2,700 Shs  Def  12                     2,700
Marriott International Cl A      Com      571903202           61        1,350 Shs  Def   2        1,350
Marriott Intl Inc New Cl A       Com      571903202            6          140 Shs  Def   6          140
Marriott International Cl A      Com      571903202           54        1,200 Shs  Def   7        1,200
Marriott International Inc New   Com      571903202        1,692       37,634 Shs  Def  12                    37,634
Martek Biosciences Corp          Com      572901106           60        1,910 Shs  Def  12                     1,910
Martha Stewart Living Omnimed    Com      573083102            2          100 Shs  Def   7          100
Martha Stewart Living            Com      573083102           19        1,080 Shs  Def  12                     1,080
Martin Marietta Materials        Com      573284106        5,420      128,367 Shs  Def   2      128,367
Martin Marietta Matls In         Com      573284106        4,240      100,430 Shs  Def   6      100,430
Martin Marietta Materials Inc    Com      573284106          938       22,223 Shs  Def  12                    22,223
Marvel Enterprises Inc           Com      57383M108            1          100 Shs  Def  12                       100
Masco Corp.                      Com      574599106          362       13,184 Shs  Def   2       13,184
Masco Corp                       Com      574599106            7          245 Shs  Def   6          245
Masco Corp                       Com      574599106          111        4,031 Shs  Def  12                     4,031
Massachusetts Dev Fin Agency     Pfd      57563P103           11          400 Shs  Def  12                       400
Massbank Corp Read Mass          Com      576152102          138        3,000 Shs  Def   6        3,000
Massbank Corp.                   Com      576152102           37          800 Shs  Def   7          800
Massbank Corp-Reading Mass       Com      576152102           18          400 Shs  Def  12                       400
Massey Energy Corp               Com      576206106           48        2,828 Shs  Def  12                     2,828
Massey Energy Company            Com      576206106          457       27,050 Shs  Def   3       27,050
Massmutual Corporate Investors   Cl End Fd576292106            9          400 Shs  Def  12                       400
Mastec Inc                       Com      576323109        7,222      897,100 Shs  Def   6      871,300                     25,800
Mastec Inc                       Com      576323109           33        4,145 Shs  Def  12                     4,145
Material Technologies Inc-Cl A   Com      576678106            1        7,000 Shs  Def  12                     7,000
Matrix Bancorp Inc               Com      576819106          839       71,400 Shs  Def   6       68,700                      2,700
Matrix Svc Co                    Com      576853105        1,003      114,600 Shs  Def   6      111,100                      3,500
Matrix Service Co                Com      576853105            9        1,000 Shs  Def   7        1,000
Matsushita Elec Ind              ADR      576879209          178       14,400 Shs  Def   2       12,500                      1,900
Matlack Systems Inc              Com      576901102            0        6,750 Shs  Def                         6,750
Mattel Inc.                      Com      577081102           54        2,596 Shs  Def   2        2,000                        596
Mattel Inc                       Com      577081102          537       25,750 Shs  Def   6       25,750
Mattel Inc.                      Com      577081102           16          747 Shs  Def   7          747
Mattel Inc                       Com      577081102          844       40,511 Shs  Def  12                    40,511
Matthews International Corp      Com      577128101           13          500 Shs  Def  12                       500
Mattson Technology Inc           Com      577223100           21        3,000 Shs  Def  12                     3,000
Maxtor                           Com      577729205            8        1,200 Shs  Def   4        1,200
Maxtor Corp (New)                Com      577729205           18        2,620 Shs  Def  12                     2,620
Maxim Integrated Products,       Com      57772K101            6          100 Shs  Def   2          100
M Integrated Prods Inc           Com      57772K101            1           18 Shs  Def   6           18
Maxim Integrated Products Inc    Com      57772K101          790       14,174 Shs  Def  12                    14,174
Maxus Realty Trust Inc           Com      57774B109            2          200 Shs  Def  12                       200
Maxwell Shoe Inc                 Com      577766108        2,344      146,500 Shs  Def   6      142,600                      3,900
Maxwell Technologies Inc         Com      577767106            2          225 Shs  Def  12                       225
May Department Stores            Com      577778103          901       25,867 Shs  Def   2       25,867
May Dept Stores Co Com           Com      577778103          738       21,185 Shs  Def   5       16,185                      5,000
May Dept Stores Co               Com      577778103          297        8,525 Shs  Def   6        8,525
May Department Stores            Com      577778103        1,441       41,171 Shs  Def   9                                  41,171
May Department Stores            Com      577778103       13,592      390,000 Shs  Def  10      390,000
May Dept Stores Co               Com      577778103        1,391       39,923 Shs  Def  12                    39,923
Maverick Tube Corp               Com      577914104       10,726      657,200 Shs  Def   6      640,500                     16,700
Maverick Tube Corp               Com      577914104           44        2,725 Shs  Def  12                     2,725
Maximus Inc                      Com      577933104          880       28,641 Shs  Def  12                    28,641
Mayors Jewelers Inc Delaware     Com      578462103            1        1,000 Shs  Def  12                     1,000
Maytag Corp.                     Com      578592107           52        1,180 Shs  Def   2        1,180
Maytag Corp                      Com      578592107            5          124 Shs  Def   6          124
Maytag Corp                      Com      578592107          133        3,000 Shs  Def  12                     3,000
Maytag Corp                      Pfd      578592206           25        1,000 Shs  Def  12                     1,000
Mcafee.Com Corp                  Com      579062100          267       16,200 Shs  Def  12                    16,200
Mcclatchy Newspapers Inc  Cl A   Com      579489105          101        1,700 Shs  Def   3        1,700
Mccormick & Co Inc Voting        Com      579780107          621       12,180 Shs  Def  12                    12,180
Mccormick & Co.                  Com      579780206        3,506       68,578 Shs  Def   2       68,578
Mccormick & Co Inc Non-Voting    Com      579780206        3,000       58,665 Shs  Def  12                    58,665
Mcdata Corp                      Com      580031102           73        6,000 Shs  Def  12                     6,000
Mcdata Corporation Cl A          Com      580031201            1           91 Shs  Def   2           91
Mcdata Corp                      Com      580031201           41        3,455 Shs  Def  12                     3,455
***Mcdermott International Inc   Com      580037109           12          800 Shs  Def  12                       800
Mcdermott International Inc      Com      580037109           62        4,000 Shs  Def                         4,000
Mcdermott Intl Inc  Com          Com      580037109        8,854      569,400 Shs  Def   3      533,600                     35,800
Mcdonalds Corp.                  Com      580135101        1,018       36,700 Shs  Def   1       11,900                     24,800
Mcdonald'S Corporation           Com      580135101       15,832      570,530 Shs  Def   2      568,030                      2,500
Mcdonald'S                       Com      580135101           17          600 Shs  Def   4          600
Mcdonalds Corp Com               Com      580135101        4,288      154,525 Shs  Def   5      114,420                     40,105
Mc Donalds Corp                  Com      580135101        3,070      110,651 Shs  Def   6      110,560                         91
Mcdonald'S Corporation           Com      580135101           22          801 Shs  Def   7          801
Mcdonalds Corp.                  Com      580135101        1,600       58,723 Shs  Def   9                                  58,723
Mcdonald'S Corporation           Com      580135101        2,775      100,000 Shs  Def  10      100,000
Mcdonalds Corp                   Com      580135101          836       30,132 Shs  Def  11       24,482        1,450         3,700
Mcdonalds Corp                   Com      580135101        5,946      214,269 Shs  Def  12                   214,269
Mcdonalds Corp.                  Com      580135101        4,041       93,425 Shs  Def  15       93,425
Mcdonalds Corp                   Com      580135101          223        8,000 Shs  Def                         8,000
Mcdonalds Corp  Com              Com      580135101       12,459      448,975 Shs  Def   3      430,575                     18,400
Mcg Capital Corp                 Com      58047P107            2          125 Shs  Def  12                       125
Mcgrath Rentcorp                 Com      580589109        5,686      184,900 Shs  Def   6      177,900                      7,000
Mcgraw-Hill Companies            Com      580645109          113        1,650 Shs  Def   2        1,650
Mcgraw Hill                      Com      580645109           36          521 Shs  Def   4          521
Mcgraw-Hill Companies Inc.       Com      580645109          218        3,200 Shs  Def   7        3,200
Mcgraw Hill Companies Inc        Com      580645109          529        7,755 Shs  Def  12                     7,755
Mcgraw Hill                      Com      580645109          134        2,000 Shs  Def                         2,000
Mcgraw Hill Cos Inc  Com         Com      580645109        1,658       24,300 Shs  Def   3       24,300
Mck Communications Inc           Com      581243102            4        3,000 Shs  Def  12                     3,000
Mckesson Corporation             Com      58155Q103           56        1,500 Shs  Def   2        1,500
Mckesson Corporation             Com      58155Q103      218,291    5,831,982 Shs  Def   8                 5,831,982
Mckesson Corp                    Com      58155Q103            7          200 Shs  Def   9                       200
Mckesson Corporation             Com      58155Q103      398,145   10,637,062 Shs  Def  10   10,637,062
Mckesson Corp                    Com      58155Q103        4,071      108,751 Shs  Def  12                   108,751
Mckesson Corp.                   Com      58155Q103           12          200 Shs  Def  15          200
Meade Instruments Corp           Com      583062104           87       24,200 Shs  Def  12                    24,200
Meadwestvaco Corp                Com      583334107          317        9,569 Shs  Def   2        9,569
Meadwestvaco Corp                Com      583334107          991       29,884 Shs  Def   5       22,754                      7,130
Meadwestvaco Corporat            Com      583334107        1,355       41,060 Shs  Def   6       34,060                      7,000
Meadwestvaco Corp                Com      583334107        1,050       31,677 Shs  Def  12                    31,677
Meadwestvaco Corp.               Com      583334107          111        2,100 Shs  Def  15        2,100
Measurement Specialties,         Com      583421102            7        1,000 Shs  Def   2        1,000
Mechanical Technology Inc        Com      583538103          330       95,181 Shs  Def  12                    95,181
Mechanical Technology Inc        Com      583538103          104       30,000 Shs  Def                        30,000
Medarex Inc                      Com      583916101           57        3,540 Shs  Def  12                     3,540
Med-Design Corp                  Com      583926100            9          650 Shs  Def  12                       650
Medallion Financial Corp         Com      583928106           26        3,400 Shs  Def  12                     3,400
Med Diversified Inc              Com      58401N102            7        7,800 Shs  Def  12                     7,800
Medamicus Inc                    Com      584027106            2          200 Shs  Def  12                       200
Medford Bancorp Inc              Com      584131106          139        5,500 Shs  Def   6        5,500
Medi-Hut Co Inc                  Com      58438C103           11        3,000 Shs  Def  12                     3,000
Media Arts Group Inc             Com      58439C102            1          200 Shs  Def  12                       200
Media General Inc. Class A       Com      584404107           51          800 Shs  Def   2          800
Media General Inc-Cl A           Com      584404107          240        3,785 Shs  Def  12                     3,785
Mediaone Finance Trust Iii       Pfd      584458202          579       23,000 Shs  Def  12                    23,000
Mediacom Communications Corp     Com      58446K105            2          150 Shs  Def  12                       150
Medical Action Industries Inc    Com      58449L100            6          500 Shs  Def  12                       500
Medical Technology System Inc    Com      58462R802            1          400 Shs  Def  12                       400
Medicis Pharmaceutical Corp      Com      584690309           66        1,190 Shs  Def  12                     1,190
Medimmune Inc.                   Com      584699102        2,540       64,570 Shs  Def   2       61,870                      2,700
Medimmune                        Com      584699102           36          925 Shs  Def   4          925
Medimmune Inc                    Com      584699102        2,730       69,400 Shs  Def  12                    69,400
Mediware Information Systems     Com      584946107            3          500 Shs  Def  12                       500
Medquist Inc                     Com      584949101           13          429 Shs  Def  12                       429
Medquist Inc                     Com      584949101           18          600 Shs  Def   3          600
Medtronic, Inc.                  Com      585055106       35,452      784,162 Shs  Def   1      190,010                    594,152
Medtronic Inc.                   Com      585055106       14,295      316,189 Shs  Def   2      312,189                      4,000
Medtronic                        Com      585055106           56        1,228 Shs  Def   4        1,228
Medtronic Inc Com                Com      585055106        5,336      118,024 Shs  Def   5       94,099                     23,925
Ronic Inc                        Com      585055106            1           27 Shs  Def   6           27
Medtronic Inc.                   Com      585055106        4,858      107,451 Shs  Def   7      107,451
Medtronic Inc.                   Com      585055106        1,485       33,300 Shs  Def   9                                  33,300
Medtronic Inc                    Com      585055106        2,243       49,615 Shs  Def  11       42,095        6,095           850
Medtronic Inc                    Com      585055106        7,795      172,425 Shs  Def  12                   172,425
Medtronic Inc.                   Com      585055106          209        2,900 Shs  Def  15        2,900
Medtronic Inc                    Com      585055106          184        4,140 Shs  Def                         4,140
Medtronic Inc  Com               Com      585055106        6,366      140,814 Shs  Def   3      135,214                      5,600
Mellon Financial Corp.           Com      58551A108          453       11,748 Shs  Def   1        8,548                      3,200
Mellon Finl Corp                 Com      58551A108       17,303      448,383 Shs  Def   2      428,183                     20,200
Mellon Financial                 Com      58551A108       14,427      373,859 Shs  Def   4      373,859
Mellon Financial Corp.           Com      58551A108        1,469       38,055 Shs  Def   5       27,005                     11,050
Mellon Finl Corp                 Com      58551A108        5,266      136,320 Shs  Def   9                                 136,320
Mellon Financial Corporation     Com      58551A108        2,979       77,200 Shs  Def  10       77,200
Mellon Financial Corp            Com      58551A108          360        9,325 Shs  Def  11        8,050        1,100
Mellon Finl Corp                 Com      58551A108        2,002       51,882 Shs  Def  12                    51,882
Mellon Finl Corp Com.            Com      58551A108           80        1,300 Shs  Def  15        1,300
Memberworks Inc                  Com      586002107        1,066       56,300 Shs  Def   3       51,100                      5,200
Memry Corp New                   Com      586263204           41       25,769 Shs  Def  12                    25,769
Mentor Corp Minn  Com  Nasd      Com      587188103        4,538      125,785 Shs  Def   3      121,685                      4,100
Mentor Corp Minn  Com  Nasd      Com      587200106       10,257      485,215 Shs  Def   3      449,515                     35,700
Mercantile Bankshares            Com      587405101          156        3,600 Shs  Def   2        3,600
Mercantile Bankshares Corp.      Com      587405101        3,849       88,975 Shs  Def   7       88,975
Mercantile Bankshares Corp       Com      587405101        7,924      183,177 Shs  Def  12                   183,177
Mercator Software Inc            Com      587587106            1          250 Shs  Def  12                       250
Merchants Bancshares             Com      588448100        1,898       67,800 Shs  Def   6       65,250                      2,550
Merck & Co., Inc.                Com      589331107       11,102      192,804 Shs  Def   1       27,169                    165,635
Merck & Co., Inc.                Com      589331107       35,137      610,225 Shs  Def   2      604,825                      5,400
Merck                            Com      589331107       18,241      316,791 Shs  Def   4      316,791
Merck & Co Inc Com               Com      589331107        8,630      149,883 Shs  Def   5      123,050                     26,833
Merck & Co Inc                   Com      589331107       30,729      533,832 Shs  Def   6      495,817                     38,015
Merck & Co., Inc.                Com      589331107        5,242       91,042 Shs  Def   7       91,042
Merck & Co., Inc.                Com      589331107           27          475 Shs  Def   8                       475
Merck & Co., Inc.                Com      589331107        2,624       45,556 Shs  Def   9                     6,800        38,756
Merck & Co., Inc.                Com      589331107       12,380      215,000 Shs  Def  10      215,000
Merck & Co Inc                   Com      589331107        2,452       42,590 Shs  Def  11       27,551       10,373         4,666
Merck & Co Inc                   Com      589331107       46,439      806,515 Shs  Def  12                   806,515
Merck & Co. Inc.                 Com      589331107       10,383      114,280 Shs  Def  15      114,280
Merck & Co Inc  Com              Com      589331107       40,167      697,586 Shs  Def   3      674,186                     23,400
Mercury Air Group Inc            Com      589354109          504      113,191 Shs  Def   6      110,166                      3,025
Mercury Computer Systems         Com      589378108            6          200 Shs  Def   2          200
Mercury Computer Systems Inc     Com      589378108           83        2,585 Shs  Def  12                     2,585
Mercury General Corp New         Com      589400100          121        2,600 Shs  Def  12                     2,600
Mercury Interactive Corp         Com      589405109          120        3,195 Shs  Def  12                     3,195
Meredith Corp                    Com      589433101           43        1,000 Shs  Def  12                     1,000
Meridian Bioscience, Inc         Com      589584101           15        2,173 Shs  Def   2        2,173
Meridian Medical Technologies    Com      589658103           25          700 Shs  Def  12                       700
Meridian Resource Corp           Com      58977Q109        4,282      873,800 Shs  Def   6      850,200                     23,600
Meridian Resource Corp (The)     Com      58977Q109            5        1,000 Shs  Def  12                     1,000
Meristar Hospitality Corp        Com      58984Y103           26        1,400 Shs  Def   2        1,400
Meristar Hospitality Corp        Com      58984Y103          861       47,188 Shs  Def  12                    47,188
Meridian Gold Inc                Com      589975101            4          300 Shs  Def   3          300
Merril Lynch Pfd Cap Tr          PFD      589977206            8          300 Shs  Def   2          300
Merrill Lynch Preferred Cap Tr   Pfd      589977206           10          400 Shs  Def  12                       400
Merge Technologies Inc.          Com      589981109           87        7,700 Shs  Def  15        7,700
Meristar Hotels & Resorts Inc    Com      589988104            1          773 Shs  Def  12                       773
Meritor Savings Bank-Pa          Com      590007100           22        9,460 Shs  Def  12                     9,460
Meritage Corp                    Com      59001A102        2,249       35,200 Shs  Def   6       33,300                      1,900
Meritage Corporation             Com      59001A102           70        1,100 Shs  Def   3        1,100
Merix Corp                       Com      590049102        1,105       59,100 Shs  Def   6       59,100
Merrill Lynch & Co., Inc.        Com      590188108          697       12,580 Shs  Def   2       12,580
Merrill Lynch                    Com      590188108           25          450 Shs  Def   4          450
Merrill Lynch & Co Inc           Com      590188108       14,341      258,955 Shs  Def   6      258,955
Merrill Lynch & Co., Inc.        Com      590188108        2,112       38,400 Shs  Def   9                                  38,400
Merrill Lynch & Co Inc           Com      590188108          275        4,970 Shs  Def  11        4,340          455           175
Merrill Lynch & Co Inc           Com      590188108        4,130       74,583 Shs  Def  12                    74,583
Merrill Lynch & Co.              Com      590188108        9,290      106,500 Shs  Def  15      106,500
Merrill Lynch & Co Inc  Com      Com      590188108        5,397       97,450 Shs  Def   3       93,550                      3,900
Merrill Lynch & Co Nikkei 225    Com      590188553            9        1,000 Shs  Def  12                     1,000
Merrill Lynch & Co Inc-Russell   Pfd      590188678            5          500 Shs  Def  12                       500
Merrill Lynch & Co Inc-Major 8   Pfd      590188694           24        2,000 Shs  Def  12                     2,000
Merrill Lynch & Co 9% Cum        ???      590188819           31        1,100 Shs  Def   2        1,100
Merrill Lynch & Co Inc-Dep Shs   Pfd      590188819           40        1,400 Shs  Def  12                     1,400
Merrill Lynch Preferred Cap Tr   Pfd      59021C203           88        3,380 Shs  Def  12                     3,380
Merrill Lynch Preferred Cap Tr   Pfd      59021F206          181        7,445 Shs  Def  12                     7,445
Merrill Lynch Capital Trust Iv   Pfd      59021G204           21          850 Shs  Def  12                       850
Merrill Lynch & Co Inc           Com      59021J505            3          300 Shs  Def  12                       300
Merrill Lynch & Co Inc           Com      59021J703           26        2,364 Shs  Def  12                     2,364
Merrill Lynch 7.28% Pfd Cap      Pfd      59021K205          146        5,900 Shs  Def  12                     5,900
Mesa Labs Inc                    Com      59064R109          227       29,500 Shs  Def   6       28,000                      1,500
Mesa Royalty Trust-Ubi           Com      590660106           72        1,750 Shs  Def  12                     1,750
Mesaba Hldgs Inc Com             Com      59066B102       10,636    1,196,004 Shs  Def   6    1,161,389        2,430        32,185
Mestek Inc                       Com      590829107          934       41,800 Shs  Def   6       38,200                      3,600
Met-Ed Capital Trust 7.35%       Pfd      590860102          195        8,481 Shs  Def  12                     8,481
Met Pro Corp                     Com      590876306        1,291       89,900 Shs  Def   6       87,700                      2,200
Met-Pro Corp                     Com      590876306           16        1,100 Shs  Def  12                     1,100
Metasolv Inc                     Com      59139P104           13        1,700 Shs  Def  12                     1,700
Methanex Corp                    Com      59151K108        7,337      969,609 Shs  Def   6      943,509        2,035        24,065
***Methanex Corp                 Com      59151K108            1          200 Shs  Def  12                       200
Methode Electronics Inc-Cl A     Com      591520200           25        2,000 Shs  Def  12                     2,000
Methode Electronics Inc-Cl A     Com      591520200        1,750      140,570 Shs  Def   3      140,570
Metlife Inc                      Com      59156R108          250        7,925 Shs  Def   5        2,824                      5,101
Metlife Incorporated             Com      59156R108       12,618      400,586 Shs  Def   6      400,586
Metlife Inc                      Com      59156R108          824       26,157 Shs  Def  12                    26,157
Metlife Inc.                     Com      59156R108            5          100 Shs  Def  15          100
Metlife Inc                      Com      59156R207           10          100 Shs  Def  12                       100
Metris Cos Inc                   Com      591598107       19,624      981,200 Shs  Def   6      956,600                     24,600
Metris Companies Inc             Com      591598107           90        4,500 Shs  Def  12                     4,500
Metro Goldwyn Mayer Inc          Com      591610100            8          500 Shs  Def   6          500
Metro-Goldwyn-Mayer Inc.         Com      591610100        3,497      210,399 Shs  Def   8                   210,399
Metro-Goldwyn-Mayer Inc.         Com      591610100       62,126    3,737,998 Shs  Def  10    3,737,998
Metro-Goldwyn-Mayer Inc New      Com      591610100          402       24,187 Shs  Def  12                    24,187
Metro-Goldwyn-Mayer Inc.         Com      591610100            5          200 Shs  Def  15          200
Metro One Telecommunications     Com      59163F105            3          138 Shs  Def  12                       138
Metrocorp Bancshares Inc         Com      591650106           16        1,400 Shs  Def  12                     1,400
Metromedia Fiber Network Inc     Com      591689104           25      246,417 Shs  Def  12                   246,417
Mettler-Toledo International     Com      592688105           43          950 Shs  Def  12                       950
Mexico Equity & Income Fund      Cl End Fd592834105           18        1,684 Shs  Def  12                     1,684
Mexico Fund Inc                  Cl End Fd592835102           41        2,062 Shs  Def  12                     2,062
Mexico Equity & Income Fund      Com      592990089            2          200 Shs  Def  12                       200
Michaels Stores Inc              Com      594087108           38        1,000 Shs  Def  12                     1,000
Michael'S Stores Inc  Com        Com      594087108          125        3,320 Shs  Def   3        3,320
Micrel Inc                       Com      594793101            5          218 Shs  Def   6          218
Micrel Inc                       Com      594793101            1           30 Shs  Def  12                        30
Micros Systems Inc               Com      594901100          654       25,690 Shs  Def  12                    25,690
Micros Systems Inc               Com      594901100          646       25,400 Shs  Def   3       22,300                      3,100
Microsoft Corp.                  Com      594918104       51,869      860,039 Shs  Def   1      196,911                    663,128
Microsoft Corp.                  Com      594918104       34,594      573,601 Shs  Def   2      572,101                      1,500
Microsoft                        Com      594918104       10,514      174,333 Shs  Def   4      174,333
Microsoft Corp                   Com      594918104        8,473      140,492 Shs  Def   5      116,711                     23,781
Microsoft Corp                   Com      594918104           13          211 Shs  Def   6          211
Microsoft Corp.                  Com      594918104        3,701       61,360 Shs  Def   7       61,360
Microsoft Corp.                  Com      594918104           33          550 Shs  Def   8                       550
Microsoft Corp.                  Com      594918104        4,266       70,652 Shs  Def   9                     8,400        62,252
Microsoft Corp.                  Com      594918104        8,866      147,000 Shs  Def  10      147,000
Microsoft Corp                   Com      594918104        5,560       92,197 Shs  Def  11       72,802       14,685         3,785
Microsoft Corp                   Com      594918104       35,857      594,551 Shs  Def  12                   594,551
Microsoft Corp.                  Com      594918104        9,736      103,230 Shs  Def  15      103,230
Microsoft Corp                   Com      594918104          182        3,000 Shs  Def                         3,000
Microsoft Corp  Com  Nasd Indl   Com      594918104       72,132    1,196,019 Shs  Def   3    1,144,319                     51,700
Microstrategy Inc Cl A           Com      594972101           12        3,920 Shs  Def  12                     3,920
Microchip Technology Inc.        Com      595017104           21          500 Shs  Def   2          500
Microchip Technology Inc         Com      595017104            4          100 Shs  Def  12                       100
Microchip Technology             Com      595017104        2,417       57,785 Shs  Def   3       55,285                      2,500
***Microcell Telecommunicat-     Com      59501T304           10        8,310 Shs  Def  12                     8,310
Microfinancial Inc               Com      595072109        1,673      195,700 Shs  Def   6      190,000                      5,700
Micromuse Inc                    Com      595094103           47        5,393 Shs  Def  12                     5,393
Micron Technology Inc            Com      595112103        1,072       32,585 Shs  Def   6       32,585
Micron Technology Inc            Com      595112103          312        9,493 Shs  Def  12                     9,493
Micron Technology                Com      595112103           79        1,500 Shs  Def  15        1,500
Microsemi Corp                   Com      595137100          759       46,530 Shs  Def  12                    46,530
Microsemi Corp  Com  Nasd Indl   Com      595137100       10,165      622,884 Shs  Def   3      576,570                     46,314
Microtune Inc Del                Com      59514P109           67        4,650 Shs  Def  12                     4,650
Mid-America Apartment            Com      59522J103          210        8,034 Shs  Def  12                     8,034
Mid-Amer Apt Cmntys              Com      59522J103          706       27,010 Shs  Def   3       24,610                      2,400
Mid-America Apartment            Pfd      59522J202           26        1,000 Shs  Def  12                     1,000
Mid-America Apartment            Pfd      59522J301           88        3,550 Shs  Def  12                     3,550
Mid-Atlantic Realty Trust-Sbi    Com      595232109        1,177       76,947 Shs  Def  12                    76,947
Mid Atlantic Medical Services    Com      59523C107          808       28,358 Shs  Def  12                    28,358
Mid Atlantic Medical Svcs        Com      59523C107       11,757      412,520 Shs  Def   3      382,320                     30,200
Mid Carolina Bank                Com      59523V105           23        1,646 Shs  Def  12                     1,646
Mid-State Bancshares             Com      595440108          327       18,500 Shs  Def   6       18,500
Mid-State Bancshares             Com      595440108          911       51,500 Shs  Def   7       51,500
Midas Group Inc                  Com      595626102        3,923      275,100 Shs  Def   6      265,900                      9,200
S&P Mid-Cap 400 Depositary       Com      595635103          116        1,175 Shs  Def   2        1,175
Standard & Poors Midcap 400      Com      595635103        2,630       26,616 Shs  Def  12                    26,616
Midcap Spdr Tr                   UNIT SER 595635103           47          300 Shs  Def  15          300
Middlesex Water Co               Com      596680108          340       14,592 Shs  Def  12                    14,592
Midland Co                       Com      597486109        3,284       77,100 Shs  Def   6       75,800                      1,300
Midsouth Bancorp Inc-La          Com      598039105           16        1,378 Shs  Def  12                     1,378
Midway Games Inc                 Com      598148104            3          200 Shs  Def  12                       200
Milacron Inc                     Com      598709103          327       22,401 Shs  Def   2       21,401                      1,000
Milacron Inc                     Com      598709103        8,364      573,285 Shs  Def   6      556,385                     16,900
Milacron Inc                     Com      598709103           14          992 Shs  Def  12                       992
Milacron Inc 4% Pfd              ???      598709202            4          108 Shs  Def   2          108
Millennium Pharmaceuticals       Com      599902103           74        3,300 Shs  Def   2        3,300
Millennium Pharmaceuticals Inc   Com      599902103          789       35,370 Shs  Def  12                    35,370
***Millennium Chemicals Inc      Com      599903101            1          100 Shs  Def  12                       100
Millennium Bankshares Corp       Com      60037B106           74       10,000 Shs  Def  12                    10,000
Millennium Cell Inc              Com      60038B105            8        2,000 Shs  Def  12                     2,000
Miller Herman Inc.               Com      600544100          105        4,400 Shs  Def   2        4,400
Herman Miller Inc                Com      600544100           21          900 Shs  Def  12                       900
Millipore Corp                   Com      601073109          151        3,403 Shs  Def  12                     3,403
Mills Corp                       Com      601148109        2,589       92,605 Shs  Def  12                    92,605
Mills Music Trust-Ubi            Com      601158108           19          800 Shs  Def  12                       800
Mine Safety Appliances Co        Com      602720104           65        1,723 Shs  Def  12                     1,723
Minerals Technologies            Com      603158106        6,050      115,300 Shs  Def   3      106,400                      8,900
Minnesota Mining & Mfg Co        Com      604059105        1,121        9,747 Shs  Def   1        1,207                      8,540
Minnesota Mining & Mfg Co        Com      604059105        2,919       25,379 Shs  Def   2       25,379
Minnesota Mining & Mfg Co        Com      604059105        1,946       16,921 Shs  Def   5       15,321                      1,600
Minnesota Mining & Mfg Co        Com      604059105           13          115 Shs  Def   6          115
Minnesota Mining & Mfg Co        Com      604059105          415        3,609 Shs  Def   7        3,609
Minnesota Mining & Mfg Co        Com      604059105           32          275 Shs  Def   8                       275
Minnesota Mining & Mfg Co        Com      604059105          661        5,735 Shs  Def   9                     4,375         1,360
Minnesota Mining & Mfg Co        Com      604059105        5,751       50,000 Shs  Def  10       50,000
Minnesota Mining & Mfg Co        Com      604059105          389        3,382 Shs  Def  11        2,180        1,002           200
Minnesota Mining & Mfg Co        Com      604059105        4,584       39,854 Shs  Def  12                    39,854
Minnesota Mining & Mfg Co        Com      604059105          415        2,265 Shs  Def  15        2,265
Minnesota Mining & Mfg Co        Com      604059105        7,969       69,289 Shs  Def   3       66,889                      2,400
Mirant Corporation               Com      604675108           53        3,657 Shs  Def   2        3,657
Mirant Corp                      Com      604675108            2          158 Shs  Def   6          158
Mirant Corp                      Com      604675108        1,511      104,565 Shs  Def  12                   104,565
Mirant Corp.                     Com      604675108        4,118      178,847 Shs  Def  15      178,847
Misonix Inc                      Com      604871103           22        3,000 Shs  Def  12                     3,000
Mission Capital Lp-9.875% Cum    Pfd      605034206           42        1,600 Shs  Def  12                     1,600
Mission Capital Lp-8.50% Cum     Pfd      605034305           54        2,000 Shs  Def  12                     2,000
Mission Resources Corp           Com      605109107          944      309,400 Shs  Def   6      298,700                     10,700
Mission West Pptys Inc Md        Com      605203108           16        1,250 Shs  Def  12                     1,250
Mississippi Chemical Corp New    Com      605288208           17        6,000 Shs  Def  12                     6,000
Mississippi Power Co-7% Pfd      Pfd      605417500            9          100 Shs  Def  12                       100
Mississippi Vy Bancshares Inc    Com      605720101          643       16,000 Shs  Def   7       16,000
Mitsubishi Tokyo Financial       ADR      606816106            9        1,500 Shs  Def   2        1,500
Mitsubishi Tokyo Fina            Com      606816106        1,018      168,410 Shs  Def   6      165,285                      3,125
Mobius Management Systems Inc    Com      606925105            1          200 Shs  Def  12                       200
Mobile Telesystems Adr           ADR      607409109           88        2,400 Shs  Def   3        2,400
Mobile Mini Inc                  Com      60740F105           26          800 Shs  Def  12                       800
Mobile Mini Inc                  Com      60740F105          280        8,700 Shs  Def   3        8,700
Modtech Hldgs Inc                Com      60783C100        2,308      211,000 Shs  Def   6      204,400                      6,600
Mohawk Inds Inc                  Com      608190104        7,897      131,417 Shs  Def   6      126,394                      5,023
Mohawk Industries Inc            Com      608190104          228        3,800 Shs  Def  12                     3,800
Mohawk Industries In             Com      608190104        7,710      128,300 Shs  Def   3      124,500                      3,800
Molecular Devices Corp           Com      60851C107            9          500 Shs  Def  12                       500
Molex Inc.                       Com      608554101          980       28,274 Shs  Def   2       28,274
Molex Inc                        Com      608554101           95        2,753 Shs  Def  12                     2,753
Molex Inc. Cl A                  Com      608554200       10,447      341,519 Shs  Def   2      332,808                      8,711
Molex Inc. Cl A                  Com      608554200           46        1,500 Shs  Def   7        1,500
Molex Inc-Cl A                   Com      608554200          360       11,777 Shs  Def  12                    11,777
Momentum Business Application    Com      60877P108            3          135 Shs  Def  12                       135
Monaco Coach Corp                Com      60886R103           17          700 Shs  Def  12                       700
Monadnock Paper Mills Inc        Com      608990107          246        3,171 Shs  Def   5        3,171
Monarch Services Inc             Com      609176102            1          450 Shs  Def  12                       450
Robert Mondavi Corp-Cl A         Com      609200100           41        1,150 Shs  Def  12                     1,150
Monongahela Power Co4.           Pfd      610202400            4           50 Shs  Def  12                        50
Monro Muffler Brake Inc          Com      610236101          589       34,250 Shs  Def   6       32,950                      1,300
Anto Co New                      Com      61166W101            1           37 Shs  Def   6                                      37
Monsanto Co                      Com      61166W101           99        3,149 Shs  Def  12                     3,149
Monsanto Co /New                 Com      61166W101       12,800      405,200 Shs  Def   3      399,900                      5,300
Montgomery Street Income         Cl End Fd614115103          104        5,680 Shs  Def  12                     5,680
Mony Group Inc.                  Com      615337102            4          100 Shs  Def   2          100
Mony Group Inc                   Com      615337102            4          100 Shs  Def   6          100
Mony Group Inc                   Com      615337102           11          283 Shs  Def  12                       283
Moodys Corp                      Com      615369105          484       11,777 Shs  Def   2       11,777
Moodys Corp                      Com      615369105            1           30 Shs  Def   6           30
Moodys Corp                      Com      615369105          581       14,140 Shs  Def  12                    14,140
Moog Inc                         Com      615394202        5,114      159,800 Shs  Def   6      155,050                      4,750
Moog Inc-Cl A                    Com      615394202            2           75 Shs  Def  12                        75
Moog Inc  Cl A                   Com      615394202        1,309       40,900 Shs  Def   3       39,000                      1,900
Corporation Moore Ltee           Com      615785102           65        5,000 Shs  Def  12                     5,000
Moore Ltd Com                    Com      615785102        3,454      265,490 Shs  Def   3      256,090                      9,400
Morgan Stanley Eastern Europe    Com      616988101          309       16,100 Shs  Def   5       16,100
Morgan St Dean Witter            Com      617446448          631       11,016 Shs  Def   2       11,016
Morgan St Dean Witter            Com      617446448           11          200 Shs  Def   4          200
Morgan St Dean Witter            Com      617446448        1,543       26,925 Shs  Def   5       26,925
Morgan St Dean Witter            Com      617446448       21,326      372,118 Shs  Def   6      372,118
Morgan St Dean Witter            Com      617446448        4,283       74,734 Shs  Def  12                    74,734
Morgan St Dean Witter            Com      617446448          137        1,500 Shs  Def  15        1,500
Morgan St Dean Witter            Com      617446448       21,042      367,165 Shs  Def   3      357,065                     10,100
Morgan Stanley                   Com      61744G107        4,428      424,940 Shs  Def   5      424,100                        840
Morgan Stanley                   Cl End Fd61744G107          522       50,100 Shs  Def  12                    50,100
Morgan Stanley                   Cl End Fd61744H105           20        2,400 Shs  Def  12                     2,400
Morgan Stanley                   Cl End Fd61744M104            7        1,000 Shs  Def  12                     1,000
Morgan Stanley                   Cl End Fd61744U106           19        2,234 Shs  Def  12                     2,234
Msdw/Nok          8.000  4-15-   Com      61744Y512            4          200 Shs  Def   6          200
Msdw/Emc          8.000  7-01-   Com      61744Y553            3          200 Shs  Def   6          200
Morgan Stanley Dean Witter &     Com      61744Y660           33        1,950 Shs  Def  12                     1,950
Morgan Stanley Dean Witter &     Pfd      61744Y769            5        3,000 Shs  Def  12                     3,000
Morgan Stanley India Investmen   Com      61745C105          218       21,800 Shs  Def   5       21,800
Morgan Stanley                   Cl End Fd61745C105           11        1,150 Shs  Def  12                     1,150
Morgan Stanley                   Cl End Fd61745P106           17        2,000 Shs  Def  12                     2,000
Morgan Stanley                   Cl End Fd61745P304            2        2,000 Shs  Def  12                     2,000
Morgan Stanley                   Cl End Fd61745P429           41        4,700 Shs  Def  12                     4,700
Morgan Stanley                   Cl End Fd61745P437           47        5,406 Shs  Def  12                     5,406
Morgan Stanley                   Cl End Fd61745P452          190       24,000 Shs  Def  12                    24,000
Morgan Stanley                   Cl End Fd61745P585           13        1,000 Shs  Def  12                     1,000
Morgan Stanley                   Cl End Fd61745P668          175       12,735 Shs  Def  12                    12,735
Morgan Stanley                   Cl End Fd61745P734           32        2,330 Shs  Def  12                     2,330
Morgan Stanley                   Cl End Fd61745P791           72        5,300 Shs  Def  12                     5,300
Morgan Stanley                   Cl End Fd61745P866            5          370 Shs  Def  12                       370
Morgan Stanley                   Cl End Fd61745P874            5          295 Shs  Def  12                       295
Technology Fund D                Com      61746X405            1          200 Shs  Def   6          200
Morgan Stanley Capital Trust     Pfd      61747N109          168        6,800 Shs  Def  12                     6,800
Mortons Restaurant Group         Com      619429103          264       19,000 Shs  Def   6       18,500                        500
Mossimo Inc                      Com      619696107            1          150 Shs  Def  12                       150
Mothers Work Inc                 Com      619903107        1,712      105,042 Shs  Def  12                   105,042
Motorola Capital Trust I         Pfd      620074203          487       23,470 Shs  Def  12                    23,470
Motorola Inc.                    Com      620076109          709       49,932 Shs  Def   2       49,932
Motorola Inc.                    Com      620076109        1,398       96,053 Shs  Def   9                                  96,053
Motorola Inc.                    Com      620076109        3,266      230,000 Shs  Def  10      230,000
Motorola Inc                     Com      620076109          163       11,475 Shs  Def  11        9,375        1,500           600
Motorola Inc                     Com      620076109        5,733      403,711 Shs  Def  12                   403,711
Motorola Inc.                    Com      620076109          137        6,065 Shs  Def  15        6,065
Motorola Inc Common Stock        Com      620076109          198       14,400 Shs  Def                        14,400
Motorola Inc  Com                Com      620076109        2,637      185,700 Shs  Def   3      175,300                     10,400
Mountain Valley Bancshares Inc   Com      62430P104           66        3,000 Shs  Def  12                     3,000
Movado Group Inc                 Com      624580106        2,913      132,700 Shs  Def   6      128,400                      4,300
Movie Gallery Inc                Com      624581104        3,247      189,100 Shs  Def   3      177,850                     11,250
Mueller Inds Inc                 Com      624756102        7,404      211,600 Shs  Def   6      210,400                      1,200
Mueller Industries Inc           Com      624756102          119        3,400 Shs  Def  12                     3,400
Multex Com Inc                   Com      625367107            5        1,100 Shs  Def  12                     1,100
Multi Color Corp                 Com      625383104          119        7,950 Shs  Def   6        7,950
Multi Color Corp                 Com      625383104           32        2,100 Shs  Def  12                     2,100
Multimedia Games Inc             Com      625453105            5          150 Shs  Def  12                       150
Muniholdings Insured Fund Inc    Cl End Fd625930102           25        2,000 Shs  Def  12                     2,000
Muniholdings New Jersey          Cl End Fd625936109           26        2,000 Shs  Def  12                     2,000
Municipal Advantage Fund Inc     Cl End Fd626189104           32        2,500 Shs  Def  12                     2,500
Muniassets Fund Inc              Cl End Fd62618Q106            4          318 Shs  Def  12                       318
Municipal High Income Fund Inc   Cl End Fd626214100           82       10,100 Shs  Def  12                    10,100
Municipal Partners Fund Ii Inc   Cl End Fd62622E107           12        1,000 Shs  Def  12                     1,000
Munienhanced Fund Inc            Cl End Fd626243109          591       56,700 Shs  Def  12                    56,700
Munimae Midland Llc              Com      62624B101        2,491      103,370 Shs  Def  12                   103,370
Muniholdings Florida Insured     Cl End Fd62624W105          150       11,400 Shs  Def  12                    11,400
Muniholdings Insd Fd Ii Inc      Cl End Fd62625A102           57        4,680 Shs  Def  12                     4,680
Munivest Fund Inc                Cl End Fd626295109           65        7,700 Shs  Def  12                     7,700
Muniyield California Fund Inc    Cl End Fd626296107           59        4,100 Shs  Def  12                     4,100
Muniyield Fund Inc               Cl End Fd626299101           53        4,162 Shs  Def  12                     4,162
Muniyield California Insured     Cl End Fd62629L104            6          483 Shs  Def  12                       483
Munivest Fund Ii Inc             Pfd      62629P303           13            5 Shs  Def  12                         5
Muniyield Quality Fund Inc       Cl End Fd626302103           14        1,034 Shs  Def  12                     1,034
Muniyield Insured Fund Inc       Cl End Fd62630E107            3          231 Shs  Def  12                       231
Muniyield Quality Fund Ii Inc    Cl End Fd62630T104           12        1,040 Shs  Def  12                     1,040
Muniyield Pennsylvania Insd Fd   Cl End Fd62630V109           23        1,676 Shs  Def  12                     1,676
Murphy Oil Corp                  Com      626717102        5,696       59,330 Shs  Def   6       59,330
Murphy Oil Corp                  Com      626717102           56          580 Shs  Def  12                       580
Myers Inds Inc                   Com      628464109        1,948      134,364 Shs  Def   6      134,252                        112
Myers Industries Inc             Com      628464109        5,683      391,937 Shs  Def  12                   391,937
Mykrolis Corp                    Com      62852P103           35        2,301 Shs  Def  12                     2,301
Mylan Laboratories Inc           Com      628530107        1,153       39,129 Shs  Def  12                    39,129
Mylan Laboratories               Com      628530107          197        4,200 Shs  Def  15        4,200
Mylan Labs Inc  Com              Com      628530107       13,876      470,995 Shs  Def   3      434,695                     36,300
Myriad Genetics Inc              Com      62855J104           50        1,500 Shs  Def   2        1,500
Myriad Genetics Inc              Com      62855J104           39        1,150 Shs  Def  12                     1,150
Nab Exchangeable Pfd Trust       Pfd      628714206           40        1,600 Shs  Def  12                     1,600
Nb Capital Corp-Dep Shs Reps     Pfd      62874N607          543       21,256 Shs  Def  12                    21,256
Nbt Bancorp Inc                  Com      628778102          181       12,254 Shs  Def  12                    12,254
Nbty Inc  Com                    Com      628782104        2,019      118,330 Shs  Def   3      118,330
Nci Building Systems             Com      628852105        9,141      405,065 Shs  Def   6      392,840          480        11,745
Nco Group Inc                    Com      628858102       10,252      369,300 Shs  Def   6      359,600                      9,700
Nco Group Inc                    Com      628858102        1,013       36,500 Shs  Def   3       36,500
Ncr Corp.                        Com      62886E108           59        1,327 Shs  Def   2        1,327
Ncr Corp New                     Com      62886E108          443        9,900 Shs  Def   5        9,800                        100
Ncr Corp New                     Com      62886E108            9          200 Shs  Def   6          200
Ncr Corp.                        Com      62886E108            1           18 Shs  Def   7           18
Ncr Corp New                     Com      62886E108          186        4,165 Shs  Def  12                     4,165
Ncr Corp New Com                 Com      62886E108          439        9,800 Shs  Def   3        9,800
Nl Inds Inc                      Com      629156407       15,378      926,400 Shs  Def   6      897,700                     28,700
Nn Inc                           Com      629337106          107        9,700 Shs  Def  12                     9,700
Npb Capital Trust-9% Trust Pfd   Pfd      629359209           25        1,000 Shs  Def  12                     1,000
Nrg Energy Inc                   Com      629377102            5          410 Shs  Def   6          410
Nrg Energy Inc                   Com      629377102          399       33,125 Shs  Def  12                    33,125
Nrg Energy Inc                   Com      629377201            5          400 Shs  Def  12                       400
Ntl Inc                          Com      629407107            3       10,300 Shs  Def  12                    10,300
Ntn Communications Inc. New      Com      629410309            8        7,500 Shs  Def                         7,500
Nts Mortgage Income Fund Lp      Com      629419102            3        1,020 Shs  Def  12                     1,020
Nui Corp                         Com      629431107        2,426       97,500 Shs  Def   6       97,500
Nui Corp Holding Company         Com      629431107           32        1,300 Shs  Def  12                     1,300
Nui Corp  Com                    Com      629431107           40        1,600 Shs  Def   3        1,300                        300
Nvp Capital Iii                  Pfd      62944L201           14          600 Shs  Def  12                       600
Nvp Capital I-8.20% Cum Qtrly    Pfd      62944M209          124        5,285 Shs  Def  12                     5,285
Nvr Inc                          Com      62944T105           12           38 Shs  Def  12                        38
Nvr Inc                          Com      62944T105       25,286       80,145 Shs  Def   3       76,345                      3,800
Nwps Capital Financing I         Pfd      629470204            8          300 Shs  Def  12                       300
Nabi Biopharmaceuticals          Com      629519109          108       17,600 Shs  Def  12                    17,600
Nabors Industries Inc.           Com      629568106        2,373       56,170 Shs  Def   2       56,170
Nabors Industries Inc            Com      629568106        3,040       71,955 Shs  Def   5       57,000                     14,955
Nabors Industries Inc            Com      629568106          235        5,568 Shs  Def  12                     5,568
Nacco Inds Inc                   Com      629579103       19,195      289,367 Shs  Def   6      286,272          285         2,810
***Namibian Minerals Corp        Com      629913104            5       37,800 Shs  Def  12                    37,800
Namibian Minerals Corp Com       Com      629913104          213    1,775,000 Shs  Def   3    1,775,000
Nanogen Inc                      Com      630075109            8        1,955 Shs  Def  12                     1,955
Nanophase Technologies Corp      Com      630079101            8        1,000 Shs  Def   7        1,000
Nasdaq 100 Shares                Com      631100104          189        5,235 Shs  Def   2        5,235
Nasdaq-100                       Com      631100104           11          295 Shs  Def   4          295
Nasdaq 100 Shares                Com      631100104        3,974      110,206 Shs  Def  12                   110,206
Nasdaq  100 Tr                   Com      631100104           17          300 Shs  Def  15          300
Nash Finch Co                    Com      631158102          681       25,000 Shs  Def   6       25,000
Nash Finch Co  Com  Nasd Indl    Com      631158102        3,004      110,250 Shs  Def   3       90,850                     19,400
National Australia Bank          ADR      632525408          882        9,650 Shs  Def   2        9,650
Banque Nationale Du Canada       Com      633067103            4          200 Shs  Def  12                       200
National Bankshares Inc-Va       Com      634865109            9          400 Shs  Def  12                       400
National City Corp.              Com      635405103          217        7,056 Shs  Def   1                                   7,056
National City Corp.              Com      635405103        4,882      158,704 Shs  Def   2      158,704
National City Corp Com           Com      635405103        1,068       34,723 Shs  Def   5       24,075                     10,648
National City Corp               Com      635405103            9          300 Shs  Def   6          300
National City Corp               Com      635405103        2,503       81,384 Shs  Def  12                    81,384
National City Corp               Com      635405103          289        9,400 Shs  Def   3          400                      9,000
National Commerce Cap Tr Ii      Pfd      635458201          218        8,900 Shs  Def  12                     8,900
National Commerce                Com      63545P104          716       25,750 Shs  Def   2       25,750
National Commerce Financial      Com      63545P104        6,955      250,175 Shs  Def   7      250,175
National Commerce Financial      Com      63545P104        1,805       64,924 Shs  Def  12                    64,924
National Equip Svcs Inc          Com      635847106            1          325 Shs  Def  12                       325
National Health Realty Inc       Com      635905102           22        1,335 Shs  Def  12                     1,335
National Fuel Gas Co N J         Com      636180101        5,921      243,170 Shs  Def   6      243,170
National Fuel Gas Co             Com      636180101          112        4,582 Shs  Def  12                     4,582
National Golf Properties Inc     Com      63623G109           14        1,900 Shs  Def  12                     1,900
National Health Investors Inc    Com      63633D104          107        7,300 Shs  Def  12                     7,300
National Information             Com      636491102           37        9,600 Shs  Def  12                     9,600
National Instruments Corp        Com      636518102          138        3,300 Shs  Def  12                     3,300
National-Oilwell Inc             Com      637071101            4          170 Shs  Def   6          170
National Penn Bancshares Inc     Com      637138108           15          618 Shs  Def  12                       618
National Presto Industries Inc   Com      637215104          105        3,650 Shs  Def  12                     3,650
National Research Corp           Com      637372103            3          500 Shs  Def  12                       500
National Rural Utility 7.625%    Pfd      637432501            5          200 Shs  Def  12                       200
National Rural Utility 7.40%     Pfd      637432600           15          600 Shs  Def  12                       600
National Semiconductor Corp      Com      637640103          202        5,998 Shs  Def  12                     5,998
National Service Industries      Com      637657206            2          200 Shs  Def   2          200
National Svc Inds Inc            Com      637657206        3,716      359,665 Shs  Def   6      347,430          545        11,690
National Services Industries     Com      637657206            9          899 Shs  Def  12                       899
National Technical Sys I         Com      638104109           14        9,600 Shs  Def   6        9,600
National Westn Life Ins          Com      638522102        6,329       55,400 Shs  Def   6       54,300                      1,100
National Western Life Ins Co     Com      638522102           11          100 Shs  Def  12                       100
***National Westminster Bank     Pfd      638539809          138        5,408 Shs  Def  12                     5,408
Nations Balanced Target          Cl End Fd63857K107           24        2,500 Shs  Def  12                     2,500
Nationwide Finl Svcs             Com      638612101       25,440      592,640 Shs  Def   6      540,705                     51,935
Nationwide Financial Services, InCom      638612101          599       14,000 Shs  Def   7       14,000
Nationwide Financial Services    Com      638612101           17          401 Shs  Def  12                       401
Nationwide Financial Svcs        Pfd      63861E204          193        8,100 Shs  Def  12                     8,100
Nationwide Health Properties Inc.Com      638620104          231       11,200 Shs  Def   9                                  11,200
Nationwide Health Properties     Com      638620104          174        8,615 Shs  Def  12                     8,615
Nationwide Health Pptys Inc      Com      638620104        1,655       82,140 Shs  Def   3       80,440                      1,700
Natural Alternatives Intl Inc    Com      638842302            1          500 Shs  Def  12                       500
Natural Chemistry Inc            CONV PFD 63884L201            9       16,600 Shs  Def   5       16,600
Natural Chemistry Inc            CONV PFD 63884L904            9       16,589 Shs  Def   5       16,589
Natures Sunshine Product         Com      639027101        3,119      278,200 Shs  Def   6      268,400                      9,800
Nautica Enterprises Inc          Com      639089101        9,675      638,200 Shs  Def   6      621,900                     16,300
Nautica Enterprises Inc          Com      639089101          262       17,310 Shs  Def  12                    17,310
Navarre Corp                     Com      639208107            3        3,160 Shs  Def  12                     3,160
Navistar International Corp      Com      63934E108           35          780 Shs  Def  12                       780
Navisite Inc                     Com      63935M109            1        2,160 Shs  Def  12                     2,160
Navigant Consulting Inc          Com      63935N107           57        8,750 Shs  Def  12                     8,750
Navigant Intl Inc                Com      63935R108          534       36,800 Shs  Def   6       36,800
Navigant Intl Inc                Com      63935R108            1           82 Shs  Def  12                        82
Ndc Health Corp                  Com      639480102            3           95 Shs  Def   6           95
Ndchealth Corp                   Com      639480102        4,302      118,225 Shs  Def   3      113,625                      4,600
Neffs Bancorp Inc-Pa             Com      640098109           18          100 Shs  Def  12                       100
Neiman-Marcus Group Inc          Com      640204202           35        1,023 Shs  Def  12                     1,023
Neiman Marcus Group Inc          Com      640204301            5          156 Shs  Def   2          156
Neiman Marcus Group Inc          Com      640204301        1,562       47,700 Shs  Def   6       47,700
Neiman-Marcus Group Inc          Com      640204301            6          180 Shs  Def  12                       180
Neoforma Inc                     Com      640475505            1           50 Shs  Def  12                        50
Neon Communications Inc          Com      640506101            3        5,550 Shs  Def  12                     5,550
Neon System Inc                  Com      640509105           24        3,000 Shs  Def  12                     3,000
Neoprobe Corp                    Com      640518106            1        2,200 Shs  Def  12                     2,200
Neorx Corp New                   Com      640520300          116       33,595 Shs  Def  12                    33,595
Neotherapeutics Inc              Com      640656104           39       24,211 Shs  Def  12                    24,211
Neopharm Inc                     Com      640919106            5          220 Shs  Def  12                       220
Net.Bank Inc                     Com      640933107           80        4,750 Shs  Def  12                     4,750
Networks Associates Inc          Com      640938106           86        3,550 Shs  Def  12                     3,550
Ness Energy International Inc    Com      64104P105            3        5,400 Shs  Def  12                     5,400
Nestle Sa Sponsored Adr          ADR      641069406        2,642       47,530 Shs  Def   2       47,530
Net Perceptions Inc              Com      64107U101            1          500 Shs  Def  12                       500
Netegrity Inc                    Com      64110P107          133        9,000 Shs  Def  12                     9,000
Netmanage Inc                    Com      641144100           17       22,141 Shs  Def  12                    22,141
Netopia Inc                      Com      64114K104           12        2,300 Shs  Def  12                     2,300
Netiq Corp                       Com      64115P102          905       41,500 Shs  Def   3       40,200                      1,300
Network Appliance, Inc.          Com      64120L104        3,902      191,468 Shs  Def   1       51,102                    140,366
Network Appliance                Com      64120L104           76        3,749 Shs  Def   4        3,749
Network Appliance Inc            Com      64120L104          753       36,933 Shs  Def  12                    36,933
Network Appliance Inc            Com      64120L104            3          100 Shs  Def  15          100
Network Plus Corp                Com      64122D506            0       13,900 Shs  Def                        13,900
Neuberger Berman Inc.            Com      641234109          570       12,175 Shs  Def  12                    12,175
Neurogen Corp                    Com      64124E106            6          500 Shs  Def  12                       500
Neurocrine Biosciences Inc       Com      64125C109           69        1,700 Shs  Def  12                     1,700
New America High Income Fund     Cl End Fd641876107           19        7,000 Shs  Def  12                     7,000
New Century Financial Co         Com      64352D101        6,805      299,800 Shs  Def   6      291,000                      8,800
New Century Financial Corp.      Com      64352D101          568       25,000 Shs  Def   7       25,000
New Century Equity Hldgs Corp    Com      64353J107           11       14,400 Shs  Def  12                    14,400
New England Business             Com      643872104           51        2,000 Shs  Def   2        2,000
New England Business Svc Inc C   Com      643872104        5,134      200,017 Shs  Def   5      200,017
New England Business Svc         Com      643872104        5,550      216,200 Shs  Def   6      209,000                      7,200
New England Business Svc Inc C   Com      643872104          221        8,600 Shs  Def   3        6,200                      2,400
New Focus Inc                    Com      644383101            4        1,300 Shs  Def  12                     1,300
New Hampshire Thrift Ban         Com      644722100           62        3,800 Shs  Def   6        3,800
New Jersey Economic Dev Au       Pfd      645915208          169        6,700 Shs  Def  12                     6,700
New Jersey Resources             Com      646025106           23          771 Shs  Def   4          771
New Jersey Resources Corp        Com      646025106            9          300 Shs  Def  12                       300
New Plan Excel Realty Trust      Com      648053106            8          400 Shs  Def   7          400
New Plan Excel Realty Trust      Com      648053106          885       44,158 Shs  Def  12                    44,158
New Plan Excel Realty Tr Inc     Pfd      648053502           37        1,500 Shs  Def  12                     1,500
New South Capital Tr I           Pfd      648910206           45        4,700 Shs  Def  12                     4,700
Queens County Bancor             Com      649445103        5,769      208,640 Shs  Def   3      201,140                      7,500
New York Times Co.               Com      650111107           65        1,350 Shs  Def   2        1,350
New York Times Co Cl A           Com      650111107       21,084      440,533 Shs  Def   5      347,931                     92,602
New York Times Co-Cl A           Com      650111107          695       14,521 Shs  Def  12                    14,521
New York Times Co-Conv Cl B      Com      650111404            6          120 Shs  Def  12                       120
Newell Rubbermaid Inc.           Com      651229106          477       14,935 Shs  Def   2       14,935
Newell Rubbermaid Inc            Com      651229106       16,586      519,445 Shs  Def   6      446,580                     72,865
Newell Rubbermaid Inc.           Com      651229106          127        4,000 Shs  Def   9                                   4,000
Newell Rubbermaid Inc            Com      651229106        2,078       65,013 Shs  Def  12                    65,013
Newfield Expl Co                 Com      651290108        5,027      135,890 Shs  Def   6      135,890
Newfield Exploration Co          Com      651290108           33          900 Shs  Def  12                       900
Newfield Exploration Co          Com      651290108        5,476      148,050 Shs  Def   3      143,650                      4,400
Newhall Land & Farming Co-Cal    Com      651426108           50        1,600 Shs  Def  12                     1,600
Newmark Homes Corp               Com      651578106           60        3,500 Shs  Def   6        3,500
Newmil Bancorp Inc               Com      651633109           18        1,000 Shs  Def  12                     1,000
Newmont Mining Corp              Com      651639106           99        3,593 Shs  Def   2        3,593
Newmont Mining Corp (New)        Com      651639106            3          121 Shs  Def   6          121
Newmont Mining Corp (New)        Com      651639106           62        2,244 Shs  Def   7        2,244
Newmont Mining Corp              Com      651639106          523       18,886 Shs  Def  12                    18,886
Newmont Mng Corp.                Com      651639106        4,520      102,446 Shs  Def  15      102,446
Newmont Mng Corp                 Pfd      651639601          197        3,990 Shs  Def  12                     3,990
Newpark Resources Inc.           Com      651718504          271       34,932 Shs  Def   2       34,932
Newport Corp                     Com      651824104          142        5,925 Shs  Def  12                     5,925
News Corp                        Com      652487703            6          211 Shs  Def   4          211
Nexmed Inc                       Com      652903105            1          246 Shs  Def  12                       246
Newpower Holdings Inc            Com      652990276            1        2,000 Shs  Def  12                     2,000
Nextera Enterprises Inc          Com      65332E101            1        2,500 Shs  Def  12                     2,500
Nextel Communications, Inc.      Com      65332V103           13        2,500 Shs  Def   2        2,500
Nextel Communications In         Com      65332V103        1,476      274,400 Shs  Def   6      274,400
Nextel Communications, Inc.      Com      65332V103      136,693   25,407,640 Shs  Def   8                25,407,640
Nextel Communications In         Com      65332V103            5        1,000 Shs  Def   9                     1,000
Nextel Communications, Inc.      Com      65332V103      311,276   57,858,003 Shs  Def  10   57,858,003
Nextel Communications Inc-Cl A   Com      65332V103        4,181      777,115 Shs  Def  12                   777,115
Nextel Communications Inc.       Com      65332V103           27        3,100 Shs  Def  15        3,100
Nextel Communications In         Com      65332V103          486       96,378 Shs  Def           96,378
Nextel Partners Inc              Com      65333F107          322       53,450 Shs  Def  12                    53,450
Next Level Communications Inc    Com      65333U104            1          575 Shs  Def  12                       575
***Nexen Inc                     Pfd      65334H300           95        3,800 Shs  Def  12                     3,800
***Nexen Inc                     Pfd      65334H409           40        1,600 Shs  Def  12                     1,600
Nexia Holdings Inc               Com      65336B103            1       10,930 Shs  Def  12                    10,930
Niagara Mohawk Power 3.90%       Pfd      653522409           66          900 Shs  Def  12                       900
Niagara Mohawk Power 3.60%       Pfd      653990382          352        5,300 Shs  Def  12                     5,300
Niagara Mohawk Power 4.10%       Pfd      653990408          421        5,504 Shs  Def  12                     5,504
Niagara Mohawk Power 4.85%       Pfd      653990416           63          700 Shs  Def  12                       700
Niagara Mohawk Power 5.25%       Pfd      653990424          256        2,740 Shs  Def  12                     2,740
Nicor Inc.                       Com      654086107           23          500 Shs  Def   2          500
Nicor Inc                        Com      654086107            5          100 Shs  Def   6          100
Nicor Inc                        Com      654086107          192        4,211 Shs  Def  12                     4,211
Nike Inc.                        Com      654106103          402        6,700 Shs  Def   2        6,700
Nike Inc-Cl B                    Com      654106103        1,477       24,609 Shs  Def  12                    24,609
99 Cents Only Stores             Com      65440K106           51        1,339 Shs  Def  12                     1,339
9278 Communications Inc          Com      65440W100            1        3,300 Shs  Def  12                     3,300
Nintendo Ltd Adr New             Com      654445303          765       40,160 Shs  Def   6        1,950                     38,210
Nipsco Capital Markets Inc       Com      654638105            5          200 Shs  Def  12                       200
Nisource Inc.                    Com      65473P105           87        3,800 Shs  Def   2        3,800
Nisource Inc                     Com      65473P105           30        1,318 Shs  Def   6        1,318
Nisource Inc                     Com      65473P105        1,842       80,267 Shs  Def  12                    80,267
Nisource Inc                     Com      65473P105       14,117      615,000 Shs  Def  13      615,000
Nisource Inc Premium Income      Pfd      65473P303          202        4,500 Shs  Def  12                     4,500
Nisource Inc                     PFD      65473P600            2          908 Shs  Def   6          908
Nisource Inc                     Com      65473P600           36       15,334 Shs  Def  12                    15,334
Noble Affiliates Inc             Com      654894104          201        5,150 Shs  Def   5        4,077                      1,073
Noble Affiliates Inc             Com      654894104            5          120 Shs  Def   6          120
Noble Affiliates Inc             Com      654894104          590       15,096 Shs  Def  12                    15,096
Nokia Corp. Spons Adr            ADR      654902204        3,330      160,570 Shs  Def   1       31,220                    129,350
Nokia Oyj Sponsored Adr          ADR      654902204        1,268       61,135 Shs  Def   2       61,135
Nokia                            Com      654902204          186        8,977 Shs  Def   4        8,977
Nokia Cp Adr                     Com      654902204           10          480 Shs  Def   6          480
Nokia Oyj Sponsored Adr          ADR      654902204        1,070       51,600 Shs  Def   7       51,600
Nokia Oyj Sponsored Adr          ADR      654902204           41        2,000 Shs  Def   8                     2,000
Nokia                            Com      654902204          209       32,600 Shs  Def   9                    30,400         2,200
Nokia Oyj Sponsored Adr          ADR      654902204       11,822      570,000 Shs  Def  10      570,000
Nokia Corp                       Com      654902204        1,163       56,072 Shs  Def  11       46,905        8,491           676
Nokia Corp.                      ADR      654902204          191        5,790 Shs  Def  15        5,790
Noble Drilling Corp              Com      655042109          112        2,698 Shs  Def  12                     2,698
Noland Co                        Com      655286102            3           99 Shs  Def  12                        99
Non Invasive Monitoring          Com      655366508            2        5,825 Shs  Def  12                     5,825
Nordstrom Inc.                   Com      655664100           25        1,000 Shs  Def   2        1,000
Nordstrom Inc                    Com      655664100            7          280 Shs  Def   6          280
Nordstrom Inc                    Com      655664100          341       13,925 Shs  Def  12                    13,925
Nordstrom Inc  Com  Nasd Indl    Com      655664100          960       39,200 Shs  Def   3       39,200
Norfolk Southern Corp.           Com      655844108        3,822      159,637 Shs  Def   2      159,637
Norfolk Southern                 Com      655844108           32        1,350 Shs  Def   4        1,350
Norfolk Southn Corp Com          Com      655844108        3,056      127,645 Shs  Def   5      101,555                     26,090
Norfolk Southern Corp            Com      655844108           84        3,490 Shs  Def   6        3,490
Norfolk Southern Corp            Com      655844108        2,539      106,049 Shs  Def  12                   106,049
Norfolk Southern Railway         ???      655855203            5          118 Shs  Def   2       (1,232)                     1,350
Norfolk Southern Railway Co      Pfd      655855203           48        1,195 Shs  Def  12                     1,195
Norsk Hydro As Adr               ADR      656531605          482       10,055 Shs  Def   2        9,455                        600
Nortek Inc                       Com      656559101        6,926      192,400 Shs  Def   6      186,800                      5,600
Nortek Inc                       Com      656559101           35          966 Shs  Def  12                       966
Nortek Inc  Com                  Com      656559101        2,909       80,800 Shs  Def   3       72,500                      8,300
Nortel Networks Corp.            Com      656568102          414       92,238 Shs  Def   2       91,038                      1,200
Nortel Networks Corp             Com      656568102           94       21,000 Shs  Def   5       18,000                      3,000
***Nortel Networks Corp          Com      656568102          379       84,373 Shs  Def  12                    84,373
Nortel Networks Corp.            Com      656568102            5          740 Shs  Def  15          740
***North American Palladium      Com      656912102            6        1,000 Shs  Def  12                     1,000
North American Scientific Inc    Com      65715D100            6          500 Shs  Def   6          500
North Cent Bancshares In         Com      658418108          368       15,400 Shs  Def   6       14,400                      1,000
North European Oil Royalty       Com      659310106            7          315 Shs  Def   2          315
North European Oil Royalty       Com      659310106           23        1,030 Shs  Def  12                     1,030
North Fork Bancorp,              Com      659424105          119        3,350 Shs  Def   2        1,850                      1,500
North Fork Bancorp               Com      659424105          213        6,000 Shs  Def   5        6,000
North Fork Bancorp, Inc.-Del     Com      659424105       10,692      300,675 Shs  Def   7      300,675
North Fork Bancorporation Inc    Com      659424105        4,374      123,009 Shs  Def  12                   123,009
North Fork Bancorporation Inc.   Com      659424105          284        8,000 Shs  Def   3        8,000
North Pittsburgh Systems Inc     Com      661562108          403       28,840 Shs  Def  12                    28,840
North Valley Bancorp             Com      66304M105          346       21,100 Shs  Def   6       21,100
Northeast Bancorp                Com      663904100           54        3,700 Shs  Def   6        3,700
Northeast Utils                  Com      664397106            6          280 Shs  Def   6          280
Northeast Utilities              Com      664397106           71        3,593 Shs  Def  12                     3,593
Northern Border Partners Lp      Com      664785102          306        7,601 Shs  Def  12                     7,601
Northern Ind Pub Svc 4.22% Pfd   Pfd      665262200            5          100 Shs  Def  12                       100
Northern Indiana Public          Pfd      665262309           42          700 Shs  Def  12                       700
Northern Ind Pub Svc Co Cum      Pfd      665262879           55        1,110 Shs  Def  12                     1,110
Northern Tech Intl Corp          Com      665809109           65       15,500 Shs  Def   6       14,100                      1,400
Northern Trust Corp.             Com      665859104          226        3,760 Shs  Def   2        3,760
Northern Trust Corp.             Com      665859104       11,308      188,119 Shs  Def   7      188,119
Northern Trust Corp              Com      665859104        2,737       45,537 Shs  Def  12                    45,537
Northfield Laboratories Inc      Com      666135108            8        1,200 Shs  Def  12                     1,200
Northpoint Communications        Com      666610100            1        6,955 Shs  Def  12                     6,955
Northrim Bancorp Inc             Com      666762109          810       55,308 Shs  Def   6       52,998                      2,310
Northrim Bancorp Inc             Com      666762109        4,709      321,413 Shs  Def   7      321,413
Northrop Grumman Corp.           Com      666807102           45          400 Shs  Def   2          400
Northrup Grumman Corp            Com      666807102       49,187      434,742 Shs  Def   6      404,287                     30,455
Northrop Grumman Corp            Com      666807102        2,029       17,946 Shs  Def  12                    17,946
Northwest Natural Gas Co         Com      667655104          115        4,123 Shs  Def  12                     4,123
Northwest Natural Gas Co         Com      667655104        2,000       71,400 Shs  Def   3       69,400                      2,000
Northwest Pipe Co                Com      667746101        1,651      107,900 Shs  Def   6      104,700                      3,200
Northwestern Cap Fin Ii          Pfd      668033202          107        4,400 Shs  Def  12                     4,400
Northwestern Corp Cap Tr Iii     Pfd      668034200           35        1,500 Shs  Def  12                     1,500
Northwestern Corp                Com      668074107        9,205      418,400 Shs  Def   6      407,400                     11,000
Northwestern Corp                Com      668074107          269       12,230 Shs  Def  12                    12,230
Nova Chemicals Corp              Pfd      66977W208            4          200 Shs  Def  12                       200
Nova Chemicals Corp.             PFD      66977W307            2          100 Shs  Def   2          100
Novartis Ag-Adr                  ADR      66987V109          694       17,520 Shs  Def   2       16,720                        800
Novartis Ag Sponsored            Com      66987V109       39,440      997,929 Shs  Def   6      909,549                     88,380
Novartis Ag-Adr                  ADR      66987V109          539       13,600 Shs  Def   9                                  13,600
Nu Horizons Electrs Corp         Com      669908105        1,239      125,800 Shs  Def   6      125,800
Novadigm Inc                     Com      669937104            2          200 Shs  Def  12                       200
Novastar Financial Inc           Com      669947400           19        1,000 Shs  Def  12                     1,000
Nuance Communications Inc        Com      669967101           49        7,200 Shs  Def  12                     7,200
Novavax Inc                      Com      670002104           31        2,675 Shs  Def  12                     2,675
Novell, Inc.                     Com      670006105            4        1,000 Shs  Def   2        1,000
Novell Inc                       Com      670006105            3          760 Shs  Def   6          760
Novell Inc                       Com      670006105          179       46,081 Shs  Def  12                    46,081
Novellus System                  Com      670008101            9          175 Shs  Def   6          175
Novellus Systems Inc             Com      670008101           87        1,605 Shs  Def  12                     1,605
Noven Pharmaceuticals Inc        Com      670009109           10          500 Shs  Def  12                       500
Novo-Nordisk A/S Adr             ADR      670100205          356        9,000 Shs  Def   2        9,000
Novo-Nordisk (670100205)         Com      670100205           38          950 Shs  Def   6          950
Novoste Corp                     Com      67010C100           22        2,635 Shs  Def  12                     2,635
Nstor Technologies Inc           Com      67018N108           15       37,000 Shs  Def  12                    37,000
Nu Skin Enterprises Inc          Com      67018T105        6,579      614,300 Shs  Def   6      600,600                     13,700
Nstar                            Com      67019E107        3,264       71,995 Shs  Def   6       71,995
Nstar                            Com      67019E107          194        4,274 Shs  Def  12                     4,274
Nstar Com                        Com      67019E107        1,446       31,900 Shs  Def   3       31,900
Ntelos Inc                       Com      67019U101            6        1,400 Shs  Def  12                     1,400
Nucor Corp.                      Com      670346105           53          822 Shs  Def   2          822
Nucor Corp                       Com      670346105           13          200 Shs  Def   6          200
Nucor Corp                       Com      670346105        1,368       21,294 Shs  Def  12                    21,294
Numerical Technologies Inc       Com      67053T101          157       11,600 Shs  Def  12                    11,600
Numerical Technologies Inc       Com      67053T101        1,685      124,700 Shs  Def   3      112,900                     11,800
Nuoncology Labs Inc              Com      67057T107            1        7,000 Shs  Def  12                     7,000
Nuveen Connecticut Premium       Cl End Fd67060D107           16        1,000 Shs  Def  12                     1,000
Nuveen Georgia Premium Inco      Cl End Fd67060F102           12          800 Shs  Def  12                       800
Nuveen North Carolina Premium    Cl End Fd67060P100           71        4,535 Shs  Def  12                     4,535
Nuveen N C Prem Income Mun Fd    Pfd      67060P209           30           12 Shs  Def  12                        12
Nutraceutical Intl Corp          Com      67060Y101          207       35,100 Shs  Def   6       34,500                        600
Nuveen Pennsylvania Premium      Cl End Fd67061F101          134        9,599 Shs  Def  12                     9,599
Nuveen Maryland Premium Inc      Cl End Fd67061Q107          662       45,312 Shs  Def  12                    45,312
Nuveen Maryland Premium Inc      Pfd      67061Q206          150           60 Shs  Def  12                        60
Nuveen Maryland Premium Inc      Pfd      67061Q305           60           24 Shs  Def  12                        24
Nuveen Select Maturities         Cl End Fd67061T101          242       23,399 Shs  Def  12                    23,399
Nuveen Investment Quality        Cl End Fd67062E103          496       34,447 Shs  Def  12                    34,447
Nuveen Invt Quality Mun Fd Inc   Pfd      67062E301            3            1 Shs  Def  12                         1
Nuveen Invt Quality Mun Fd Inc   Pfd      67062E509           58           23 Shs  Def  12                        23
Nuveen Select Tax Free Income    Cl End Fd67062F100          157       11,305 Shs  Def  12                    11,305
Nuveen Municipal Advantage       Cl End Fd67062H106        2,009      140,458 Shs  Def  12                   140,458
Nuveen Municipal Advantage Fd    Pfd      67062H205            8            3 Shs  Def  12                         3
Nuveen Municipal Advantage       Pfd      67062H304           28           11 Shs  Def  12                        11
Nuveen Municipal Advantage       Pfd      67062H502           25           10 Shs  Def  12                        10
Nuveen Mun Advantage Fd Inc      Pfd      67062H601            8            3 Shs  Def  12                         3
Nuveen Municipal Income Fund     Cl End Fd67062J102           58        5,500 Shs  Def  12                     5,500
Nuveen New York Municipal        Cl End Fd67062M105            9        1,000 Shs  Def  12                     1,000
Nuveen Insured Quality           Cl End Fd67062N103          321       21,871 Shs  Def  12                    21,871
Nuveen Insured Quality Fd Mar    Pfd      67062N509           15            6 Shs  Def  12                         6
Nuveen Insd Quality Mun Fd Inc   Pfd      67062N608           13            5 Shs  Def  12                         5
Nuveen Performance Plus          Cl End Fd67062P108        1,997      144,093 Shs  Def  12                   144,093
Nuveen Performance Plus Mun Fd   Pfd      67062P207           13            5 Shs  Def  12                         5
Nuveen Performance Plus Mun      Pfd      67062P306           35           14 Shs  Def  12                        14
Nuveen Performance Plus Mun Fd   Pfd      67062P504           15            6 Shs  Def  12                         6
Nuveen Premium Income            Cl End Fd67062T100        2,504      182,349 Shs  Def  12                   182,349
Nuveen Premium Income Mun Fund   Pfd      67062T407            3            1 Shs  Def  12                         1
Nuveen Municipal Market          Cl End Fd67062W103        1,766      127,538 Shs  Def  12                   127,538
Nuveen Municipal Market Oppor-   Pfd      67062W301            8            3 Shs  Def  12                         3
Nuveen Mun Mkt Opportunity Fd    Pfd      67062W509            5            2 Shs  Def  12                         2
Nuveen New York Investment       Cl End Fd67062X101          147       10,156 Shs  Def  12                    10,156
Nuveen Select Tax Free Income    Cl End Fd67063C106          467       34,215 Shs  Def  12                    34,215
Nuveen Premium Income            Cl End Fd67063W102          337       23,889 Shs  Def  12                    23,889
Nuveen Premium Income Mun Fd     Pfd      67063W201           15            6 Shs  Def  12                         6
Nuveen Prem Inc Mun Fd 2 Mar     Pfd      67063W300           15            6 Shs  Def  12                         6
Nuveen Premium Income Mun Fd     Pfd      67063W409           55           22 Shs  Def  12                        22
Nuveen Premium Income Mun Fd     Pfd      67063W607           13            5 Shs  Def  12                         5
Nuveen Select Tax Free Income    Cl End Fd67063X100           58        4,300 Shs  Def  12                     4,300
Nuveen Virginia Premium Income   Cl End Fd67064R102          292       18,621 Shs  Def  12                    18,621
Nuveen Virginia Premium Income   Pfd      67064R201            5            2 Shs  Def  12                         2
Nuveen Virginia Premium Income   Pfd      67064R300            5            2 Shs  Def  12                         2
Nvidia Corp                      Com      67066G104           18          400 Shs  Def  12                       400
Nvidia Corp                      Com      67066G104       16,312      367,720 Shs  Def   3      357,720                     10,000
Nuveen Divid Advantage Mun Fd    Cl End Fd67066V101          231       16,658 Shs  Def  12                    16,658
Nuveen Divid Advantage Mun Fd    Pfd      67066V200           10            4 Shs  Def  12                         4
Nuveen Divid Advantage Mun Fd    Pfd      67066V408           18            7 Shs  Def  12                         7
Nuveen N Y Dividend Advantage    Cl End Fd67066X107           80        5,826 Shs  Def  12                     5,826
Nuveen Sr Income Fd              Cl End Fd67067Y104          186       24,500 Shs  Def  12                    24,500
Nuveen Va Divid Advantage Mun    Cl End Fd67069M108          817       55,184 Shs  Def  12                    55,184
Nuveen North Carolina Divid      Cl End Fd67069N106           51        3,500 Shs  Def  12                     3,500
Nuveen North Carolina Divid      Pfd      67069N205           50           20 Shs  Def  12                        20
Nuveen Mass Divid Advantage D    Cl End Fd67069P101           21        1,345 Shs  Def  12                     1,345
Nuveen Md Divid Advantage Mun    Cl End Fd67069R107          887       57,601 Shs  Def  12                    57,601
Nuveen Maryland Dividend         Pfd      67069R206          145           58 Shs  Def  12                        58
Nuveen Conn Divid Advantage      Cl End Fd67069T103           30        2,000 Shs  Def  12                     2,000
Nuveen California Dividend       Cl End Fd67069X104           14        1,000 Shs  Def  12                     1,000
Nuveen New Jersey Divid          Cl End Fd67069Y102           34        2,500 Shs  Def  12                     2,500
Nuveen Insured Premium Income    Cl End Fd6706D8104          195       14,989 Shs  Def  12                    14,989
Nuveen Insured Premium Income    Pfd      6706D8203           15            6 Shs  Def  12                         6
Nuveen Insured Premium Income    Pfd      6706D8302            3            1 Shs  Def  12                         1
Nuveen Insured Premium Income    Pfd      6706D8401           25           10 Shs  Def  12                        10
Nuveen Insured Premium Income    Pfd      6706D8500           10            4 Shs  Def  12                         4
Nuveen Insured Premium Income    Pfd      6706D8609            5            2 Shs  Def  12                         2
Nuveen Premium Income            Cl End Fd6706K4105          294       22,823 Shs  Def  12                    22,823
Nuveen Premium Income Mun Fd     Pfd      6706K4204          133           53 Shs  Def  12                        53
Nuveen Premium Income Mun Fd     Pfd      6706K4303            5            2 Shs  Def  12                         2
Nuveen Premium Income Mun Fd     Pfd      6706K4402           10            4 Shs  Def  12                         4
Nuveen Premium Income Mun Fd     Pfd      6706K4501           98           39 Shs  Def  12                        39
Nuveen Premium Income Mun Fd     Pfd      6706K4709            3            1 Shs  Def  12                         1
Nuveen Premium Income Mun Fd     Pfd      6706K4808           15            6 Shs  Def  12                         6
Nuveen Prem Income Mun Fd 4      Pfd      6706K4881           20            8 Shs  Def  12                         8
Nuveen Ohio Dividend             Cl End Fd67070C107           22        1,479 Shs  Def  12                     1,479
Nuveen Pennsylvania Dividend     Cl End Fd67070E103          215       14,854 Shs  Def  12                    14,854
Nuveen Dividend Advantage        Cl End Fd67070F100        2,474      185,904 Shs  Def  12                   185,904
Nuveen Ohio Dividend             Cl End Fd67070R104           53        3,739 Shs  Def  12                     3,739
Nuveen Maryland Dividend         Cl End Fd67070V105           47        3,333 Shs  Def  12                     3,333
Nuveen Md Divid Advantage Mun    Pfd      67070V204            6           25 Shs  Def  12                        25
Nuveen Dividend Advantage        Cl End Fd67070X101        1,372      102,916 Shs  Def  12                   102,916
Nyfix Inc                        Com      670712108           61        4,100 Shs  Def  12                     4,100
Nuveen Real Estate Income Fd     Cl End Fd67071B108          829       52,948 Shs  Def  12                    52,948
Nuveen Va Divid Advantage Mun    Cl End Fd67071C106          201       14,383 Shs  Def  12                    14,383
Nuveen North Carolina Divid      Cl End Fd67071D104           89        6,000 Shs  Def  12                     6,000
Nuveen Insd Divid Advantage      Cl End Fd67071L106          266       17,700 Shs  Def  12                    17,700
Nuveen Ct Dividend Advantage     Cl End Fd67071R103          262       17,332 Shs  Def  12                    17,332
Nuveen Ohio Dividend Advantage   Cl End Fd67071V104           25        1,665 Shs  Def  12                     1,665
Nuveen Pa Dividend Advantage     Cl End Fd67071W102           82        5,450 Shs  Def  12                     5,450
Nyvatex Oil Corp                 Com      670794106            7       50,000 Shs  Def  12                    50,000
Oao Technology Solutions Inc     Com      67082B105           23       10,240 Shs  Def  12                    10,240
Oge Energy Corp Com              Com      670837103        1,225       51,210 Shs  Def   6       40,510                     10,700
Oge Energy Corp                  Com      670837103          149        6,216 Shs  Def  12                     6,216
O I Corp                         Com      670841105           22        3,700 Shs  Def   6        3,700
Oge Energy Capital Trust I       Pfd      67084C200           94        3,600 Shs  Def  12                     3,600
Om Group Inc                     Com      670872100           85        1,170 Shs  Def  12                     1,170
Nuveen Municipal Value Fund      Cl End Fd670928100          855       92,727 Shs  Def  12                    92,727
Nuveen Florida Investment        Cl End Fd670970102           44        3,017 Shs  Def  12                     3,017
Nuveen Fla Invt Quality Mun Fd   Pfd      670970201           10            4 Shs  Def  12                         4
Nuveen New Jersey Investment     Cl End Fd670971100          117        8,000 Shs  Def  12                     8,000
Nuveen Pennsylvania Investment   Cl End Fd670972108          298       21,053 Shs  Def  12                    21,053
Nuveen Pa Invt Quality Mun Fd    Pfd      670972207            3            1 Shs  Def  12                         1
Nuveen Pennsylvania Invt Qual-   Pfd      670972306            3            1 Shs  Def  12                         1
Nuveen Select Quality            Cl End Fd670973106        2,048      147,331 Shs  Def  12                   147,331
Nuveen Select Quality Mun Fund   Pfd      670973205            3            1 Shs  Def  12                         1
Nuveen Select Quality Mun Fund   Pfd      670973502            5            2 Shs  Def  12                         2
Nview Corp                       Com      670974104            2       24,000 Shs  Def  12                    24,000
Nuveen New York Select Quality   Cl End Fd670976109          190       13,456 Shs  Def  12                    13,456
Nuveen Quality Income            Cl End Fd670977107          694       50,283 Shs  Def  12                    50,283
Nuveen Quality Income Mun Fund   Pfd      670977206            5            2 Shs  Def  12                         2
Nuveen Quality Income Mun Fund   Pfd      670977305            3            1 Shs  Def  12                         1
Nuveen Quality Income Mun Fund   Pfd      670977404            5            2 Shs  Def  12                         2
Nuveen Quality Income Mun Fund   Pfd      670977602           25           10 Shs  Def  12                        10
Nuveen Florida Quality Income    Cl End Fd670978105           50        3,375 Shs  Def  12                     3,375
Nuveen Florida Quality Income    Pfd      670978204           15            6 Shs  Def  12                         6
Nuveen Florida Quality Income    Pfd      670978303            5            2 Shs  Def  12                         2
Nuveen Ohio Quality Income       Cl End Fd670980101          160        9,784 Shs  Def  12                     9,784
Nuveen Insured Municipal         Cl End Fd670984103        1,489      101,864 Shs  Def  12                   101,864
Nuveen Insured Mun Opportunity   Pfd      670984301           43           17 Shs  Def  12                        17
Nuveen Insured Mun Opportunity   Pfd      670984400           23            9 Shs  Def  12                         9
Nuveen Insd Mun Opp Fd Mar       Pfd      670984608           28           11 Shs  Def  12                        11
Nuveen Insd Mun Opportunity Fd   Pfd      670984806           10            4 Shs  Def  12                         4
Nuveen California Quality        Cl End Fd670985100           11          700 Shs  Def  12                       700
Nuveen New York Quality Income   Cl End Fd670986108          177       12,345 Shs  Def  12                    12,345
Nuveen New York Quality Income   Pfd      670986306            3            1 Shs  Def  12                         1
Nuveen Premier Insured           Cl End Fd670987106           45        3,000 Shs  Def  12                     3,000
Nuveen Premier Insd Mun Income   Pfd      670987205          125           50 Shs  Def  12                        50
Nuveen Premier Insured Mun       Pfd      670987304           55           22 Shs  Def  12                        22
Nuveen Premier Municipal         Cl End Fd670988104          145       10,285 Shs  Def  12                    10,285
Nuveen Premier Municipal         Pfd      670988203           45           18 Shs  Def  12                        18
Nuveen Premier Mun Income Fd     Pfd      670988401           40           16 Shs  Def  12                        16
Nuveen New Jersey Premium        Cl End Fd67101N106           60        4,159 Shs  Def  12                     4,159
Nuveen Insured New York Prem-    Cl End Fd67101R107           32        2,200 Shs  Def  12                     2,200
Nuveen Insured Florida Premium   Cl End Fd67101V108           46        3,137 Shs  Def  12                     3,137
Nuveen Insured Fla Prem Income   Pfd      67101V207           18            7 Shs  Def  12                         7
Nuveen Insured Florida Premium   Pfd      67101V306           13            5 Shs  Def  12                         5
Otg Software Inc                 Com      671059103           35        4,000 Shs  Def  12                     4,000
Oak Technology Inc               Com      671802106            3          175 Shs  Def  12                       175
Oakley Inc                       Com      673662102           18        1,000 Shs  Def  12                     1,000
Oakwood Homes Corp               Com      674098207           41        5,740 Shs  Def  12                     5,740
Occidental Pete Corp Com         Com      674599105        1,618       55,500 Shs  Def   5       38,800                     16,700
Occidental Petroleum Corp De     Com      674599105           30        1,027 Shs  Def   6        1,027
Occidental Pete Corp Del Com     Com      674599105          308       10,571 Shs  Def  12                    10,571
Occidental Pete Corp Del  Com    Com      674599105        1,592       54,600 Shs  Def   3       54,600
Ocean Energy Inc Del             Com      67481E106            7          360 Shs  Def   6          360
Ocean Energy Inc                 Com      67481E106          263       13,306 Shs  Def  12                    13,306
Ocean Energy Inc Tex             Com      67481E106           40        2,000 Shs  Def                         2,000
Oceaneering International Inc    Com      675232102          145        5,000 Shs  Def                         5,000
Oceaneering Intl Inc  Com  Nasd ICom      675232102          189        6,500 Shs  Def   3        6,500
Ocular Sciences Inc Com          Com      675744106        2,585       92,300 Shs  Def   3       85,200                      7,100
Ocwen Financial Corp.            Com      675746101           37        5,688 Shs  Def   2        5,688
Office Depot Inc                 Com      676220106          794       40,000 Shs  Def   4       40,000
Office Depot Inc                 Com      676220106        1,409       71,000 Shs  Def  12                    71,000
Office Depot Inc.                Com      676220106          237        7,500 Shs  Def  15        7,500
Office Depot Inc Com Nasd Indl   Com      676220106       35,416    1,784,200 Shs  Def   3    1,737,700                     46,500
Office Depot Inc                 Bond     676220AB2          668       10,000 Shs  Def  12                    10,000
Officemax Inc                    Com      67622M108           64       11,450 Shs  Def  12                    11,450
Official Payments Corp           Com      676235104           14        4,290 Shs  Def  12                     4,290
Offshore Logistics Inc           Com      676255102        9,254      429,400 Shs  Def   6      418,500                     10,900
Offshore Logistics Inc           Com      676255102        8,698      403,635 Shs  Def   3      379,435                     24,200
Oglebay Norton Co                Com      677007106          423       41,900 Shs  Def   6       41,900
Ohio Casualty Corp.              Com      677240103          288       15,180 Shs  Def   2       13,980                      1,200
Ohio Casualty Corp               Com      677240103           55        2,925 Shs  Def  12                     2,925
Ohio Casualty Corp.              Com      677240103        1,475       77,900 Shs  Def   3       77,900
Ohio Edison Financing Trust-9%   Pfd      677350209           32        1,280 Shs  Def  12                     1,280
Ohio Power Co-7.375%             Pfd      677415762           10          400 Shs  Def  12                       400
Ohio Power Co-7.92% Jr Sub       Pfd      677415770           10          400 Shs  Def  12                       400
Lukoil Oil Co Sponsored Adr  RussADR      677862104        4,311       73,700 Shs  Def   3       73,700
Oil Svc Holdrs Tr                Com      678002106           90        1,300 Shs  Def  12                     1,300
Oilgear Co                       Com      678042102            4          512 Shs  Def  12                       512
Old Dominion Fght Lines          Com      679580100        1,043       74,100 Shs  Def   6       72,600                      1,500
Old Dominion Freight Lines Inc   Com      679580100           41        2,885 Shs  Def  12                     2,885
Old Point Financial Corp         Com      680194107          140        4,700 Shs  Def  12                     4,700
Old Rep Intl Corp                Com      680223104       11,110      347,500 Shs  Def   6      300,800                     46,700
Old Republic Intl Corp           Com      680223104           52        1,625 Shs  Def  12                     1,625
Old Republic Intl Corp           Com      680223104       10,854      339,505 Shs  Def   3      323,105                     16,400
Olin Corp New                    Com      680665205           17          900 Shs  Def  12                       900
Olin Corp.                       Com      680665205           38        2,000 Shs  Def                         2,000
Olympic Steel Inc                Com      68162K106            3          500 Shs  Def  12                       500
Omnicare Inc                     Com      681904108            5          190 Shs  Def   6          190
Omnicare Inc.                    Com      681904108        8,013      309,500 Shs  Def   8                   309,500
Omnicare Inc                     Com      681904108        1,689       65,237 Shs  Def  12                    65,237
Omnicare Inc.                    Com      681904108       46,602    1,800,000 Shs  Def  14    1,800,000
Omnicare Inc  Com                Com      681904108        4,834      186,710 Shs  Def   3      162,010                     24,700
Omnicom Group Inc.               Com      681919106            5           50 Shs  Def   2           50
Omnicom Group                    Com      681919106          649        6,875 Shs  Def   4        6,875
Omnicom Group Inc Com            Com      681919106        2,782       29,473 Shs  Def   5       29,373                        100
Omnicom Group                    Com      681919106          223        2,400 Shs  Def   6                                   2,400
Omnicom Group                    Com      681919106          208        2,200 Shs  Def  11        1,800          400
Omnicom Group Inc                Com      681919106        2,281       24,162 Shs  Def  12                    24,162
Omega Healthcare Investors Inc   Com      681936100           82       15,652 Shs  Def  12                    15,652
1-800 Contacts Inc               Com      681977104        1,522      142,900 Shs  Def   6      137,600                      5,300
Omega Financial Corp             Com      682092101          111        3,420 Shs  Def  12                     3,420
Omega Worldwide Inc              Com      68210B108            2          804 Shs  Def  12                       804
Omega Protein Corp               Com      68210P107           13        4,100 Shs  Def  12                     4,100
Omni Energy Services Corp        Com      68210T109            8       10,000 Shs  Def  12                    10,000
Omnivision Technologies Inc      Com      682128103           19        1,750 Shs  Def  12                     1,750
Omnova Solutions Inc             Com      682129101            4          475 Shs  Def  12                       475
On Assignment Inc                Com      682159108            5          300 Shs  Def  12                       300
On Assignment Inc.               Com      682159108           90        5,000 Shs  Def                         5,000
On Command Corp.                 Com      682160106            3          580 Shs  Def   2          580
On-Site Sourcing Inc             Com      682195102            3        1,000 Shs  Def  12                     1,000
On Technology Corp               Com      68219P108           70       31,000 Shs  Def  12                    31,000
One Liberty Properties Inc       Com      682406103            7          435 Shs  Def  12                       435
One Liberty Properties Inc       Pfd      682406202           15          900 Shs  Def  12                       900
Oneida Ltd                       Com      682505102          113        7,546 Shs  Def   2        7,546
Oneok Inc New                    Com      682680103           33        1,600 Shs  Def  12                     1,600
Online Intl Corp                 Com      68273C100            1        1,116 Shs  Def  12                     1,116
Oni Sys Corp                     Com      68273F103            4          630 Shs  Def  12                       630
Online Power Supply Inc          Com      68274C109            2        1,000 Shs  Def  12                     1,000
Onyx Accep Corp                  Com      682914106          411       85,700 Shs  Def   6       82,600                      3,100
Onyx Software Corp               Com      683402101           11        2,250 Shs  Def  12                     2,250
Open Text Corp.                  Com      683715106           16          400 Shs  Def  15          400
Openwave Systems Inc             Com      683718100        8,753    1,376,267 Shs  Def   5                               1,376,267
Openwave Sys Inc                 Com      683718100            2          360 Shs  Def   6          360
Openwave Sys Inc                 Com      683718100           41        6,427 Shs  Def  12                     6,427
Opinion Resh Corp                Com      683755102          320       53,400 Shs  Def   6       51,000                      2,400
Opnet Technologies Inc           Com      683757108           10        1,100 Shs  Def  12                     1,100
Optical Sensors Inc              Com      68384P107            1        2,000 Shs  Def  12                     2,000
***Optimal Robotics Corp-Cl A    Com      68388R208           36        2,000 Shs  Def  12                     2,000
Optio Software Inc               Com      68389J106            1        1,000 Shs  Def  12                     1,000
Oracle Corp.                     Com      68389X105       12,654      988,572 Shs  Def   1      341,848                    646,724
Oracle Corp                      Com      68389X105        7,502      586,097 Shs  Def   2      579,897                      6,200
Oracle                           Com      68389X105           25        1,979 Shs  Def   4        1,979
Oracle Systems Corp              Com      68389X105        1,700      132,787 Shs  Def   5      107,015                     25,772
Oracle Corp                      Com      68389X105           15        1,192 Shs  Def   6        1,192
Oracle Corp                      Com      68389X105          467       36,500 Shs  Def   7       36,500
Oracle Corp                      Com      68389X105        1,062       82,697 Shs  Def   9                                  82,697
Oracle Corp                      Com      68389X105          214       16,745 Shs  Def  11        6,557        9,794           394
Oracle Corp                      Com      68389X105       11,214      876,098 Shs  Def  12                   876,098
Oracle Corp.                     Com      68389X105        2,400      119,700 Shs  Def  15      119,700
Oracle Corp  Com                 Com      68389X105        9,745      761,328 Shs  Def   3      734,828                     26,500
Oppenheimer Multi-Sector         Cl End Fd683933105          102       11,960 Shs  Def  12                    11,960
Opti Inc                         Com      683960108            3        2,000 Shs  Def  12                     2,000
Orasure Technologies Inc         Com      68554V108           70       11,592 Shs  Def  12                    11,592
Orbital Sciences Corp            Com      685564106            3          500 Shs  Def  12                       500
Orbital Sciences Corp            Com      685564106          851      162,350 Shs  Def   3      154,700                      7,650
Orchid Biosciences Inc           Com      68571P100            3        1,000 Shs  Def  12                     1,000
Organogenesis Inc                Com      685906109           11        8,000 Shs  Def  12                     8,000
O Reilly Automotive Inc          Com      686091109           51        1,600 Shs  Def  12                     1,600
Orix Corp Adr Sponsor            Com      686330101        2,964       80,527 Shs  Def   6       62,807                     17,720
Orphan Medical Inc               Com      687303107           26        2,000 Shs  Def  12                     2,000
Orthologic Corp                  Com      68750J107           31        5,600 Shs  Def  12                     5,600
Orthodontic Centers Of America   Com      68750P103           17          600 Shs  Def  12                       600
Oshkosh B Gosh Inc               Com      688222207        6,369      148,600 Shs  Def   6      142,700                      5,900
Oshkosh Truck Corp. Class        Com      688239201          159        2,800 Shs  Def   2        2,800
Osteotech Inc                    Com      688582105            9        1,300 Shs  Def  12                     1,300
Otter Tail Corp                  Com      689648103           25          800 Shs  Def  12                       800
Ack Steakhouse Inc               Com      689899102            2           53 Shs  Def   6           53
Outback Steakhouse Inc           Com      689899102        1,169       32,690 Shs  Def  12                    32,690
Outback Steakhouse Inc.          Com      689899102          108        1,900 Shs  Def  15        1,900
Outback Steakhouse I             Com      689899102          458       12,800 Shs  Def   3       12,800
Outlook Group Corp               Com      690113105          178       34,900 Shs  Def   6       34,400                        500
Overland Data Inc                Com      690213103          437       40,650 Shs  Def  12                    40,650
Overseas Shipholding Gro         Com      690368105       15,161      623,900 Shs  Def   6      611,000                     12,900
Overseas Shipholding Group Inc   Com      690368105          154        6,325 Shs  Def  12                     6,325
Overseas Shipholding Group Inc   Com      690368105           87        3,600 Shs  Def   3        3,600
Overture Services Inc            Com      69039R100           27          950 Shs  Def  12                       950
Overture Services Inc            Com      69039R100        3,741      133,980 Shs  Def   3      133,430                        550
Owens & Minor Inc. New           Com      690732102          412       20,900 Shs  Def   9                                  20,900
Owens & Minor Inc Holding Co     Com      690732102        1,833       93,317 Shs  Def  12                    93,317
Owens & Minor Inc New Com        Com      690732102        4,941      251,560 Shs  Def   3      243,160                      8,400
Owens Corning                    Com      69073F103           27       12,840 Shs  Def  12                    12,840
Owens Illinois Inc New           Com      690768403           12          700 Shs  Def  12                       700
Owens-Illinois Inc               Com      690768403        7,506      441,510 Shs  Def   3      435,310                      6,200
Owosso Corp                      Com      691217103          104      207,738 Shs  Def  12                   207,738
Oxford Health Plans Inc          Com      691471106            8          190 Shs  Def   6          190
Oxford Health Plans, Inc.        Com      691471106           12          276 Shs  Def   7          276
Oxford Health Plans Inc          Com      691471106          133        3,183 Shs  Def  12                     3,183
Oxford Health Plans, Inc.        Com      691471106       58,506    1,400,000 Shs  Def  14    1,400,000
Oxford Inds Inc                  Com      691497309        3,551      134,500 Shs  Def   6      130,700                      3,800
Oxy Capital Trust I 8.16 Tr      Pfd      692070204           77        3,100 Shs  Def  12                     3,100
P & F Inds Inc                   Com      692830508           40        5,500 Shs  Def   6        5,500
P A M Transn Svcs Inc            Com      693149106        2,269       89,700 Shs  Def   6       88,000                      1,700
Pcc Capital I-9.375% Cum Trust   Pfd      69318H203           24        2,500 Shs  Def  12                     2,500
P C Connection                   Com      69318J100          365       34,600 Shs  Def   6       30,800                      3,800
Pc-Tel Inc Com                   Com      69325Q105        3,231      376,531 Shs  Def   6      362,631          830        13,070
Peco Energy Co-$3.80 Pfd         Pfd      693304206           46          800 Shs  Def  12                       800
Peco Energy Co-$4.30 Pfd         Pfd      693304305            6          100 Shs  Def  12                       100
Peco Energy Co-$4.40 Pfd         Pfd      693304404          122        1,900 Shs  Def  12                     1,900
Peco Energy Co-$4.68 Pfd         Pfd      693304503            7          100 Shs  Def  12                       100
Peco Energy Cap Tr Ii-Tr Rcpts   Pfd      69331A201           51        2,000 Shs  Def  12                     2,000
Pg&E Corp                        Com      69331C108       48,648    2,064,875 Shs  Def   6    1,966,175                     98,700
Pg&E Corp                        Com      69331C108           35        1,500 Shs  Def  12                     1,500
Pg&E Corp Com                    Com      69331C108        5,628      238,900 Shs  Def   3      221,500                     17,400
Pg&E Capital I-7.90% Cum Qtrly   Pfd      69331F200           29        1,200 Shs  Def  12                     1,200
Pff Bancorp Inc                  Com      69331W104        7,185      230,300 Shs  Def   6      223,700                      6,600
Pf Changs China Bistro Inc       Com      69333Y108           53          800 Shs  Def  12                       800
Pfs Bancorp Inc                  Com      69335R101            7          500 Shs  Def  12                       500
Pimco Commercial Mortgage        Cl End Fd693388100          125        9,018 Shs  Def  12                     9,018
Plc Capital Trust I-8.25% Tr     Pfd      693406209           40        1,600 Shs  Def  12                     1,600
Plm Equipment Growth Fund        Com      693413106            2        4,919 Shs  Def  12                     4,919
Plx Technology Inc               Com      693417107          110        9,000 Shs  Def   3                                   9,000
Plm Equipment Growth Fund V      Com      69341H402            2        1,250 Shs  Def  12                     1,250
Pmc Capital Inc.                 Com      693430100           17        2,400 Shs  Def   2        2,400
Pmc Capital Inc                  Com      693430100           16        2,250 Shs  Def  12                     2,250
Pmc Commercial Trust-Sbi         Com      693434102            7          495 Shs  Def  12                       495
Pmc-Sierra Inc                   Com      69344F106           85        5,221 Shs  Def  12                     5,221
Pmi Group Inc.                   Com      69344M101        2,286       30,175 Shs  Def   2       30,175
The Pmi Group                    Com      69344M101        6,863       90,585 Shs  Def   5       69,235                     21,350
Pmi Group Inc Com                Com      69344M101       12,771      168,491 Shs  Def   6      148,402                     20,089
Pmi Group Inc                    Com      69344M101          950       12,535 Shs  Def  12                    12,535
The Pmi Group Inc.               Com      69344M101          181        1,500 Shs  Def  15        1,500
Pmi Group Inc                    Com      69344M101       40,944      540,450 Shs  Def   3      528,250                     12,200
Pnc Financial Services           Com      693475105        4,659       75,768 Shs  Def   2       75,268                        500
Pnc                              Com      693475105           79        1,284 Shs  Def   4        1,284
Pnc Bank Corp                    Com      693475105          968       15,822 Shs  Def   6       12,040                      3,782
Pnc Financial Services Group     Com      693475105        2,583       42,772 Shs  Def   9                                  42,772
Pnc Financial Svcs Group Inc     Com      693475105        3,329       54,138 Shs  Def  12                    54,138
Pnc Financial Services Group     Com      693475105           88          900 Shs  Def  15          900
Pp&L Capital Trust-8.20% Trust   Pfd      693497208          174        6,975 Shs  Def  12                     6,975
Pp&L Capital Tr Ii-8.10% Cum     Pfd      693498206          128        5,100 Shs  Def  12                     5,100
Pnm Res Inc                      Com      69349H107        6,905      225,200 Shs  Def   6      221,800                      3,400
Pnm Resources Inc                Com      69349H107            6          200 Shs  Def  12                       200
Pnm Resources Inc                Com      69349H107       20,096      655,445 Shs  Def   3      609,645                     45,800
Ppg Industries, Inc.             Com      693506107          348        6,332 Shs  Def   1        1,000                      5,332
Ppg Industries, Inc.             Com      693506107          730       13,300 Shs  Def   2       13,300
Ppg Inds Inc                     Com      693506107       17,960      327,080 Shs  Def   6      327,080
Ppg Industries, Inc.             Com      693506107           88        1,600 Shs  Def   7        1,600
Ppg Industries Inc               Com      693506107        3,050       55,552 Shs  Def  12                    55,552
Ppl Corporation                  Com      69351T106            8          210 Shs  Def   2          210
Ppl Corp                         Com      69351T106        1,017       25,670 Shs  Def   6       25,670
Ppl Corporation                  Com      69351T106          478       12,107 Shs  Def   9                                  12,107
Ppl Corporation                  Com      69351T106        1,102       27,817 Shs  Def  12                    27,817
Ppl Corporation                  Com      69351T106        5,943      150,000 Shs  Def  13      150,000
Ppl Electric Utilities Corp      Pfd      69351U202            1           12 Shs  Def  12                        12
Ppl Cap Fdg Tr I                 Pfd      69352F204          228       11,000 Shs  Def  12                    11,000
Pri Automation Inc               Com      69357H106            7          300 Shs  Def  12                       300
Psb Bancorp Inc                  Com      693604100           43        5,836 Shs  Def  12                     5,836
Ps Business Parks Inc            Com      69360J107           31          900 Shs  Def   3          900
Pss World Medical Inc            Com      69366A100           12        1,200 Shs  Def  12                     1,200
Pss World Medical Inc            Com      69366A100        1,444      147,350 Shs  Def   3      129,050                     18,300
Ptek Hldgs Inc                   Com      69366M104           33        8,127 Shs  Def  12                     8,127
Paccar Inc.                      Com      693718108          168        2,300 Shs  Def   2        2,300
Paccar Inc                       Com      693718108            3           40 Shs  Def   6           40
Paccar Inc                       Com      693718108            2           26 Shs  Def  12                        26
Pac-West Telecomm Inc            Com      69371Y101            2        5,210 Shs  Def  12                     5,210
Pacholder High Yield Fund Inc    Cl End Fd693742108            7          700 Shs  Def  12                       700
Pacific American Income Shares   Cl End Fd693796104        1,415       98,653 Shs  Def  12                    98,653
Pacific Cap Bancorp New          Com      69404P101        3,468      112,425 Shs  Def   7      112,425
Pacific Capital Bancorp          Com      69404P101           19          600 Shs  Def   3          600
Pacific Century Financial        Com      694058108           16          600 Shs  Def   2          600
Pacific Centy Finl Corp          Com      694058108        2,610      100,170 Shs  Def   6      100,170
Pacific Century Financial Corp.  Com      694058108          652       25,000 Shs  Def   7       25,000
Pacific Century Financial Corp   Com      694058108          111        4,251 Shs  Def  12                     4,251
Pacific Crest Cap Inc            Com      694166109          520       21,300 Shs  Def   6       20,000                      1,300
Pacific Crest Capital Inc        Com      694166109            1           21 Shs  Def  12                        21
Pacific Northwest Bancorp        Com      69466M103          526       20,000 Shs  Def   7       20,000
Pacificare Health Sys De         Com      695112102       20,741    1,188,590 Shs  Def   6    1,103,090                     85,500
Pacificare Health Systems Inc    Com      695112102           14          800 Shs  Def  12                       800
Pacificorp Capital I-8.25% Cum   Pfd      695115204           99        3,970 Shs  Def  12                     3,970
Pacificorp Capital Ii-7.70%      Pfd      69511N205           17          700 Shs  Def  12                       700
Packaging Corp Amer              Com      695156109            4          180 Shs  Def   6          180
Packaging Corp Amer              Com      695156109          446       22,525 Shs  Def  12                    22,525
Packeteer Inc                    Com      695210104            5          650 Shs  Def  12                       650
Pactiv Corp                      Com      695257105        1,137       56,816 Shs  Def  12                    56,816
Pactiv Corporation               Com      695257105       10,340      516,495 Shs  Def   3      512,495                      4,000
Pain Therapeutics Inc            Com      69562K100            5          500 Shs  Def  12                       500
Pall Corp.                       Com      696429307           49        2,400 Shs  Def   2        2,400
Pall Corp.                       Com      696429307          131        6,400 Shs  Def   9                                   6,400
Pall Corp                        Com      696429307          785       38,331 Shs  Def  12                    38,331
Pall Corp.                       Com      696429307        3,265      100,000 Shs  Def  15      100,000
Palm, Inc.                       Com      696642107           25        6,270 Shs  Def   2        6,270
Palm Inc                         Com      696642107          229       57,301 Shs  Def  12                    57,301
Palm Inc.                        Com      696642107            6        1,000 Shs  Def  15        1,000
Pamrapo Bancorp                  Com      697738102           41        1,500 Shs  Def   4        1,500
Pamrapo Bancorp Inc              Com      697738102           11          400 Shs  Def  12                       400
Panamsat Corp New                Com      697933109            7          310 Shs  Def   6          310
Pan Pacific Retail Properties    Com      69806L104           66        2,160 Shs  Def  12                     2,160
Pan Pac Retail Pptys Inc         Com      69806L104        1,036       33,900 Shs  Def   3       26,900                      7,000
***Pancanadian Energy Corp       Com      69831A107        1,550       52,116 Shs  Def  12                    52,116
Panera Bread Co Cl A             Com      69840W108          118        1,845 Shs  Def  12                     1,845
Papa Johns Intl Inc              Com      698813102        1,741       62,440 Shs  Def   6       62,440
Papa Johns International Inc     Com      698813102          148        5,300 Shs  Def  12                     5,300
Papa Johns International Inc     Com      698813102          490       17,570 Shs  Def   3       17,570
Paracelsian Inc                  Com      698898103           39      195,333 Shs  Def  12                   195,333
Paradigm Medical Industries      Com      69900Q108           29       10,000 Shs  Def  12                    10,000
Paradigm Genetics Inc            Com      69900R106            3        1,806 Shs  Def  12                     1,806
Paradyne Networks Inc            Com      69911G107            4        1,220 Shs  Def  12                     1,220
Paragon Technologies Inc         Com      69912T108           18        2,300 Shs  Def  12                     2,300
Parallel Pete Corp Del           Com      699157103          516      147,500 Shs  Def   6      142,300                      5,200
Parametric Technology Corp       Com      699173100           39        6,438 Shs  Def  12                     6,438
Parametric Technology Corp       Com      699173100        8,092    1,339,790 Shs  Def   3    1,308,390                     31,400
Parexel International Corp       Com      699462107          317       19,790 Shs  Def  12                    19,790
Park Electrochemical Corp        Com      700416209           29        1,000 Shs  Def  12                     1,000
Park National Corp               Com      700658107           16          160 Shs  Def   2          160
Park National Corp               Com      700658107          163        1,652 Shs  Def  12                     1,652
Park Ohio Inds Inc Ohio          Com      700677107            2          370 Shs  Def   2          370
Park Pl Entmt Corp               Com      700690100            7          620 Shs  Def   6          620
Parkplace Entertainment Corp     Com      700690100           57        5,443 Shs  Def  12                     5,443
Parker Drilling Co               Com      701081101           19        4,200 Shs  Def  12                     4,200
Parker Hannifin Corp.            Com      701094104           58        1,162 Shs  Def   2        1,162
Parker Hannifin Corp             Com      701094104            3           60 Shs  Def   6           60
Parker Hannifin Corp             Com      701094104          732       14,668 Shs  Def  12                    14,668
Parkvale Finl Corp               Com      701492100        2,200       87,649 Shs  Def   6       85,249                      2,400
Parkvale Financial Corp          Com      701492100          964       38,411 Shs  Def  12                    38,411
Partner Re Cap Trust I           Pfd      70212C209          171        6,900 Shs  Def  12                     6,900
Patina Oil & Gas Corp            Com      703224105          113        3,600 Shs  Def   3        3,600
Patriot Bank Corp Pa             Com      70335P103          161       11,700 Shs  Def   6       11,700
Patriot Bank Corporation Pa      Com      70335P103            1          100 Shs  Def  12                       100
Patriot Scientific Corp          Com      70336N107            1        6,000 Shs  Def  12                     6,000
Patterson Dental Co              Com      703412106          188        4,294 Shs  Def  12                     4,294
Patterson Uti Energy Inc         Com      703481101        6,694      225,100 Shs  Def   6      223,800                      1,300
Patterson-Uti Energy Inc         Com      703481101           90        3,022 Shs  Def  12                     3,022
Pentair Inc.                     Com      703631105       67,455    1,500,000 Shs  Def  14    1,500,000
Paxar Corp                       Com      704227107           67        4,000 Shs  Def  12                     4,000
Paxar Corp                       Com      704227107        3,678      218,250 Shs  Def   3      204,150                     14,100
Paxson Communications Corp       Com      704231109          358       32,700 Shs  Def  12                    32,700
Paychex, Inc.                    Com      704326107        8,812      221,975 Shs  Def   1       79,100                    142,875
Paychex Inc.                     Com      704326107            6          150 Shs  Def   2          150
Paychex Inc.                     Com      704326107          224        5,717 Shs  Def   9                                   5,717
Paychex Inc                      Com      704326107        1,074       27,065 Shs  Def  11       20,290        6,425
Paychex Inc                      Com      704326107          519       13,074 Shs  Def  12                    13,074
Payless Shoesource Inc           Com      704379106       17,943      293,900 Shs  Def   6      287,300                      6,600
Payless Shoesource Inc           Com      704379106          224        3,669 Shs  Def  12                     3,669
Peabody Energy Corp C            Com      704549104       18,224      623,230 Shs  Def   6      540,710                     82,520
Peabody Energy Corporation       Com      704549104          139        4,800 Shs  Def  12                     4,800
Peapack-Gladstone Financial Co   Com      704692102        1,475       37,062 Shs  Def   1                                  37,062
Peapack-Gladstone Financial      Com      704699107           12          236 Shs  Def  12                       236
Pec Solutions Inc                Com      705107100           23          950 Shs  Def  12                       950
Pec Solutions Inc                Com      705107100        1,881       76,500 Shs  Def   3       71,100                      5,400
Pechiney Sponsored Ad            Com      705151207        3,983      148,628 Shs  Def   6      146,268                      2,360
Peco Ii Inc                      Com      705221109            2          500 Shs  Def  12                       500
Pediatrix Med Group Com          Com      705324101          143        3,500 Shs  Def   3        3,500
Peet'S Coffee & Tea Inc.         Com      705560100           54        4,200 Shs  Def   2        4,200
Peets Coffee & Tea Inc           Com      705560100            6          500 Shs  Def  12                       500
Pegasus Communications Corp      Com      705904100            8        2,500 Shs  Def  12                     2,500
Penelec Capital Trust 7.34%      Pfd      706871209           37        1,600 Shs  Def  12                     1,600
Pfizer                           Com      707081103          404       10,163 Shs  Def   4       10,163
Penn Engr & Mfg Corp             Com      707389102          512       28,600 Shs  Def   6       28,600
Penn Engr & Mfg Corp             Com      707389300        1,022       54,400 Shs  Def   6       51,900                      2,500
Penn National Gaming Inc         Com      707569109           11          300 Shs  Def  12                       300
Penn National Gaming             Com      707569109           18          500 Shs  Def                           500
Penn National Gaming Inc         Com      707569109        5,805      165,760 Shs  Def   3      160,260                      5,500
Penn Treaty Amern Corp           Com      707874103          627      111,200 Shs  Def   6      111,200
Penn Treaty American Corp        Com      707874103           11        2,000 Shs  Def  12                     2,000
Penn Va Corp                     Com      707882106        5,116      127,430 Shs  Def   6      124,130                      3,300
Penn Virginia Corp               Com      707882106        1,320       32,874 Shs  Def  12                    32,874
Penn Va Corp  Com  Nasd Indl     Com      707882106          385        9,600 Shs  Def   3        8,700                        900
Penn Va Resource Partners L P    Com      707884102        1,405       58,904 Shs  Def  12                    58,904
Penney (J C) Co Inc.             Com      708160106           17          800 Shs  Def   2          800
Penney J C Inc                   Com      708160106          250       12,070 Shs  Def   6       12,070
J C Penney Co Inc                Com      708160106          243       11,727 Shs  Def  12                    11,727
Penney J C Inc.                  Com      708160106           33        1,000 Shs  Def  15        1,000
Jc Penney Co Inc (Holding Co)    Com      708160106        3,918      189,200 Shs  Def   3      162,200                     27,000
Pennfed Capital Trust I-8.90%    Pfd      708166202           13          500 Shs  Def  12                       500
Pennfed Finl Svcs Inc            Com      708167101        1,744       64,000 Shs  Def   6       60,500                      3,500
Pennrock Financial Services      Com      708352109            3          105 Shs  Def  12                       105
Pennsylvania Commerce            Com      708677109          923       22,168 Shs  Def   7       22,168
Pennsylvania Commerce            Com      708677109           77        1,857 Shs  Def  12                     1,857
Pa Rl Est Invt Tr.               Sh Ben In709102107          115        4,499 Shs  Def   9                                   4,499
Pennsylvania Real Estate         Com      709102107           49        1,904 Shs  Def  12                     1,904
Pennzoil-Quaker State Co         Com      709323109          119        5,526 Shs  Def  12                     5,526
Pennzoil-Quaker State Co         Com      709323109        5,095      237,330 Shs  Def   3      214,830                     22,500
Pentair Inc                      Com      709631105            4          100 Shs  Def   6          100
Pentair Inc                      Com      709631105          832       18,495 Shs  Def  12                    18,495
Penton Media Inc.                Com      709668107            2          300 Shs  Def   2          300
Peoples Bancorp Inc              Com      709789101          840       35,000 Shs  Def   6       34,000                      1,000
Peoples Bancorp Inc-Oh           Com      709789101           94        3,935 Shs  Def  12                     3,935
Peoples Bancshares Capital Tr    Pfd      709793202           51        5,000 Shs  Def  12                     5,000
Peoples Bk Bridgeport Conn       Com      710198102            3          111 Shs  Def   6          111
Peoples Bank-Bridgeport Conn     Com      710198102           52        2,100 Shs  Def  12                     2,100
Peoples Bancorp Of N C Inc       Com      710577107            8          462 Shs  Def  12                       462
Peoples Energy Corp.             Com      711030106           24          600 Shs  Def   2          600
Peoples Energy Corp              Com      711030106       22,742      577,500 Shs  Def   6      561,500                     16,000
Peoples Energy Corp              Com      711030106           28          708 Shs  Def  12                       708
Peoplesoft, Inc.                 Com      712713106        1,100       30,100 Shs  Def   1        8,000                     22,100
Peoplesoft Inc.                  Com      712713106           22          600 Shs  Def   2          600
Peoplesoft Inc                   Com      712713106          379       10,365 Shs  Def  12                    10,365
Pep Boys Manny Moe & Jack        Com      713278109          312       19,508 Shs  Def   9                                  19,508
Pep Boys-Manny Moe & Jack        Com      713278109          149        8,965 Shs  Def  12                     8,965
Pep Boys-Manny Moe & Jack        Com      713278109        4,642      278,990 Shs  Def   3      253,490                     25,500
Pepsi Bottling Group Inc         Com      713409100            5          200 Shs  Def   6          200
Pepsi Bottling Group             Com      713409100       17,245      666,600 Shs  Def   3      646,200                     20,400
Pepsiamericas, Inc.              Com      71343P200           25        1,767 Shs  Def   2        1,767
Pepsiamericas Inc                Com      71343P200            5          330 Shs  Def   6          330
Pepsiamericas Inc                Com      71343P200          186       12,870 Shs  Def  12                    12,870
Pepsico                          Com      713448108       13,392      260,044 Shs  Def   1       90,950                    169,094
Pepsico, Inc.                    Com      713448108       10,734      208,433 Shs  Def   2      205,673                      2,760
Pepsico                          Com      713448108           90        1,753 Shs  Def   4        1,753
Pepsico Inc Com                  Com      713448108        3,953       76,751 Shs  Def   5       59,951                     16,800
Pepsico Inc Nc                   Com      713448108          900       17,473 Shs  Def   6       17,473
Pepsico, Inc.                    Com      713448108        1,092       21,200 Shs  Def   7       21,200
Pepsico, Inc.                    Com      713448108        2,028       39,431 Shs  Def   9                                  39,431
Pepsico Inc                      Com      713448108       16,852      327,221 Shs  Def  11       45,965      279,611         1,016
Pepsico Inc                      Com      713448108       17,703      343,744 Shs  Def  12                   343,744
Pepsico Inc.                     Com      713448108        3,291       40,100 Shs  Def  15       40,100
Pepsico Inc                      Com      713448108          332        6,500 Shs  Def                         6,500
Pepsico Inc  Com                 Com      713448108       11,067      214,897 Shs  Def   3      206,597                      8,300
Peregrine Pharmaceuticals Inc    Com      713661106            2        1,000 Shs  Def  12                     1,000
Peregrine Systems Inc            Com      71366Q101          203       21,283 Shs  Def  12                    21,283
Peregrine Systems Inc.           Com      71366Q101           23        1,500 Shs  Def  15        1,500
Performance Food Group Co        Com      713755106          194        5,935 Shs  Def  12                     5,935
Performance Technologies Inc     Com      71376K102            4          500 Shs  Def  12                       500
Perini Corp                      Com      713839108          697      121,300 Shs  Def   6      119,200                      2,100
Perkinelmer, Inc.                Com      714046109            3          176 Shs  Def   2          176
Perkinelmer Inc                  Com      714046109          108        5,830 Shs  Def  12                     5,830
Perot Systems Corp               Com      714265105          217       10,875 Shs  Def  12                    10,875
Perot Systems Corp Cl A          Com      714265105          132        6,600 Shs  Def   3        6,600
Perrigo Company                  Com      714290103            6          500 Shs  Def   2          500
Perrigo Co                       Com      714290103            2          200 Shs  Def  12                       200
Perrigo Co Com Nasd Indl         Com      714290103        6,256      523,530 Shs  Def   3      492,630                     30,900
Pervasive Software Inc           Com      715710109            2          500 Shs  Def  12                       500
Petco Animal Supplies Inc. New   Com      716016209           68        2,900 Shs  Def                         2,900
Petrocorp Inc                    Com      71645N101        1,223      124,200 Shs  Def   6      120,500                      3,700
Petroleum & Resources Corp       Cl End Fd716549100           92        3,654 Shs  Def  12                     3,654
Petroleo Brasileiro S.A. - Adr   ADR      71654V101       16,603      666,000 Shs  Def   3      666,000
Petroleo Brasileiro S.A.-Adr     ADR      71654V408          368       13,900 Shs  Def   3       13,900
Petroleum Dev Corp               Com      716578109        1,678      262,300 Shs  Def   6      254,400                      7,900
Petroleum Development Corp-Nev   Com      716578109            6        1,000 Shs  Def  12                     1,000
***Petroquest Energy Inc         Com      716748108          152       26,500 Shs  Def  12                    26,500
Petsmart Inc                     Com      716768106           43        3,150 Shs  Def  12                     3,150
Petsmart Inc                     Com      716768106        4,178      308,130 Shs  Def   3      278,630                     29,500
Pfizer, Inc.                     Com      717081103       43,710    1,099,887 Shs  Def   1      287,067                    812,820
Pfizer Inc.                      Com      717081103       27,202      684,495 Shs  Def   2      682,695                      1,800
Pfizer Inc Com                   Com      717081103       10,664      268,351 Shs  Def   5      229,880                     38,471
Pfizer Inc                       Com      717081103           12          296 Shs  Def   6          296
Pfizer Inc.                      Com      717081103       14,609      367,605 Shs  Def   7      367,605
Pfizer Inc.                      Com      717081103        4,810      119,913 Shs  Def   9                                 119,913
Pfizer Inc                       Com      717081103        4,614      116,097 Shs  Def  11       93,724       21,105           968
Pfizer Inc                       Com      717081103       41,247    1,037,915 Shs  Def  12                 1,037,915
Pfizer Inc.                      Com      717081103       14,193      226,025 Shs  Def  15      226,025
Pfizer Inc                       Com      717081103          519       13,000 Shs  Def                        13,000
Pfizer Inc  Com                  Com      717081103       64,087    1,612,651 Shs  Def   3    1,553,051                     59,600
Pharmaceutical Product           Com      717124101          912       26,164 Shs  Def  12                    26,164
Pharmaceutical Resources Inc     Com      717125108          149        7,050 Shs  Def  12                     7,050
Pharmaceutical Res Inc Com       Com      717125108          342       16,140 Shs  Def   3       16,140
Pharmaceutical Holdrs Tr         Com      71712A206           38          400 Shs  Def  12                       400
Pharmacopeia Inc.                Com      71713B104          748       53,500 Shs  Def   9                                  53,500
Pharmacopeia Inc                 Com      71713B104          129        9,712 Shs  Def  12                     9,712
Pharmanetics Inc                 Com      71713J107           42        5,750 Shs  Def  12                     5,750
Pharmacia Corp                   Com      71713U102        5,487      121,718 Shs  Def   2      117,648                      4,070
Pharmacia                        Com      71713U102           18          400 Shs  Def   4          400
Pharmacia Corporation            Com      71713U102        6,032      133,801 Shs  Def   5       98,282                     35,519
Pharmacia Corp                   Com      71713U102          992       22,006 Shs  Def   6       21,947                         59
Pharmacia Corp                   Com      71713U102           78        1,726 Shs  Def   7        1,726
Pharmacia Corp                   Com      71713U102          468       10,385 Shs  Def  11        9,151        1,234
Pharmacia Corp                   Com      71713U102        6,221      138,008 Shs  Def  12                   138,008
Pharmacia Corp.                  Com      71713U102       11,000      153,133 Shs  Def  15      153,133
Pharmacia Corporation            Com      71713U102       14,662      325,236 Shs  Def   3      317,147                      8,089
Phelps Dodge                     Com      717265102           10          240 Shs  Def   2          240
Phelps Dodge Corp                Com      717265102        5,372      127,610 Shs  Def   6      127,610
Phelps Dodge Corp                Com      717265102          271        6,433 Shs  Def  12                     6,433
Philadelphia Cons Hldg Co.       Com      717528103        5,212      130,950 Shs  Def   7      130,950
Philadelphia Consolidated        Com      717528103           40        1,000 Shs  Def  12                     1,000
Phila Auth Indl Dev Pension      Pfd      71781M206           61        2,500 Shs  Def  12                     2,500
Philadelphia Suburban Corp New   Com      718009608          121        5,166 Shs  Def  12                     5,166
Philip Morris Cos.               Com      718154107        1,143       21,700 Shs  Def   1        8,000                     13,700
Philip Morris Companies          Com      718154107        3,828       72,675 Shs  Def   2       72,675
Philip Morris Cos Inc Com        Com      718154107        1,317       25,000 Shs  Def   5       20,550                      4,450
Philip Morris Cos Inc            Com      718154107        2,078       39,445 Shs  Def   6       39,445
Philip Morris Companies Inc.     Com      718154107           13          242 Shs  Def   9                                     242
Philip Morris Companies Inc      Com      718154107          408        7,740 Shs  Def  11        5,415        2,325
Philip Morris Companies Inc      Com      718154107       13,681      259,758 Shs  Def  12                   259,758
Philip Morris Companies          Com      718154107       14,212      170,860 Shs  Def  15      170,860
Philip Morris Cos Inc  Com       Com      718154107       42,522      807,336 Shs  Def   3      779,136                     28,200
Phillips Petroleum Company       Com      718507106        4,467       71,138 Shs  Def   2       71,138
Phillips Petroleum Co Com        Com      718507106        2,136       34,013 Shs  Def   5       25,673                      8,340
Phillips Petroleum Co            Com      718507106       24,334      387,425 Shs  Def   6      383,385                      4,040
Phillips Petroleum Co            Com      718507106        2,267       36,101 Shs  Def  12                    36,101
Phillips Pete Co  Com            Com      718507106        8,170      130,100 Shs  Def   3      124,600                      5,500
Phillips 66 Capital I-8.24%      Pfd      718550205          147        5,816 Shs  Def  12                     5,816
Phillips Van Heusen Corp         Com      718592108        6,248      442,800 Shs  Def   6      430,400                     12,400
Phillips Van Heusen Corp         Com      718592108           78        5,550 Shs  Def  12                     5,550
Phillips Van Heusen Corp  Com    Com      718592108          565       40,060 Shs  Def   3       40,060
The Phoenix Companies, Inc.      Com      71902E109           37        1,941 Shs  Def   2        1,941
Phoenix Companies Inc New        Com      71902E109            5          260 Shs  Def   6          260
Phoenix Companies Inc New        Com      71902E109           16          822 Shs  Def  12                       822
Phoenix Cos Inc New              Pfd      71902E208           10          400 Shs  Def  12                       400
Photon Dynamics Inc              Com      719364101            9          175 Shs  Def  12                       175
Photon Dynamics Inc.             Com      719364101           33          650 Shs  Def                           650
Photronics Inc                   Com      719405102        2,682       79,510 Shs  Def   3       79,510
Phycogen Inc Com                 Com      7194099A4          200       10,288 Shs  Def   5       10,288
Piccadilly Cafeterias Inc        Com      719567109            4        1,485 Shs  Def  12                     1,485
Piedmont Natural Gas Co          Com      720186105           28          800 Shs  Def   2          800
Piedmont Natural Gas Co Inc      Com      720186105          736       20,675 Shs  Def  12                    20,675
Pier 1 Imports Inc.              Com      720279108           21        1,000 Shs  Def   2        1,000
Pier 1 Imports Inc               Com      720279108        1,155       56,100 Shs  Def   6       55,300                        800
Pier 1 Imports Inc               Com      720279108          151        7,320 Shs  Def  12                     7,320
Pier 1 Imports Inc Del  Com      Com      720279108          105        5,110 Shs  Def   3        5,110
Pilgrims Pride Corp              Com      721467108        9,051      650,749 Shs  Def   6      640,999          935         8,815
Pilgrim Pride Corp Com           Com      721467108          158       11,300 Shs  Def   3       11,300
Pilgrims Pride Corp              Com      721467207        2,159      200,860 Shs  Def   6      194,810                      6,050
Pimco Mun Income Fund            Cl End Fd72200R107            7          500 Shs  Def  12                       500
Pimco Strategic Global Govt Fd   Cl End Fd72200X104          140       12,800 Shs  Def  12                    12,800
Pinelawn Cemetery                Com      723104105           29          200 Shs  Def  12                       200
Pinnacle Entertainment Inc       Com      723456109          541       67,145 Shs  Def  12                    67,145
Pinnacle Entertainment, Inc.     Com      723456109       14,508    1,800,000 Shs  Def  14    1,800,000
Pinnacle Bankshares Corp         Com      72345E102           24        1,794 Shs  Def  12                     1,794
Pinnacle Systems Inc             Com      723481107           13        1,600 Shs  Def  12                     1,600
Pinnacle West Cap Corp           Com      723484101            8          180 Shs  Def   6          180
Pinnacle West Capital Corp       Com      723484101           52        1,150 Shs  Def  12                     1,150
Pinnacle West Cap Corp  Com      Com      723484101          118        2,610 Shs  Def   3        2,610
Pioneer Interest Shares          Cl End Fd723703104           50        4,400 Shs  Def  12                     4,400
Pioneer Natural Resources Co     Com      723787107            8          348 Shs  Def   6          348
Pioneer Natural Resources Co     Com      723787107           12          544 Shs  Def  12                       544
Pioneer Railcorp                 Com      723839106            1        1,000 Shs  Def  12                     1,000
Pioneer Standard                 Com      723877106          754       53,300 Shs  Def   2       53,300
Pioneer Std Electrs Inc          Com      723877106        4,048      286,100 Shs  Def   6      276,400                      9,700
Pioneer Standard Electronics     Com      723877106           61        4,277 Shs  Def  12                     4,277
Pitney-Bowes, Inc.               Com      724479100          896       20,937 Shs  Def   2       20,937
Pitney Bowes Inc                 Com      724479100        1,214       28,430 Shs  Def   6       21,250                      7,180
Pitney-Bowes, Inc.               Com      724479100        2,162       50,600 Shs  Def   9                                  50,600
Pitney Bowes Inc Avec Droits     Com      724479100        1,526       35,662 Shs  Def  12                    35,662
Pitney Bowes Inc  Com            Com      724479100        1,280       29,900 Shs  Def   3       29,900
Pittsburgh & West Virginia       Com      724819107            8        1,000 Shs  Def  12                     1,000
Pittsburgh Financial Corp        Com      725098107           21        1,500 Shs  Def  12                     1,500
Pittston Co  Com Brinks Grp      Com      725701106        1,326       52,820 Shs  Def   3       46,720                      6,100
Pixar                            Com      725811103        1,985       53,930 Shs  Def   6       53,930
Pixar                            Com      725811103           56        1,525 Shs  Def  12                     1,525
Pixelworks Inc                   Com      72581M107          688       53,400 Shs  Def   3       53,400
***Pivotal Corp                  Com      72581R106            1          300 Shs  Def  12                       300
Placer Dome Inc.                 Com      725906101           25        2,042 Shs  Def   2        2,042
***Placer Dome Inc               Com      725906101        1,297      105,840 Shs  Def  12                   105,840
***Placer Dome Inc-8.625% Cdn    Pfd      725906200           31        1,300 Shs  Def  12                     1,300
Plains All American Pipeline     Com      726503105          145        5,781 Shs  Def  12                     5,781
Plains Resources Inc. New        Com      726540503          597       24,000 Shs  Def   2       24,000
Planar Systems Inc               Com      726900103           16          600 Shs  Def  12                       600
Planar Systems Inc               Com      726900103        2,878      109,620 Shs  Def   3      106,120                      3,500
Plan Vista Corp                  Com      72701P105            2          322 Shs  Def  12                       322
Plantronics Inc New              Com      727493108           36        1,700 Shs  Def  12                     1,700
Playboy Enterprises Inc          Com      728117300           68        4,000 Shs  Def  12                     4,000
Playtex Products Inc             Com      72813P100            4          375 Shs  Def  12                       375
Playtex Products Inc             Com      72813P100          404       37,200 Shs  Def   3       37,200
Plug Pwr Inc                     Com      72919P103            2          150 Shs  Def  12                       150
Plum Creek Timber                Com      729251108          154        5,193 Shs  Def   2        5,193
Plum Creek Timber                Com      729251108           42        1,400 Shs  Def   4        1,400
Plum Creek Timber Company, Inc   Com      729251108          422       14,200 Shs  Def   5       14,200
Plum Creek Timber Company, Inc.  Com      729251108           21          708 Shs  Def   7          708
Plum Creek Timber Co Inc         Com      729251108        1,889       63,591 Shs  Def  12                    63,591
Pogo Producing Co                Com      730448107       11,656      367,698 Shs  Def   6      356,998                     10,700
Pogo Producing Co                Com      730448107           32        1,000 Shs  Def  12                     1,000
Pohang Iron & Steel Co, Ltd      ADR      730450103          136        5,200 Shs  Def   2        4,500                        700
Pohang Iron & Stl Ltd            Com      730450103       13,055      491,803 Shs  Def   6      463,923                     27,880
Pohang Iron & Steel Adr          ADR      730450103        4,451      170,200 Shs  Def   3      170,200
Polaris Inds Inc                 Com      731068102        1,134       17,800 Shs  Def   6       17,800
Polaris Inds Inc Com             Com      731068102       10,674      167,560 Shs  Def   3      155,460                     12,100
Polo Ralph Lauren Corp           Com      731572103            6          210 Shs  Def   6          210
Polo Ralph Lauren Cl A           Com      731572103          233        8,000 Shs  Def   3        8,000
Polycom Inc                      Com      73172K104            5          200 Shs  Def   2          200
Polycom Inc                      Com      73172K104          291       11,830 Shs  Def  12                    11,830
Polymedica Corp                  Com      731738100           99        3,880 Shs  Def  12                     3,880
Polymer Group Inc                Com      731745105            3        5,934 Shs  Def  12                     5,934
Polyone Corp                     Com      73179P106        1,014       83,350 Shs  Def   6       67,050                     16,300
Polyone Corp                     Com      73179P106          110        9,000 Shs  Def                         9,000
Polyone Corporation              Com      73179P106          475       38,900 Shs  Def   3       38,900
Pomeroy Computer                 Com      731822102           27        1,757 Shs  Def   2        1,757
Pomeroy Computer Res             Com      731822102        3,252      214,200 Shs  Def   6      206,800                      7,400
Pope & Talbot Inc                Com      732827100            4          300 Shs  Def  12                       300
***Popular Inc                   Com      733174106        1,783       61,025 Shs  Def  12                    61,025
Popular Inc Com                  Com      733174106        9,234      316,015 Shs  Def   3      299,515                     16,500
Portal Software Inc              Com      736126103            1          300 Shs  Def   2          300
Portal Software                  Com      736126103           96       50,000 Shs  Def   4       50,000
Portal Software Inc              Com      736126103           40       20,873 Shs  Def  12                    20,873
Portland General Electric Co     Com      736508854            7          300 Shs  Def  12                       300
Portugal Tel.(737273102)         Com      737273102           53        7,140 Shs  Def   6        7,140
Possis Medical Inc.              Com      737407106            6          300 Shs  Def   2          300
Possis Medical Inc  Com          Com      737407106          433       22,000 Shs  Def   3       19,400                      2,600
Post Properties Inc.             Com      737464107        1,223       36,385 Shs  Def   2       36,385
Post Properties Inc              Com      737464107          141        4,193 Shs  Def  12                     4,193
Post Properties Inc-7.625% Cum   Pfd      737464404           28        1,250 Shs  Def  12                     1,250
***Potash Corp Of Saskatchewan   Com      73755L107           20          300 Shs  Def  12                       300
Potomac Electric Power Co        Com      737679100           40        1,710 Shs  Def   2        1,710
Potomac Elec Pwr Co              Com      737679100            5          230 Shs  Def   6          230
Potomac Electric Power Co        Com      737679100        1,550       66,381 Shs  Def  12                    66,381
Potomac Elec Pwr Co  Com         Com      737679100           47        2,000 Shs  Def   3          600                      1,400
Potomac Electric Power Co Tr I   Pfd      73767N208           85        3,450 Shs  Def  12                     3,450
Powergen Plc-Sponsored           ADR      738905405           66        1,500 Shs  Def   2        1,500
Power-One Inc                    Com      739308104           35        4,250 Shs  Def  12                     4,250
Powerwave Technologies Inc       Com      739363109           23        1,800 Shs  Def  12                     1,800
Pozen Inc                        Com      73941U102            3          500 Shs  Def  12                       500
Praecis Pharmaceuticals Inc      Com      739421105           66       12,625 Shs  Def  12                    12,625
Praxair Inc.                     Com      74005P104           60        1,000 Shs  Def   2        1,000
Praxair Inc                      Com      74005P104        1,115       18,650 Shs  Def   5       18,650
Praxair Inc                      Com      74005P104        1,203       20,180 Shs  Def   6       15,580                      4,600
Praxair Inc.                     Com      74005P104        2,775       46,400 Shs  Def   7       46,400
Praxair Inc                      Com      74005P104          378        6,324 Shs  Def  12                     6,324
Praxair                          Com      74005P104           95        1,000 Shs  Def  15        1,000
Pre-Paid Legal Services Inc      Com      740065107           37        1,300 Shs  Def  12                     1,300
Precision Castparts C            Com      740189105       16,008      451,164 Shs  Def   6      445,244          390         5,530
Precision Castparts Corp         Com      740189105          107        3,025 Shs  Def  12                     3,025
Precision Castparts Corp  Com    Com      740189105       14,855      419,515 Shs  Def   3      397,615                     21,900
Precision Drilling Corp          Com      74022D100           61        1,900 Shs  Def                         1,900
Precision Drilling Corp Com      Com      74022D100          400       12,500 Shs  Def   3        4,800                      7,700
Predictive Systems Inc           Com      74036W102            2        1,200 Shs  Def  12                     1,200
Preferred Income Opportunity     Cl End Fd74037H104           14        1,200 Shs  Def  12                     1,200
Preferredplus Tr                 Pfd      740434402           20        1,000 Shs  Def  12                     1,000
Prentiss Properties Trust-Sbi    Com      740706106            7          225 Shs  Def  12                       225
Prentiss Pptys Trust             Com      740706106          242        8,200 Shs  Def   3        8,200
President Casinos Inc New        Com      740822309            1        1,000 Shs  Def  12                     1,000
Presidential Life Corp           Com      740884101           93        4,098 Shs  Def  12                     4,098
Presidential Realty Corp New     Com      741004105            1          100 Shs  Def  12                       100
Presidential Realty Corp New     Com      741004204            1          100 Shs  Def  12                       100
Presstek Inc                     Com      741113104            2          338 Shs  Def  12                       338
Prestige Bancorp Inc             Com      741115109            2          175 Shs  Def  12                       175
Price Communications Corp New    Com      741437305          224       12,700 Shs  Def  12                    12,700
Price Commun Corp Common Stk.    Com      741437305            9          536 Shs  Def              536
Price Legacy Corp                Com      74144P205            8          500 Shs  Def  12                       500
Price T Rowe Group Inc           Com      74144T108        3,603       92,560 Shs  Def  12                    92,560
Priceline.Com Inc                Com      741503106          100       19,200 Shs  Def  12                    19,200
Pride Intl Inc Del               Com      74153Q102          491       30,880 Shs  Def   6       30,380                        500
Pride International Inc          Com      74153Q102           52        3,300 Shs  Def  12                     3,300
Prime Med Svcs Inc New           Com      74156D108        1,916      252,800 Shs  Def   6      243,500                      9,300
Prime Medical Services Inc New   Com      74156D108            8        1,000 Shs  Def  12                     1,000
Prime Retail Inc                 Com      741570105            4       22,498 Shs  Def  12                    22,498
Prime Retail Inc-8.50% Conv      Pfd      741570303            7        1,697 Shs  Def  12                     1,697
Primedia Inc                     Com      74157K101           93       29,400 Shs  Def  12                    29,400
Prime Group Realty Trust-Sbi     Com      74158J103           16        2,025 Shs  Def  12                     2,025
Prime Group Realty Trust 9.0%    Pfd      74158J202           68        4,150 Shs  Def  12                     4,150
Prime Hospitality Corp           Com      741917108        6,578      500,200 Shs  Def   6      490,300                      9,900
Primus Telecommunications        Com      741929103            3        6,250 Shs  Def  12                     6,250
Pride International Inc.         Com      741932107           80        5,000 Shs  Def   2        5,000
Princeton Review Inc             Com      742352107           50        5,800 Shs  Def  12                     5,800
Princeton Video Image Inc        Com      742476104            1          500 Shs  Def  12                       500
Principal Financial Group        Com      74251V102        2,209       87,300 Shs  Def   2       86,300                      1,000
Principal Financial Group        Com      74251V102          981       38,775 Shs  Def   5       32,025                      6,750
Principal Financial Grou         Com      74251V102           40        1,600 Shs  Def   6        1,600
Principal Financial Group Inc    Com      74251V102          333       13,167 Shs  Def  12                    13,167
Priority Healthcare Corp-Cl B    Com      74264T102            2           80 Shs  Def  12                        80
Probusiness Services Inc         Com      742674104            6          300 Shs  Def  12                       300
Privatebancorp Capital Tr I      Pfd      74268E200           94        8,500 Shs  Def  12                     8,500
Procter & Gamble Co.             Com      742718109        1,752       19,450 Shs  Def   1        1,050                     18,400
Procter & Gamble Co.             Com      742718109       50,459      560,094 Shs  Def   2      556,286                      3,808
Procter & Gamble                 Com      742718109          450        5,000 Shs  Def   4        5,000
Procter & Gamble Co Com          Com      742718109       15,251      169,281 Shs  Def   5      163,872                      5,409
Procter & Gamble                 Com      742718109        6,479       71,915 Shs  Def   6       71,915
Procter & Gamble Co.             Com      742718109       11,271      125,112 Shs  Def   7      125,112
Procter & Gamble Co.             Com      742718109          972       10,798 Shs  Def   9                                  10,798
Procter & Gamble Co              Com      742718109        7,232       80,274 Shs  Def  11       66,337       13,797           140
Procter & Gamble Co              Com      742718109       27,910      309,798 Shs  Def  12                   309,798
Procter & Gamble Co.             Com      742718109        8,896       61,965 Shs  Def  15       61,965
Procter & Gamble Co  Com         Com      742718109       44,647      495,581 Shs  Def   3      476,681                     18,900
***Procyon Biopharma Inc         Com      74280P100           31       35,000 Shs  Def  12                    35,000
Progenics Pharmaceuticals Inc    Com      743187106            8          500 Shs  Def  12                       500
Progress Energy Inc.             Com      743263105          757       15,130 Shs  Def   2       15,130
Progress Energy Inc              Com      743263105           63        1,254 Shs  Def   6        1,254
Progress Energy Inc              Com      743263105          306        6,150 Shs  Def   9                                   6,150
Progress Energy Inc              Com      743263105          332        6,626 Shs  Def  11        5,326        1,050
Progress Energy Inc              Com      743263105        2,732       54,590 Shs  Def  12                    54,590
Progress Energy Inc.             Com      743263105          104        1,300 Shs  Def  15        1,300
Progress Energy Inc              Com      743263105        8,392      167,700 Shs  Def   3      167,700
Progress Finl Corp               Com      743266108          291       32,500 Shs  Def   6       30,000                      2,500
Progress Software Co             Com      743312100        2,566      141,470 Shs  Def   3      135,570                      5,900
Progressive Corp Ohio            Com      743315103            2           10 Shs  Def   6           10
Progressive Corp-Ohio            Com      743315103          200        1,203 Shs  Def  12                     1,203
Progressive Return Fd Inc        Com      743376105            1          210 Shs  Def  12                       210
Prologis Trust                   Com      743410102           71        3,050 Shs  Def   2        3,050
Prologis Trust                   Com      743410102          761       32,584 Shs  Def  12                    32,584
Prologis Trust                   Pfd      743410508          172        7,126 Shs  Def  12                     7,126
Prologis Trust                   Pfd      743410607           51        2,000 Shs  Def  12                     2,000
***Prometic Life Sciences        Com      74342Q104            1        1,100 Shs  Def  12                     1,100
Prophet 21                       Com      743459109            1          100 Shs  Def   4          100
Proquest Company                 Com      74346P102            9          200 Shs  Def  12                       200
Proquest Company                 Com      74346P102          424        9,855 Shs  Def   3        9,855
Prosoft Training                 Com      743477101            1          650 Shs  Def  12                       650
Prospect Street High Income      Cl End Fd743586406           11        2,236 Shs  Def  12                     2,236
Protective Life Corp             Com      743674103            4          140 Shs  Def   6          140
Protective Life Corp.            Com      743674103        3,952      126,750 Shs  Def   7      126,750
Protective Life Corp             Com      743674103          100        3,200 Shs  Def  12                     3,200
Protein Polymer Technologies     Com      743697104            1          750 Shs  Def  12                       750
Protein Design Labs, Inc.        Com      74369L103            2          100 Shs  Def   4          100
Protein Design Labs Inc          Com      74369L103           16          930 Shs  Def  12                       930
Proton Energy System Inc         Com      74371K101           20        3,000 Shs  Def  12                     3,000
Provident Bankshares             Com      743859100           10          414 Shs  Def   4          414
Provident Bankshares Corp        Com      743859100        1,453       60,561 Shs  Def  12                    60,561
Provident Financial Grp          Com      743866105          153        5,321 Shs  Def   2        5,321
Provident Financial Group        Com      743866105          577       20,029 Shs  Def   4       20,029
Provident Financial Group Inc    Com      743866105           12          425 Shs  Def  12                       425
Provident Finl Hldgs Inc         Com      743868101          222        7,500 Shs  Def   6        7,500
Provident Capital Trust Ii       Pfd      74386E207           14          600 Shs  Def  12                       600
Provident Capital Trust Iii      Pfd      74386F303          101        4,000 Shs  Def  12                     4,000
Provident Cap Trust Iv           Pfd      74386H200           10          400 Shs  Def  12                       400
***Provident Energy Trust        Com      74386K104           62        9,500 Shs  Def  12                     9,500
Province Healthcare Co           Com      743977100           19          600 Shs  Def  12                       600
Provident Trust Ii               Pfd      74405Y200          338       12,705 Shs  Def  12                    12,705
Providian Financial Corp.        Com      74406A102            3          400 Shs  Def   2          400
Providian Financial Corp.        Com      74406A102       18,451    2,443,900 Shs  Def   8                 2,443,900
Providian                        Com      74406A102           14        1,800 Shs  Def   9                     1,800
Providian Financial Corp.        Com      74406A102      102,680   13,600,000 Shs  Def  10   13,600,000
Providian Financial Corp         Com      74406A102          216       28,571 Shs  Def  12                    28,571
Providian Financial Corp.        Com      74406A102       75,500   10,000,000 Shs  Def  14   10,000,000
Providian Financial Corp         Com      74406A102           38        5,000 Shs  Def                         5,000
Prudential Financial Inc         Com      744320102            1           34 Shs  Def   2           34
Prudential Financial Inc         Com      744320102          398       12,808 Shs  Def   5       12,808
Ential Financial Inc             Com      744320102            1           41 Shs  Def   6                                      41
Prudential Financial Inc         Com      744320102          420       13,529 Shs  Def  12                    13,529
Psinet Inc                       Com      74437C101            1       82,399 Shs  Def  12                    82,399
Psinet Inc                       Pfd      74437C309            6        2,750 Shs  Def  12                     2,750
Public Service Elec & Gas Co     Pfd      744567504           33          500 Shs  Def  12                       500
Public Svc Elec & Gas Cap Lp     Pfd      744569302           52        2,000 Shs  Def  12                     2,000
Public Service Enterprise        Com      744573106           28          615 Shs  Def   2          615
Public Svc Enterprise Gr         Com      744573106          165        3,600 Shs  Def   6        3,600
Public Service Enterprise Group  Com      744573106          756       16,674 Shs  Def   9                                  16,674
Public Service Enterprise        Com      744573106        2,182       47,651 Shs  Def  12                    47,651
Public Storage Inc               Com      74460D109        3,914      105,750 Shs  Def   6      105,750
Public Storage Inc               Com      74460D109            8          204 Shs  Def  12                       204
Public Storage Inc  Com          Com      74460D109       29,338      792,700 Shs  Def   3      770,500                     22,200
Public Storage Inc               Pfd      74460D620          122        5,100 Shs  Def  12                     5,100
Public Storage Inc 7.625%        Pfd      74460D646            9          400 Shs  Def  12                       400
Public Storage Inc               Pfd      74460D653           34        1,400 Shs  Def  12                     1,400
Public Storage Inc               Pfd      74460D687           94        3,800 Shs  Def  12                     3,800
Public Storage Inc-10% Cum Pfd   Pfd      74460D703           22          800 Shs  Def  12                       800
Public Storage Inc 8.60% Perp    Pfd      74460D711           37        1,450 Shs  Def  12                     1,450
Public Storage Inc Dep Sh        Pfd      74460D760           91        3,700 Shs  Def  12                     3,700
Public Storage 8.75% Cum Perp    Pfd      74460D794           21          800 Shs  Def  12                       800
Public Storage Inc-Dep Shs       Pfd      74460D828           25        1,000 Shs  Def  12                     1,000
Publicis Groupe S A N            Com      74463M106          492       14,350 Shs  Def   6          155                     14,195
Puget Energy Inc New             Com      745310102       12,050      578,821 Shs  Def   6      568,851          765         9,205
Puget Energy Incorporated        Com      745310102            4          200 Shs  Def   7          200
Puget Energy Inc                 Com      745310102          366       17,611 Shs  Def  12                    17,611
Puget Sound Energy Captal        Pfd      74531W201           25        1,000 Shs  Def  12                     1,000
Pulte Homes Inc                  Com      745867101            6          130 Shs  Def   6          130
Pulte Homes Inc                  Com      745867101           19          394 Shs  Def  12                       394
Pumatech Inc                     Com      745887109            1        1,050 Shs  Def  12                     1,050
Pure World Inc                   Com      74622C106            5        6,017 Shs  Def  12                     6,017
Pure Res Inc                     Com      74622E102        2,179       96,500 Shs  Def   6       91,100                      5,400
Pure Resources Inc               Com      74622E102          113        5,000 Shs  Def  12                     5,000
Putnam Convertible Opportunit-   Cl End Fd746479104           30        1,800 Shs  Def  12                     1,800
Putnam High Income Convertible   Cl End Fd746779107           14        1,900 Shs  Def  12                     1,900
Putnam High Yield Municipal      Cl End Fd746781103           26        3,440 Shs  Def  12                     3,440
Putnam Investment Grade          Cl End Fd746805100           85        8,200 Shs  Def  12                     8,200
Putnam Managed High Yield        Cl End Fd746819101           78        7,900 Shs  Def  12                     7,900
Putnam Managed Municipal         Cl End Fd746823103          204       25,994 Shs  Def  12                    25,994
Putnam Master Income Trust-Sbi   Cl End Fd74683K104          756      109,975 Shs  Def  12                   109,975
Putnam Premier Income Trust      Cl End Fd746853100          985      162,591 Shs  Def  12                   162,591
Putnam Master Intermediate       Cl End Fd746909100          843      138,117 Shs  Def  12                   138,117
Putnam Tax Free Health Care      Cl End Fd746920107          131       11,000 Shs  Def  12                    11,000
Putnam New York Investment       Cl End Fd746921105           18        1,500 Shs  Def  12                     1,500
Putnam Municipal Opportunities   Cl End Fd746922103          160       12,800 Shs  Def  12                    12,800
***Qlt Inc                       Com      746927102            2          100 Shs  Def  12                       100
Qlogic Corp.                     Com      747277101           20          400 Shs  Def   2          400
Qlogic Corp                      Com      747277101          285        5,750 Shs  Def  12                     5,750
Q E P Inc                        Com      74727K102          130       30,175 Shs  Def   6       28,800                      1,375
Quadramed Corp                   Com      74730W101            1           62 Shs  Def  12                        62
Quadramed Corp                   Com      74730W101           36        4,080 Shs  Def   3          380                      3,700
Quaker Chemical Corp.            Com      747316107            8          345 Shs  Def   2          345
Quaker Chem Corp                 Com      747316107        3,446      147,600 Shs  Def   6      142,400                      5,200
Quaker Chemical Corp             Com      747316107            7          300 Shs  Def  12                       300
Quaker City Bancorp Inc          Com      74731K106          859       27,100 Shs  Def   6       27,100
Quaker Fabric Corp New           Com      747399103          192       17,200 Shs  Def   6       17,200
Quaker Fabric Corp               Com      747399103          109        9,740 Shs  Def   3        9,740
Qualcomm Inc.                    Com      747525103          636       16,890 Shs  Def   2       16,890
Qualcomm Inc                     Com      747525103            3           74 Shs  Def   6           74
Qualcomm Inc                     Com      747525103        4,849      128,828 Shs  Def  12                   128,828
Qualcomm                         Com      747525103        3,011       80,000 Shs  Def   3       76,300                      3,700
Qualstar Corp                    Com      74758R109            7        1,000 Shs  Def   6        1,000
Quanex Corp                      Com      747620102        8,776      247,200 Shs  Def   6      239,600                      7,600
Quanex Corp  Com                 Com      747620102        6,386      179,900 Shs  Def   3      169,800                     10,100
Quanta Svcs Inc                  Com      74762E102       15,376      889,300 Shs  Def   6      865,700                     23,600
Quanta Services Inc              Com      74762E102            1           31 Shs  Def  12                        31
Quanta Services Inc              Com      74762E102           88        5,100 Shs  Def   3        5,100
Quantum-Dlt & Storage            Com      747906204           11        1,410 Shs  Def   4        1,410
Quantum Corp Dss                 Com      747906204        2,925      367,500 Shs  Def   6      367,500
Quantum Corp Dssg Com            Com      747906204           34        4,275 Shs  Def  12                     4,275
Queenstown Bancorp Of MD         Com      74831Y105           12          212 Shs  Def  12                       212
Quest Diagnostics Inc.           Com      74834L100           17          200 Shs  Def   7          200
Quest Diagnostics Inc            Com      74834L100          800        9,658 Shs  Def  12                     9,658
Quest Software Inc               Com      74834T103            2          100 Shs  Def  12                       100
Questar Corp.                    Com      748356102           41        1,600 Shs  Def   2        1,600
Questar Corp                     Com      748356102          311       12,100 Shs  Def   5        6,800                      5,300
Questar Corp                     Com      748356102        6,453      251,000 Shs  Def   6      251,000
Questar Corp.                    Com      748356102          126        4,800 Shs  Def   9                                   4,800
Questar Corp                     Com      748356102           27        1,050 Shs  Def  12                     1,050
Quicksilver Resources Inc        Com      74837R104            7          300 Shs  Def  12                       300
Quiksilver Inc                   Com      74838C106        6,912      315,900 Shs  Def   6      305,500                     10,400
Quintiles Transnational Corp     Com      748767100           59        3,300 Shs  Def   3                                   3,300
Quintiles Transnation            Com      748767100       10,008      564,445 Shs  Def   6      520,095                     44,350
Quintiles Transnational Corp     Com      748767100        3,866      217,791 Shs  Def  12                   217,791
Quipp Inc                        Com      748802105           54        4,000 Shs  Def   6        4,000
Qwest Communications Intl Inc    Com      749121109          452       54,953 Shs  Def   2       54,953
Qwest Communications Intl Inc    Com      749121109        1,501      182,615 Shs  Def   5      131,300                     51,315
Qwest Communications Intl Inc    Com      749121109        8,379    1,019,301 Shs  Def   6    1,019,301
Qwest Communications Intl Inc    Com      749121109            3          326 Shs  Def   7          326
Qwest Communications Intl Inc    Com      749121109      126,240   15,357,650 Shs  Def   8                15,357,650
Qwest Communications Intl Inc    Com      749121109          145       18,154 Shs  Def   9                       550        17,604
Qwest Communications Intl Inc    Com      749121109      234,248   28,497,360 Shs  Def  10   28,497,360
Qwest Communications Intl Inc    Com      749121109          126       15,327 Shs  Def  11        7,477        7,850
Qwest Communications Intl Inc    Com      749121109        3,167      385,286 Shs  Def  12                   385,286
Qwest Communications Intl Inc.   Com      749121109           21        1,600 Shs  Def  15        1,600
Qwest Communications Intl Inc    Com      749121109           41        5,000 Shs  Def                         5,000
R & B Inc                        Com      749124103          794       95,500 Shs  Def   6       92,200                      3,300
R&G Financial Corp Cl B          Com      749136107       10,048      504,150 Shs  Def   3      467,350                     36,800
Rait Investment Trust            Com      749227104           50        2,478 Shs  Def  12                     2,478
Rbi Capital Trust I-9.10%        Pfd      749257200           10        1,000 Shs  Def  12                     1,000
Rcm Technologies Inc             Com      749360400          780      165,600 Shs  Def   6      160,500                      5,100
Rcn Corporation                  Com      749361101           14       10,036 Shs  Def   4       10,036
Rcn Corp                         Com      749361101           65       45,758 Shs  Def  12                    45,758
Rei Trust I Trust Originated     Pfd      749490207          256       11,690 Shs  Def  12                    11,690
R H Investment Company Inc       Com      749550992        2,984       14,908 Shs  Def   5        7,454                      7,454
Rfs Hotel Investors Inc.         Com      74955J108          509       35,400 Shs  Def   9                                  35,400
Rfs Hotel Investors Inc          Com      74955J108           15        1,000 Shs  Def  12                     1,000
Rgc Resources Inc                Com      74955L103           41        2,100 Shs  Def  12                     2,100
R.H. Donnelly Corp.              Com      74955W307           68        2,224 Shs  Def   2        2,224
Rh Donnelley Corp                Com      74955W307        9,032      296,800 Shs  Def   3      283,100                     13,700
R.H. Donnelly Corp.              Com      74955W307          491       16,300 Shs  Def   9                                  16,300
R H Donnelley Corp (New)         Com      74955W307            3          102 Shs  Def  12                       102
R G S Energy Group Inc           Com      74956K104        6,110      155,680 Shs  Def   6      155,680
R G S Energy Group Inc           Com      74956K104          246        6,262 Shs  Def  12                     6,262
Rli Corp                         Com      749607107           26          500 Shs  Def  12                       500
Rpm Inc Ohio  Com  Nasd Indl     Com      749685103        8,690      558,820 Shs  Def   3      512,470                     46,350
Rpm Inc-Ohio                     Com      749685103          623       40,056 Shs  Def  12                    40,056
Rsa Security Inc                 Com      749719100           11        1,175 Shs  Def  12                     1,175
***Radiant Energy Corp           Com      749931101            2       20,000 Shs  Def  12                    20,000
Rf Micro Devices Inc             Com      749941100            7          364 Shs  Def   6          364
Rf Micro Devices Inc             Com      749941100        1,543       86,177 Shs  Def  12                    86,177
Racing Champions Corp            Com      750069106            5          270 Shs  Def   3          270
Radian Group Inc                 Com      750236101       50,225    1,023,330 Shs  Def   3      984,930                     38,400
Radian Group Inc                 Com      750236101           10          200 Shs  Def   6          200
Radian Group Inc.                Com      750236101        8,143      165,904 Shs  Def   8                   165,904
Radian Group                     Com      750236101            7          150 Shs  Def   9                       150
Radian Group Inc.                Com      750236101      147,240    3,000,000 Shs  Def  10    3,000,000
Radian Group Inc                 Com      750236101          473        9,645 Shs  Def  12                     9,645
Radiant Systems Inc              Com      75025N102           13        1,450 Shs  Def  12                     1,450
Radiologix Inc                   Com      75040K109        2,224      185,300 Shs  Def   6      177,200                      8,100
Radio Unica Communications       Com      75040Q106            4        2,500 Shs  Def  12                     2,500
Radioshack Corp                  Com      750438103          890       29,630 Shs  Def   6       29,630
Radioshack Corp                  Com      750438103        1,357       45,167 Shs  Def  12                    45,167
Radisys Corp                     Com      750459109            5          300 Shs  Def  12                       300
Radva Corp                       Com      750610107            1        4,200 Shs  Def  12                     4,200
Radyne Comstream Inc             Com      750611402          113       22,900 Shs  Def   6       22,900
Radyne Comstream Inc             Com      750611402            2          500 Shs  Def  12                       500
Rainbow Technologies Inc  Com    Com      750862104           37        3,690 Shs  Def   3        3,690
Raindance Communications Inc     Com      75086X106            3        1,000 Shs  Def  12                     1,000
Rambus Inc.                      Com      750917106           40        5,100 Shs  Def   2        5,100
Rambus Inc                       Com      750917106           39        4,999 Shs  Def  12                     4,999
Ramtron International            Com      751907304            1          400 Shs  Def   2          400
Range Res Corp                   Com      75281A109        2,723      524,700 Shs  Def   6      518,400                      6,300
Rational Software Corp Com       Com      75409P202          394       24,863 Shs  Def   5       24,863
Rational Software Corp New       Com      75409P202          179       11,296 Shs  Def  12                    11,296
Raven Inds Inc                   Com      754212108        1,175       49,800 Shs  Def   6       47,400                      2,400
Raven Industries Inc             Com      754212108           53        2,250 Shs  Def  12                     2,250
Raymond James Financial          Com      754730109           39        1,125 Shs  Def   2        1,125
Raymond James Financial Inc      Com      754730109           43        1,250 Shs  Def  12                     1,250
Rayonier Inc.                    Com      754907103           25          475 Shs  Def   2          475
Rayonier Inc.                    Com      754907103            5          100 Shs  Def   7          100
Rayonier Inc                     Com      754907103           66        1,241 Shs  Def  12                     1,241
Rayovac Corp                     Com      755081106           19        1,200 Shs  Def  12                     1,200
Raytheon Company                 Com      755111507          399        9,715 Shs  Def   2        9,715
Raytheon Co New Com              Com      755111507       54,530    1,326,191 Shs  Def   6    1,239,890                     86,301
Raytheon Co                      Com      755111507        1,494       36,401 Shs  Def  12                    36,401
Razorfish Inc                    Com      755236106            1        9,300 Shs  Def  12                     9,300
Read Rite Corp                   Com      755246105            6        1,800 Shs  Def  12                     1,800
Readers Digest Association Inc   Com      755267101           13          600 Shs  Def  12                       600
Realnetworks Inc                 Com      75605L104           77       10,980 Shs  Def  12                    10,980
Realty Income Corp               Com      756109104          202        6,070 Shs  Def  12                     6,070
Realty Income Corp Com           Com      756109104        7,556      227,600 Shs  Def   3      208,300                     19,300
Realty Income Corp 8.25%         Pfd      756109203            5          175 Shs  Def  12                       175
Realty Parking Properties Lp     Com      756124103            9          876 Shs  Def  12                       876
Realty Parking Properties Lp     Com      756124202            9          800 Shs  Def  12                       800
Reckson Associates Realty Corp   Com      75621K106          354       14,353 Shs  Def  12                    14,353
Reckson Assoc.Rlty Cp Cl B       Com      75621K304            3          122 Shs  Def   6          122
Reckson Assocs Rlty Corp         Com      75621K304          202        7,843 Shs  Def  12                     7,843
Red Hat Inc                      Com      756577102           81       14,130 Shs  Def  12                    14,130
Red Hat Inc                      Com      756577102           29        5,000 Shs  Def                         5,000
Redback Networks Inc             Com      757209101            5        1,495 Shs  Def  12                     1,495
Redwood Trust Inc                Com      758075402          358       13,131 Shs  Def  12                    13,131
Reebok International Ltd         Com      758110100           11          400 Shs  Def   2          400
Reebok Intl Ltd                  Com      758110100          502       18,570 Shs  Def   6       18,570
Reebok International Ltd         Com      758110100           13          465 Shs  Def  12                       465
Refac                            Com      758653109          140       43,100 Shs  Def   6       43,100
Regal-Beloit Corp                Com      758750103           73        2,870 Shs  Def  12                     2,870
Regency Centers Corp             Com      758849103          142        4,900 Shs  Def  12                     4,900
Regeneron Pharmaceuticals Inc    Com      75886F107           92        3,670 Shs  Def  12                     3,670
Regeneration Technologies Inc    Com      75886N100           80       11,100 Shs  Def  12                    11,100
Regis Corp-Minn                  Com      758932107            3          105 Shs  Def  12                       105
Regis Corp Minn Com Nasd Indl    Com      758932107        4,222      150,370 Shs  Def   3      135,870                     14,500
Regions Financial Corp.          Com      758940100          272        7,920 Shs  Def   2        7,920
Regions Financial Corp           Com      758940100          335        9,749 Shs  Def   5        6,849                      2,900
Regions Finl Corp                Com      758940100           20          590 Shs  Def   6          590
Regions Financial Corp           Com      758940100        1,245       36,230 Shs  Def  12                    36,230
Regions Financial Corp.          Com      758940100          219        4,000 Shs  Def  15        4,000
Regions Finl Corp  Com           Com      758940100        1,570       45,700 Shs  Def   3       45,700
Rehabilicare Inc                 Com      758944102          195       37,200 Shs  Def   6       33,400                      3,800
Register.Com Inc                 Com      75914G101          103       11,495 Shs  Def  12                    11,495
Register.Com                     Com      75914G101        3,028      337,240 Shs  Def   3      316,240                     21,000
Regions Financing Trust I        Pfd      75914H208           61        2,400 Shs  Def  12                     2,400
Reinsurance Group Amer I         Com      759351109          247        7,900 Shs  Def   6        7,900
Reliance Steel & Aluminu         Com      759509102        1,432       51,900 Shs  Def   6       51,900
Reliant Res Inc Com              Com      75952B105       18,883    1,120,512 Shs  Def   6      998,585                    121,927
Reliant Resources Inc            Com      75952B105           25        1,500 Shs  Def  12                     1,500
Reliastar Financing Ii-8.10%     Pfd      75952F205           25        1,000 Shs  Def  12                     1,000
Reliant Energy Inc               Com      75952J108          345       13,364 Shs  Def   2       13,364
Reliant Energy Inc               Com      75952J108            4          140 Shs  Def   6          140
Reliant Energy Inc               Com      75952J108          912       35,354 Shs  Def  12                    35,354
Reliant Energy Inc               Com      75952J108            8          300 Shs  Def   3          300
Remedytemp Inc                   Com      759549108        1,838      116,300 Shs  Def   6      113,800                      2,500
Reliability Inc                  Com      759903107           55       20,000 Shs  Def  12                    20,000
Repligen Corp                    Com      759916109            5        1,200 Shs  Def  12                     1,200
Renal Care Group Inc             Com      759930100          244        7,435 Shs  Def  12                     7,435
Rent A Ctr Inc New Co            Com      76009N100       37,696      739,190 Shs  Def   6      724,780          485        13,925
Rentech Inc                      Com      760112102           86      154,120 Shs  Def  12                   154,120
Repsol S.A. Adr                  ADR      76026T205          601       47,320 Shs  Def   2       45,820                      1,500
Republic Bancorp Ky              Com      760281204          113       10,700 Shs  Def   6       10,500                        200
Republic Bancorp Inc-Ky Cl A     Com      760281204           11        1,000 Shs  Def  12                     1,000
Republic Bancorp Inc             Com      760282103        1,460      104,300 Shs  Def   6      103,500                        800
Republic Bancorp Inc-Mich        Com      760282103           21        1,500 Shs  Def  12                     1,500
Republic Bancorp Inc             Com      760282103          331       23,665 Shs  Def   3       15,735                      7,930
Republic First Bancorp I         Com      760416107          506       77,800 Shs  Def   6       76,100                      1,700
Republic Svcs Inc                Com      760759100            7          360 Shs  Def   6          360
Republic Services, Inc.          Com      760759100       20,494    1,097,100 Shs  Def   8                 1,097,100
Republic Services, Inc.          Com      760759100      139,633    7,475,000 Shs  Def  10    7,475,000
Republic Services Inc            Com      760759100        1,014       54,275 Shs  Def  12                    54,275
Republic Services, Inc.          Com      760759100       56,040    3,000,000 Shs  Def  14    3,000,000
Republic Services Inc Cl A       Com      760759100        1,605       85,900 Shs  Def   3       83,900                      2,000
Research Frontiers Inc           Com      760911107           16          900 Shs  Def  12                       900
Research In Motion Limited       Com      760975102       13,202      475,400 Shs  Def   8                   475,400
Research In Motion Limited       Com      760975102       55,540    2,000,000 Shs  Def  10    2,000,000
***Research In Motion Ltd        Com      760975102          622       22,405 Shs  Def  12                    22,405
Research In Motion Limited       Com      760975102       49,986    1,800,000 Shs  Def  14    1,800,000
Resmed Inc                       Com      761152107           78        1,940 Shs  Def  12                     1,940
Resortquest Intl Inc             Com      761183102        2,007      274,900 Shs  Def   6      265,500                      9,400
Resortquest International Inc    Com      761183102           10        1,350 Shs  Def  12                     1,350
Resource America Inc             Com      761195205          527       47,800 Shs  Def   6       47,800
Resource Bankshares Corp         Com      76121R104           19        1,000 Shs  Def  12                     1,000
Respironics Inc                  Com      761230101            8          250 Shs  Def  12                       250
Respironics Inc                  Com      761230101        7,301      225,325 Shs  Def   3      206,025                     19,300
Reunion Industries Inc           Com      761312107           13       22,700 Shs  Def  12                    22,700
Reuters Holdings Plc Spon        ADR      76132M102           56        1,178 Shs  Def   2        1,178
Reuters Group Plc Adr            Com      76132M102        1,983       41,218 Shs  Def   6       37,728                      3,490
Revlon Inc-Cl A                  Com      761525500            5          800 Shs  Def  12                       800
Rex Hide Inc                     Com      761576107           84        6,200 Shs  Def  12                     6,200
Rex Stores Corp.                 Com      761624105           82        4,500 Shs  Def   2        4,500
Rex Stores Corp                  Com      761624105        3,470      190,648 Shs  Def   6      183,448                      7,200
Reynolds & Reynolds              Com      761695105           26          875 Shs  Def   2          875
Reynolds & Reynolds Co Cl A      Com      761695105          657       21,900 Shs  Def   5       21,900
Reynolds & Reynolds Co           Com      761695105            5          150 Shs  Def   6          150
Reynolds & Reynolds Co-Cl A      Com      761695105          146        4,872 Shs  Def  12                     4,872
Reynolds & Reynolds Co  Cl A     Com      761695105        7,126      237,530 Shs  Def   3      217,930                     19,600
Reynolds R J Tob Hldgs Inc       Com      76182K105           10          160 Shs  Def   2          160
Reynolds R J Tob Holdings Inc    Com      76182K105          177        2,733 Shs  Def  12                     2,733
Rj Reynolds Tobacco Hldgs        Com      76182K105       12,574      194,200 Shs  Def   3      187,600                      6,600
Rheometrics Scientific Inc       Com      762073104            8        5,000 Shs  Def  12                     5,000
Ribozyme Pharmaceuticals Inc     Com      762567105            1          200 Shs  Def  12                       200
Richardson Electrs Ltd           Com      763165107        1,031       84,900 Shs  Def   6       84,900
Rigel Pharmaceuticals, Inc.      Com      766559108           43       12,000 Shs  Def   2       12,000
Riggs National Corp              Com      766570105           41        2,700 Shs  Def  12                     2,700
Right Management Consultants     Com      766573109        1,520       60,040 Shs  Def   3       54,590                      5,450
Rimage Corp                      Com      766721104           85       10,100 Shs  Def   6        9,700                        400
Rio Tinto Plc - Sponsored        ADR      767204100          627        7,840 Shs  Def   2        7,840
Rio Tinto Ltd Adr Spo            Com      767204100        3,943       48,629 Shs  Def   6       47,889                        740
Rite Aid Corp.                   Com      767754104           40       11,500 Shs  Def   2       11,500
Rite Aid Corp                    Com      767754104          195       56,406 Shs  Def  12                    56,406
Riverstone Networks Inc          Com      769320102          180       30,000 Shs  Def   5       30,000
Riverstone Networks Inc          Com      769320102        3,592      598,650 Shs  Def   6      598,650
Riverstone Networks, Inc.        Com      769320102        7,574    1,262,400 Shs  Def   8                 1,262,400
Riverstone Networks, Inc.        Com      769320102       35,524    5,920,700 Shs  Def  10    5,920,700
Riverstone Networks Inc          Com      769320102          336       55,938 Shs  Def  12                    55,938
Riverstone Networks, Inc.        Com      769320102       25,800    4,300,000 Shs  Def  14    4,300,000
Riviana Foods Inc.               Com      769536103        1,122       52,450 Shs  Def   7       52,450
Roadhouse Grill Inc              Com      769725102            3        9,500 Shs  Def  12                     9,500
Roadway Corp                     Com      769742107        8,177      221,000 Shs  Def   6      213,500                      7,500
Roadway Corporation              Com      769742107           22          600 Shs  Def  12                       600
Roadway Express In               Com      769742107       10,956      296,100 Shs  Def   3      273,800                     22,300
Roanoke Elec Stl Corp            Com      769841107          266       19,850 Shs  Def   6       19,050                        800
Roanoke Electric Steel Corp      Com      769841107           14        1,012 Shs  Def  12                     1,012
Robbins & Myers Inc              Com      770196103        1,682       61,500 Shs  Def   6       61,500
Robert Half International Inc    Com      770323103          148        5,000 Shs  Def  12                     5,000
Robotic Vision Sys Inc           Com      771047101          186      154,000 Shs  Def                       154,000
Robotic Vision Systems Inc       Com      771074101           66       54,760 Shs  Def  12                    54,760
Roche Holding Ag                 ADR      771195104          163        2,100 Shs  Def   2        2,100
Roche Holding Ltd                Com      771195104          543        6,980 Shs  Def   6        6,980
Rochester Gas & Electric         PFD      771367208            1           20 Shs  Def   2           20
Rock-Tenn Co                     Com      772739207        9,352      436,000 Shs  Def   6      420,700                     15,300
Rock-Tenn Company                Com      772739207        1,581       73,700 Shs  Def   3       73,700
Rockford Corp                    Com      77316P101          455       49,400 Shs  Def   6       49,400
Rockwell International           Com      773903109           25        1,224 Shs  Def   2        1,224
Rockwell Intl Corp New           Com      773903109          361       18,000 Shs  Def   5       18,000
Rockwell Automation Inc          Com      773903109            8          380 Shs  Def   6          380
Rockwell Automation Inc          Com      773903109          205       10,205 Shs  Def  12                    10,205
Rockwell Collins, Inc.           Com      774341101           31        1,224 Shs  Def   2        1,224
Rockwell Collins                 Com      774341101          454       18,000 Shs  Def   5       18,000
Rockwell Collins Inc.            Com      774341101          811       32,100 Shs  Def   9                                  32,100
Rockwell Collins Inc             Com      774341101          222        8,808 Shs  Def  12                     8,808
Rofin Sinar Technologies         Com      775043102          688       78,600 Shs  Def   6       73,500                      5,100
Rofin Sinar Technologies Inc     Com      775043102           70        8,000 Shs  Def                         8,000
Rogers Corp                      Com      775133101           33        1,000 Shs  Def  12                     1,000
***Rogers Wireless               Com      775315104            2          150 Shs  Def  12                       150
Rohm & Haas                      Com      775371107          267        6,325 Shs  Def   2        6,325
Rohm & Haas Co                   Com      775371107            4          100 Shs  Def   6          100
Rohm & Haas Co                   Com      775371107          152        3,591 Shs  Def  12                     3,591
Roper Industries Inc New         Com      776696106           32          650 Shs  Def  12                       650
Roslyn Bancorp                   Com      778162107           25        1,207 Shs  Def   4        1,207
Roslyn Bancorp Inc               Com      778162107            4          190 Shs  Def   6          190
Roslyn Bancorp Inc.              Com      778162107          932       45,000 Shs  Def   7       45,000
Roslyn Bancorp Inc Com           Com      778162107       16,244      784,720 Shs  Def   3      717,920                     66,800
Ross Stores Inc                  Com      778296103          593       15,675 Shs  Def  12                    15,675
Ross Stores Inc  Com  Nasd Indl  Com      778296103       19,374      512,140 Shs  Def   3      493,040                     19,100
Rouse Capital-9.25% Cum Qtrly    Pfd      779272202        1,713       68,254 Shs  Def  12                    68,254
Rouse Co                         Com      779273101          109        3,527 Shs  Def   9                                   3,527
Rouse Co                         Com      779273101          897       28,968 Shs  Def  12                    28,968
Rouse Co.                        REIT     779273101           39          800 Shs  Def  15          800
Rouse Co-Conv Pfd Ser B          Pfd      779273309           72        1,600 Shs  Def  12                     1,600
Rowan Companies Inc              Com      779382100            6          282 Shs  Def   6          282
Rowan Companies Inc              Com      779382100           88        3,815 Shs  Def  12                     3,815
The Rowe Companies               Com      779528108           16        5,200 Shs  Def  12                     5,200
***Royal Group Technologies      Com      779915107          102        5,350 Shs  Def  12                     5,350
Roxio Inc                        Com      780008108           25        1,115 Shs  Def  12                     1,115
Roxio Inc                        Com      780008108        7,305      321,940 Shs  Def   3      305,740                     16,200
Royal Appliance Mfg Co           Com      780076105        1,156      216,100 Shs  Def   6      209,100                      7,000
Royal Bancshares Of              Com      780081105           15          735 Shs  Def  12                       735
Banque Royale Du Canada          Com      780087102        1,654       49,588 Shs  Def  12                    49,588
The Royal Bank Of Scotland       PFD      780097507           13          500 Shs  Def   2          500
***Royal Bank Of Scotland        Pfd      780097507          288       11,375 Shs  Def  12                    11,375
Royal Dutch Pete Co Ny Reg Gld   Com      780257804          909       16,730 Shs  Def   1        1,675                     15,055
Royal Dutch Petroleum Co         ADR      780257804        4,406       81,115 Shs  Def   2       80,415                        700
Royal Dutch Petro-Ny Shares      Com      780257804        2,251       41,440 Shs  Def   4       41,440
Royal Dutch Petroleum Co         Com      780257804          861       15,850 Shs  Def   5       15,850
Royal Dutch Petroleum Co Adr     ADR      780257804        1,378       25,369 Shs  Def   7       25,369
Royal Dutch Petroleum Co Adr     ADR      780257804        1,482       26,896 Shs  Def   9                                  26,896
Royal Dutch Pete Co              Com      780257804          352        6,478 Shs  Def  11        5,558          920
***Royal Dutch Petroleum Co      Com      780257804        6,762      124,476 Shs  Def  12                   124,476
Royal Dutch Petroleum Co.        NY REG GL780257804          493        5,700 Shs  Def  15        5,700
Royal Dutch Pete Co Ny Reg Gld   Com      780257804        8,923      164,269 Shs  Def   3      139,669                     24,600
Royal Kpn Nederland Nv           ADR      780641205           10        2,063 Shs  Def   2        2,063
Royale Energy Inc                Com      78074G200          244       20,500 Shs  Def   6       19,500                      1,000
Royce Value Trust Inc            Cl End Fd780910105        3,756      209,243 Shs  Def  12                   209,243
Royce Value Trust Inc            Pfd      780910204           61        2,300 Shs  Def  12                     2,300
Royce Value Trust Tr Inc Pfd     Pfd      780910303           10          400 Shs  Def  12                       400
Royce Micro-Cap Trust Inc        Cl End Fd780915104           82        6,834 Shs  Def  12                     6,834
Royal Precision Inc              Com      780921102            1        2,000 Shs  Def   2        2,000
Ruby Tuesday Inc.                Com      781182100           86        3,680 Shs  Def   2                                   3,680
Ruby Tuesday Inc                 Com      781182100        1,221       52,513 Shs  Def  12                    52,513
Ruby Tuesday Inc                 Com      781182100          644       27,700 Shs  Def   3       27,500                        200
Ruddick Corp                     Com      781258108           27        1,600 Shs  Def  12                     1,600
Ruddick Corp  Com                Com      781258108            7          400 Shs  Def   3                                     400
Rush Enterpises Inc              Com      781846100          316       43,900 Shs  Def   6       43,900
Russ Berrie & Co                 Com      782233100        1,407       43,700 Shs  Def   6       43,700
Russ Berrie & Co Inc             Com      782233100            6          200 Shs  Def  12                       200
Russell Corp                     Com      782352108        4,029      270,400 Shs  Def   6      265,000                      5,400
Ryans Family Steak House         Com      783519101       14,172      590,500 Shs  Def   6      568,500                     22,000
Ryans Family Steak House Inc     Com      783519101        4,317      179,860 Shs  Def   3      161,660                     18,200
Ryder System Inc                 Com      783549108           87        2,945 Shs  Def  12                     2,945
Ryland Group Inc                 Com      783764103       12,547      139,100 Shs  Def   6      135,400                      3,700
Ryland Group Inc                 Com      783764103           59          654 Shs  Def  12                       654
Ryland Group Inc  Com            Com      783764103       12,177      135,000 Shs  Def   3      125,300                      9,700
S&K Famous Brands Inc            Com      783774102          594       54,500 Shs  Def   6       52,300                      2,200
S & T Bancorp Inc                Com      783859101           78        3,084 Shs  Def  12                     3,084
Sbc Communications, Inc.         Com      78387G103        1,603       42,812 Shs  Def   1        3,215                     39,597
Sbc Communications Inc.          Com      78387G103       15,363      410,327 Shs  Def   2      406,327                      4,000
Sbc Communications               Com      78387G103           92        2,462 Shs  Def   4        2,462
Sbc Communications Inc           Com      78387G103        4,069      108,686 Shs  Def   5       95,919                     12,767
Sbc Communications, I            Com      78387G103        8,988      240,444 Shs  Def   6      222,312                     18,132
Sbc Communications Inc.          Com      78387G103          392       10,473 Shs  Def   7       10,473
Sbc Communications Inc.          Com      78387G103          372       10,148 Shs  Def   9                                  10,148
Sbc Communications Inc.          Com      78387G103        3,182       85,000 Shs  Def  10       85,000
Sbc Communications Inc           Com      78387G103        1,648       44,008 Shs  Def  11       40,113        3,195           100
Sbc Communications Inc           Com      78387G103       12,050      321,853 Shs  Def  12                   321,853
Sbc Communications               Com      78387G103        5,004       83,874 Shs  Def  15       83,874
Sbc Communications               Com      78387G103        1,104       29,300 Shs  Def                        29,300
Sbc Communications Inc           Com      78387G103       49,432    1,320,290 Shs  Def   3    1,269,694                     50,596
Sbc Communications Inc           Pfd      78387G301          334       13,350 Shs  Def  12                    13,350
Sbs Technologies Inc             Com      78387P103            1          100 Shs  Def  12                       100
Sba Communications Corp          Com      78388J106           16        5,000 Shs  Def  12                     5,000
Scp Pool Corp                    Com      784028102           60        1,900 Shs  Def  12                     1,900
Scmp Group Ltd Sponso            Com      78402H102        4,060    1,467,928 Shs  Def   6    1,279,658                    188,270
Sei Investments Co               Com      784117103            6          140 Shs  Def  12                       140
Si Diamond Technology Inc        Com      784249104           14       20,000 Shs  Def  12                    20,000
Sk Telecom Co., Ltd.             ADR      78440P108            1           58 Shs  Def   2           58
Sk Telecom Ltd Adr Sp            Com      78440P108        1,796       74,180 Shs  Def   6       54,625                     19,555
Sk Telecom Adr                   ADR      78440P108        5,854      237,966 Shs  Def   3      237,966
Sl Green Realty Corp             Com      78440X101            3          100 Shs  Def  12                       100
Sli Inc                          Com      78442T108          191       74,900 Shs  Def   6       73,400                      1,500
Sntl Corporation                 Com      78461S106            7       55,000 Shs  Def  12                    55,000
Sps Technologies Inc             Com      784626103        9,474      223,600 Shs  Def   6      218,600                      5,000
Sps Technologies Inc             Com      784626103           25          600 Shs  Def  12                       600
Standard & Poors Dep             Com      78462F103           66          572 Shs  Def   2          572
S&P 500 Spiders                  Com      78462F103        3,330       29,077 Shs  Def   4       29,077
Standard & Poor'S Depositary R   Com      78462F103          286        2,500 Shs  Def   5        2,500
Standard & Poors Dep Receipts    Com      78462F103          515        4,500 Shs  Def   7        4,500
Standard & Poors Depository      Com      78462F103        3,063       26,750 Shs  Def  12                    26,750
Spdr Tr                          UNIT SER 78462F103          740        4,040 Shs  Def  15        4,040
Spss Inc                         Com      78462K102          132        7,525 Shs  Def  12                     7,525
Spss Inc                         Com      78462K102            2          130 Shs  Def   3          130
Spx Cp                           Com      784635104           14          102 Shs  Def   6          102
Spx Corp                         Com      784635104          253        1,761 Shs  Def   9                                   1,761
Spx Corp                         Com      784635104          105          740 Shs  Def  12                       740
S1 Corp                          Com      78463B101           51        3,300 Shs  Def  12                     3,300
Ssbh Capital I-7.20% Cum Trust   Pfd      784646200          190        7,700 Shs  Def  12                     7,700
Sm&A                             Com      78465D105           21        6,900 Shs  Def  12                     6,900
Svt Inc                          Com      784878100            2          500 Shs  Def  12                       500
Saba Software Inc                Com      784932105            4        1,000 Shs  Def  12                     1,000
Sabre Hldgs Corp                 Com      785905100        1,737       37,178 Shs  Def   6       37,178
Sabre Holdings Corp Cl A         Com      785905100          103        2,209 Shs  Def  12                     2,209
Safeco Corp                      Com      786429100           17          530 Shs  Def   6          530
Safeco Corp                      Com      786429100          621       19,385 Shs  Def  12                    19,385
Safeguard Scientifics Inc.       Com      786449108           12        4,000 Shs  Def   2        4,000
Safeguard Scientifics Inc        Com      786449108           66       21,840 Shs  Def  12                    21,840
Safenet Inc                      Com      78645R107           26        1,600 Shs  Def  12                     1,600
Safety-Kleen Corp New            Com      78648R203            1        1,375 Shs  Def  12                     1,375
Safeway Inc.                     Com      786514208       11,173      248,184 Shs  Def   2      243,984                      4,200
Safeway Inc New                  Com      786514208        4,306       95,645 Shs  Def   5       74,570                     21,075
Safeway Inc Com New              Com      786514208            2           40 Shs  Def   6           40
Safeway Inc.                     Com      786514208        2,906       64,559 Shs  Def   7       64,559
Safeway Inc                      Com      786514208          403        8,942 Shs  Def  11        5,162        1,780         2,000
Safeway Inc                      Com      786514208        5,647      125,441 Shs  Def  12                   125,441
Safeway Inc.                     Com      786514208          219        3,050 Shs  Def  15        3,050
Safeway Inc                      Com      786514208        6,748      149,900 Shs  Def   3      149,900
Saga Communications Inc-Cl A     Com      786598102           13          525 Shs  Def  12                       525
St Francis Cap Corp              Com      789374105        3,407      143,700 Shs  Def   6      138,800                      4,900
St Joe Co                        Com      790148100        1,053       35,100 Shs  Def  12                    35,100
St Jude Medical Inc.             Com      790849103          813       10,540 Shs  Def   2       10,540
St Jude Medical Inc              Com      790849103            8          105 Shs  Def   6          105
St Jude Medical Inc              Com      790849103          320        4,150 Shs  Def  12                     4,150
St. Jude Medical Inc.            Com      790849103          369        3,000 Shs  Def  15        3,000
St Jude Med Inc  Com  Nasd Indl  Com      790849103       28,167      365,100 Shs  Def   3      358,800                      6,300
St. Mary Land & Exploration      Com      792228108          291       13,400 Shs  Def   2       13,400
St Mary Land & Exploration Co    Com      792228108           11          500 Shs  Def  12                       500
St. Paul Companies Inc.          Com      792860108          151        3,300 Shs  Def   2        3,300
St Paul Cos Inc                  Com      792860108          458        9,980 Shs  Def   6        9,980
St Paul Companies Inc            Com      792860108          225        4,918 Shs  Def  12                     4,918
Saks Inc                         Com      79377W108          112        8,492 Shs  Def  12                     8,492
Salant Corp New                  Com      794004200            1          382 Shs  Def  12                       382
Sales Online Direct Inc          Com      794661108            1        5,000 Shs  Def  12                     5,000
Salomon Brothers High Income     Cl End Fd794907105          192       16,549 Shs  Def  12                    16,549
Salix Pharm. Inc.                Com      795435106           18        1,000 Shs  Def                         1,000
Salomon Brothers Fund Inc        Cl End Fd795477108          209       16,775 Shs  Def  12                    16,775
Salomon Brothers High Income     Cl End Fd79547Q106           11        1,000 Shs  Def  12                     1,000
Salomon Brothers 2008 World-     Cl End Fd79548R103          179       17,450 Shs  Def  12                    17,450
Salomon Brothers Worldwide       Cl End Fd79548T109          182       13,000 Shs  Def  12                    13,000
Salton Inc.                      Com      795757103           10          500 Shs  Def   2          500
Salton Inc                       Com      795757103        3,168      159,600 Shs  Def   6      155,600                      4,000
Salton Inc                       Com      795757103           18          900 Shs  Def  12                       900
San Diego Gas & Elec 4.40% Pfd   Pfd      797440203            5          400 Shs  Def  12                       400
San Juan Basin Royalty Tr-Ubi    Com      798241105          164       13,800 Shs  Def  12                    13,800
San Paolo-Imi S P A              ADR      799175104          527       22,378 Shs  Def   2       21,481                        897
Sanchez Computer Associates      Com      799702105          200       29,620 Shs  Def  12                    29,620
Sanderson Farms Inc              Com      800013104          180        6,670 Shs  Def   3        6,670
Sandisk Corp.                    Com      80004C101            4          165 Shs  Def   2          165
Sandisk Corp                     Com      80004C101           89        4,095 Shs  Def  12                     4,095
Sandy Spring Bancorp Inc         Com      800363103        1,413       43,535 Shs  Def  12                    43,535
Sandy Spring Cap Tr I            Pfd      800365207          524       19,605 Shs  Def  12                    19,605
Sanfilippo John B & Son          Com      800422107          511       85,100 Shs  Def   6       82,900                      2,200
Sangamo Biosciences Inc          Com      800677106           82        8,900 Shs  Def  12                     8,900
Sanmina-Sci Corp.                Com      800907107          349       29,700 Shs  Def   1       12,000                     17,700
Sanmina-Sci Corporation.         Com      800907107           62        5,304 Shs  Def   2        5,304
Sanmina Corp                     Com      800907107          529       45,016 Shs  Def   5       45,016
Sanmina-Sci Corp                 Com      800907107          245       20,824 Shs  Def  12                    20,824
Sangstat Med Corp Com            Com      801003104        2,989      111,270 Shs  Def   3      107,870                      3,400
Sap Ag Sponsored Adr             ADR      803054204           74        2,000 Shs  Def   2        2,000
Sapient Corp                     Com      803062108            4          850 Shs  Def  12                       850
Sappi Ltd Adr Spon Ne            Com      803069202       31,210    2,321,108 Shs  Def   6    2,255,713                     65,395
Sara Lee Corp.                   Com      803111103          273       13,128 Shs  Def   2       13,128
Sara Lee Corp Com                Com      803111103          686       33,044 Shs  Def   5       33,044
Sara Lee Corp                    Com      803111103       18,834      906,148 Shs  Def   6      850,043                     56,105
Sara Lee Corp.                   Com      803111103        1,972       95,112 Shs  Def   9                                  95,112
Sara Lee Corp                    Com      803111103          265       12,750 Shs  Def  11        9,600        2,900           250
Sara Lee Corp                    Com      803111103        3,899      187,804 Shs  Def  12                   187,804
Sara Lee Corp  Com               Com      803111103        1,893       91,200 Shs  Def   3       91,200
Satcon Technology Corp           Com      803893106            4        1,150 Shs  Def  12                     1,150
Satyam Computer Services - Adr   ADR      804098101          391       31,300 Shs  Def   3       31,300
Saucony Inc                      Com      804120103          334       52,200 Shs  Def   6       51,000                      1,200
Saucony Inc-Cl A                 Com      804120103            2          300 Shs  Def  12                       300
Saul Centers Inc                 Com      804395101          468       21,075 Shs  Def  12                    21,075
Scana Corp New                   Com      80589M102            7          220 Shs  Def   6          220
Scana Corporation New            Com      80589M102        2,617       85,534 Shs  Def  12                    85,534
Scana Corp  Com                  Com      80589M102          190        6,200 Shs  Def   3        6,200
Scansource Inc                   Com      806037107            9          150 Shs  Def  12                       150
Scansource Inc Com               Com      806037107          114        1,900 Shs  Def   3        1,900
Scansoft Inc                     Com      80603P107           18        3,057 Shs  Def  12                     3,057
Schein Henry Inc                 Com      806407102            4           90 Shs  Def   6           90
Henry Schein Inc                 Com      806407102           22          500 Shs  Def  12                       500
Henry Schein Inc                 Com      806407102       18,926      429,650 Shs  Def   3      406,450                     23,200
Schering-Plough Corp.            Com      806605101       11,654      372,343 Shs  Def   1      120,310                    252,033
Schering-Plough Corp.            Com      806605101       16,101      514,402 Shs  Def   2      514,402
Schering-Plough                  Com      806605101        5,445      173,970 Shs  Def   4      173,970
Schering Plough Corp Com         Com      806605101        1,447       46,221 Shs  Def   5       44,461                      1,760
Schering Plough Corp             Com      806605101        1,430       45,700 Shs  Def   6       45,700
Schering-Plough Corp.            Com      806605101          926       29,575 Shs  Def   7       29,575
Schering-Plough Corp.            Com      806605101          294        9,603 Shs  Def   9                                   9,603
Schering-Plough Corp             Com      806605101          599       19,133 Shs  Def  11       17,820        1,313
Schering Plough Corp             Com      806605101       15,425      492,800 Shs  Def  12                   492,800
Schering-Plough Corp.            Com      806605101       10,351      209,100 Shs  Def  15      209,100
Schering Plough Corp  Com        Com      806605101        5,783      184,754 Shs  Def   3      177,654                      7,100
Schlumberger Ltd.                Com      806857108          741       12,600 Shs  Def   1          900                     11,700
Schlumberger Limited             Com      806857108       10,539      179,176 Shs  Def   2      179,176
Schlumberger Ltd Com             Com      806857108        3,926       66,746 Shs  Def   5       54,041                     12,705
Schlumberger Ltd                 Com      806857108        3,856       65,556 Shs  Def   6       65,535                         21
Schlumberger Limited             Com      806857108          188        3,200 Shs  Def   7        3,200
Schlumberger Limited             Com      806857108        1,768       30,390 Shs  Def   9                                  30,390
Schlumberger Ltd                 Com      806857108          778       13,232 Shs  Def  11        7,547        3,760         1,800
***Schlumberger Ltd              Com      806857108        6,441      109,497 Shs  Def  12                   109,497
Schlumberger Ltd.                Com      806857108        4,874       52,000 Shs  Def  15       52,000
Schlumberger                     Com      806857108          259        4,400 Shs  Def                         4,400
Schlumberger Ltd  Com            Com      806857108        1,081       18,386 Shs  Def   3       15,686                      2,700
School Specialty Inc             Com      807863105            2           92 Shs  Def  12                        92
Schuff International Inc         Com      808156103          249       90,600 Shs  Def   6       88,300                      2,300
A Schulman Inc                   Com      808194104          174        9,521 Shs  Def  12                     9,521
Schulman A Inc  Com  Nasd Indl   Com      808194104           37        2,000 Shs  Def   3                                   2,000
Schwab Charles Corp.             Com      808513105        3,732      285,126 Shs  Def   2      281,126                      4,000
Schwab Charles Corp.             Com      808513105           54        4,100 Shs  Def   7        4,100
Schwab Charles Corp.             Com      808513105          957       73,592 Shs  Def   9                                  73,592
Charles Schwab Corp New          Com      808513105        1,160       88,587 Shs  Def  12                    88,587
Schwab (Charles) Corp.           Com      808513105           69        3,300 Shs  Def  15        3,300
Schweitzer-Mauduit Intl          Com      808541106            1           40 Shs  Def   2           40
Schweitzer-Mauduit Intl          Com      808541106        6,777      272,700 Shs  Def   6      265,200                      7,500
Sciclone Pharmaceuticals Inc     Com      80862K104           49       11,300 Shs  Def  12                    11,300
Scient Inc                       Com      808649107            1        5,560 Shs  Def  12                     5,560
Scientific-Atlanta Inc.          Com      808655104          238       10,300 Shs  Def   2       10,300
Scientific-Atlanta Inc.          Com      808655104           21          900 Shs  Def   4          900
Scientific Atlanta Inc           Com      808655104          302       13,085 Shs  Def   6       13,085
Scientific Atlanta Inc           Com      808655104        1,150       49,804 Shs  Def  12                    49,804
Scientific Games Corp            Com      80874P109          295       35,200 Shs  Def  12                    35,200
Scios Inc                        Com      808905103           80        2,778 Shs  Def  12                     2,778
Sciquest Inc                     Com      80908Q107            7        3,850 Shs  Def  12                     3,850
***Scitex Corp Ltd               Com      809090103           19        5,865 Shs  Def  12                     5,865
The Scotts Co Class A            Com      810186106          252        5,500 Shs  Def   2        4,000                      1,500
Scott'S                          Com      810186106           92        2,000 Shs  Def   4        2,000
Scotts Co-Cl A                   Com      810186106           78        1,700 Shs  Def  12                     1,700
Screamingmedia Inc               Com      810883108           26       12,000 Shs  Def  12                    12,000
Scripps Co E W Cl A              Com      811054204          230        2,800 Shs  Def   2        2,800
E W Scripps Co New-Cl A          Com      811054204           74          900 Shs  Def  12                       900
Scudder High Income Tr           Cl End Fd811153105          158       21,700 Shs  Def  12                    21,700
Scudder Global High Income       Cl End Fd81115E101            3          500 Shs  Def  12                       500
Scudder Inter Govt Tr            Cl End Fd811163104          104       15,228 Shs  Def  12                    15,228
Scudder New Asia Fund Inc        Cl End Fd811183102           24        2,500 Shs  Def  12                     2,500
Scudder Multi-Market Income Tr   Cl End Fd81118Q101          135       15,901 Shs  Def  12                    15,901
Scudder Strategic Mun Income     Cl End Fd811234103           63        5,650 Shs  Def  12                     5,650
***Sea Containers Ltd            Com      811371103           26        1,496 Shs  Def  12                     1,496
***Sea Containers Ltd-Cl A       Com      811371707           79        4,435 Shs  Def  12                     4,435
Seachange Intl. Inc.             Com      811699107           30        2,000 Shs  Def                         2,000
Seabulk Intl Inc                 Com      81169P101           11        2,001 Shs  Def  12                     2,001
Seacoast Banking Corp. Fla       Com      811707108          653       13,800 Shs  Def   7       13,800
Seacoast Banking Corp Fla Cl A   Com      811707108        1,487       31,443 Shs  Def  12                    31,443
Seacoast Financial Services      Com      81170Q106           59        3,000 Shs  Def  12                     3,000
Jos E. Seagram & Sons Inc 8%     Pfd      811845205           73        3,047 Shs  Def  12                     3,047
Seacor Smit Inc Com              Com      811904101        2,854       58,250 Shs  Def   3       54,400                      3,850
Seacor Smit Inc                  Com      811904101        3,406       69,500 Shs  Def   6       69,500
Sealed Air Corp.                 Com      81211K100           80        1,700 Shs  Def   2        1,700
Sealed Air Corp Com              Com      81211K100          235        5,000 Shs  Def   5        5,000
Sealed Air Cp New                Com      81211K100            3           65 Shs  Def   6           65
Sealed Air Corp New              Com      81211K100          238        5,052 Shs  Def  12                     5,052
Sealed Air Corp New-$2 Conv      Pfd      81211K209            8          166 Shs  Def  12                       166
Sears Roebuck & Co               Com      812387108          192        3,741 Shs  Def   2        3,741
Sears Roebuck & Co  Com          Com      812387108        4,573       89,200 Shs  Def   3       84,700                      4,500
Sears Roebuck & Co Com           Com      812387108          666       13,000 Shs  Def   5       11,000                      2,000
Sears Roebuck & Co               Com      812387108        1,097       21,400 Shs  Def   6       21,400
Sears Roebuck & Co.              Com      812387108          108        2,151 Shs  Def   9                                   2,151
Sears Roebuck & Co               Com      812387108        1,248       24,350 Shs  Def  12                    24,350
Sears Roebuck Acceptance Corp    Pfd      812404200           31        1,300 Shs  Def  12                     1,300
Sears Roebuck Acceptance Corp    Pfd      812404309           10          400 Shs  Def  12                       400
Secom Co Ltd Adr                 ADR      813113206           18          200 Shs  Def   2          200
Sector Spdr Trust                Com      81369Y100           74        3,129 Shs  Def  12                     3,129
Sector Spdr Trust                Com      81369Y209            7          230 Shs  Def  12                       230
Sector Spdr Trust                Com      81369Y308           18          694 Shs  Def  12                       694
Sector Spdr Trust                Com      81369Y407            1           39 Shs  Def  12                        39
Sector Spdr Trust                Com      81369Y506           12          418 Shs  Def  12                       418
Sector Spdr Trust                Com      81369Y605           76        2,786 Shs  Def  12                     2,786
Sector Spdr Trust                Com      81369Y704            2           75 Shs  Def  12                        75
Sector Spdr Trust                Com      81369Y803          933       43,069 Shs  Def  12                    43,069
Sector Spdr Trust                Com      81369Y886            4          132 Shs  Def  12                       132
Secure Computing Corp            Com      813705100           41        2,082 Shs  Def  12                     2,082
Security Capital Group Inc       Com      81413P204           84        3,300 Shs  Def  12                     3,300
Sedona Corp Pa                   Com      815677109            1        1,000 Shs  Def  12                     1,000
Seebeyond Tech. Corp.            Com      815704101           38        5,000 Shs  Def                         5,000
Seibels Bruce Group Inc New      Com      816006209            1          507 Shs  Def  12                       507
Seitel Inc                       Com      816074306        3,886      424,700 Shs  Def   6      413,700                     11,000
Seitel Inc. New                  Com      816074306           75        8,200 Shs  Def   7        8,200
Seitel Inc New                   Com      816074306          124       13,500 Shs  Def  12                    13,500
Selas Corp Amer                  Com      816119101          116       46,300 Shs  Def   6       46,300
Select Med Corp                  Com      816196109            8          500 Shs  Def  12                       500
Selective Insurance Group Inc    Com      816300107            8          300 Shs  Def  12                       300
Seligman Quality Municipal       Cl End Fd816343107            2          135 Shs  Def  12                       135
Semiconductor Holdrs Tr          Com      816636203            9          200 Shs  Def  12                       200
Semotus Solutions Inc            Com      81684P107            2        2,700 Shs  Def  12                     2,700
Semtech Corp                     Com      816850101            9          248 Shs  Def   6          248
Semtech Corp                     Com      816850101            2           44 Shs  Def  12                        44
Sempra Energy                    Com      816851109       22,705      902,800 Shs  Def   3      869,500                     33,300
Sempra Energy Com                Com      816851109        4,897      190,659 Shs  Def   6      163,009                     27,650
Sempra Energy                    Com      816851109          360       14,329 Shs  Def  12                    14,329
Sempra Energy Capital Trust I    Pfd      81685Q203           79        3,000 Shs  Def  12                     3,000
Semitool Inc                     Com      816909105        1,423      109,400 Shs  Def   6      106,200                      3,200
Senior High Income Portfolio     Cl End Fd81721E107          127       21,405 Shs  Def  12                    21,405
Senior Hsg Pptys Tr              Com      81721M109        2,933      203,660 Shs  Def   6      203,660
Senior Hsg Pptys Tr              Com      81721M109          955       66,305 Shs  Def  12                    66,305
Sensar Corp                      Com      817253107            1        1,366 Shs  Def  12                     1,366
Sensient Technologies Corp       Com      81725T100           32        1,400 Shs  Def   2        1,400
Sensient Technologies Corp       Com      81725T100          419       18,200 Shs  Def   5       18,200
Sensient Technologies Corp       Com      81725T100          894       38,855 Shs  Def  12                    38,855
Sensytech Inc                    Com      81726S101           32        3,789 Shs  Def  12                     3,789
Sepracor Inc                     Com      817315104          180        9,274 Shs  Def  12                     9,274
Serologicals Corp                Com      817523103        5,693      363,300 Shs  Def   3      339,700                     23,600
Service Corp. International      Com      817565104           40        7,500 Shs  Def   2        7,500
Service Corp Intl Com            Com      817565104        1,423      269,850 Shs  Def   6      246,450                     23,400
Service Corp International       Com      817565104          544      102,664 Shs  Def  12                   102,664
Servicemaster Co                 Com      81760N109          332       24,128 Shs  Def   2       24,128
Servicemaster Co Com             Com      81760N109        2,732      198,700 Shs  Def   3      198,700
Servicemaster Co (The)           Com      81760N109        3,165      230,169 Shs  Def  12                   230,169
7-Eleven Inc                     Com      817826209        5,094      456,900 Shs  Def   6      448,800                      8,100
7-Eleven Inc                     Com      817826209            4          322 Shs  Def  12                       322
Sharper Image Corp               Com      820013100          605       35,200 Shs  Def   6       35,200
Shaw Group Inc                   Com      820280105       13,750      500,000 Shs  Def   6      486,600                     13,400
Shaw Group Inc                   Com      820280105          753       27,385 Shs  Def  12                    27,385
***Shaw Communications Inc       Pfd      82028K606           35        1,500 Shs  Def  12                     1,500
Shelbourne Properties I Inc      Com      821373107            1           12 Shs  Def  12                        12
Shell Canada Ltee Cl A           Com      822567103            4          100 Shs  Def  12                       100
Shell Transport & Trading        ADR      822703609          691       15,612 Shs  Def   2       15,612
Shell Transport & Trading Plc    ADR      822703609           13          300 Shs  Def   7          300
***Shell Transport & Trading     Com      822703609          119        2,694 Shs  Def  12                     2,694
Shenandoah Telecommunications    Com      82312B106          132        3,380 Shs  Def  12                     3,380
Sherwin Williams Corp.           Com      824348106           23          800 Shs  Def   2          800
Sherwin Williams Co  Com         Com      824348106        3,864      135,670 Shs  Def   3      135,670
Sherwin-Williams Co              Com      824348106        1,221       42,875 Shs  Def   5       36,875                      6,000
Sherwin Williams Co              Com      824348106           11          400 Shs  Def   6          400
Sherwin Williams Co              Com      824348106        2,285       80,217 Shs  Def  12                    80,217
Shoe Carnival Inc                Com      824889109          522       31,850 Shs  Def   3       16,850                     15,000
Shoe Carnival Inc                Com      824889109        2,557      156,000 Shs  Def   6      150,600                      5,400
Shoe Carnival Inc-Ind            Com      824889109            8          500 Shs  Def  12                       500
Shopko Stores Inc                Com      824911101        6,025      332,900 Shs  Def   6      325,600                      7,300
Shopko Stores Inc                Com      824911101          235       13,000 Shs  Def  12                    13,000
Shop At Home Inc New             Com      825066301            1          500 Shs  Def  12                       500
Shore Bancshares Inc             Com      825107105          246       11,845 Shs  Def  12                    11,845
Shurgard Storage Centers Inc     Com      82567D104          598       17,646 Shs  Def  12                    17,646
Shurgard Storage Center Inc      Pfd      82567D203           36        1,400 Shs  Def  12                     1,400
Shurgard Storage Centers Inc     Pfd      82567D302           97        3,800 Shs  Def  12                     3,800
Sicor Inc                        Com      825846108       34,059    1,994,090 Shs  Def   3    1,917,790                     76,300
Sicor                            Com      825846108           36        2,105 Shs  Def   4        2,105
Sicor Inc                        Com      825846108            5          290 Shs  Def  12                       290
***Sideware Systems Inc          Com      825907108           19      104,561 Shs  Def  12                   104,561
Siebel Systems Inc               Com      826170102          817       25,046 Shs  Def  12                    25,046
Siemens Ag Sponsored Adr         ADR      826197501          178        2,700 Shs  Def   2        2,700
Siemens A G Sponsored            Com      826197501        1,031       15,953 Shs  Def   6       15,683                        270
Sierra Health Svcs Inc  Com      Com      826322109        2,105      160,960 Shs  Def   3      135,260                     25,700
Sierra Pacific Resources         Com      826428104        2,193      145,300 Shs  Def   3      130,100                     15,200
Sierra Pac Res New               Com      826428104            3          220 Shs  Def   6          220
Sierra Pacific Resources New     Com      826428104          309       20,499 Shs  Def  11        4,300       16,199
Sierra Pacific Resources New     Com      826428104        3,079      204,010 Shs  Def  12                   204,010
Sierra Pacific Reserves          Com      826428104        5,168      342,500 Shs  Def  13      342,500
Sierra Pac Res New 9% Div Rate   Pfd      826428203           22          400 Shs  Def  12                       400
Sifco Inds Inc                   Com      826546103          326       57,500 Shs  Def   6       56,300                      1,200
Sigma-Aldrich Corp.              Com      826552101          122        2,600 Shs  Def   2        2,600
Sigma Aldrich Corp Com           Com      826552101          296        6,300 Shs  Def   5        6,200                        100
Sigma-Aldrich Corp               Com      826552101        1,563       33,285 Shs  Def  12                    33,285
Silgan Holdings Inc              Com      827048109        4,629      138,460 Shs  Def   3      132,960                      5,500
Silgan Holdings Inc              Com      827048109        9,220      275,800 Shs  Def   6      267,000                      8,800
Silicon Storage Technolo         Com      827057100        1,686      159,800 Shs  Def   6      158,700                      1,100
Silicon Storage Technology Inc   Com      827057100           41        3,857 Shs  Def  12                     3,857
Silicon Vy Bancshares            Com      827064106       11,280      372,900 Shs  Def   6      358,400                     14,500
Silicon Valley Bancshares        Com      827064106        1,664       55,000 Shs  Def   8                    55,000
Silicon Valley Bancshares        Com      827064106           11          350 Shs  Def  12                       350
Siliconix Inc New                Com      827079203            6          200 Shs  Def  12                       200
Siliconware Precision Industries ADR      827084864        2,868      551,500 Shs  Def   3      551,500
Silver Diner Inc                 Com      827655101            1        5,100 Shs  Def  12                     5,100
***Silver Standard Resources     Com      82823L106           31       10,500 Shs  Def  12                    10,500
Simmons 1St Natl Corp            Com      828730200        2,012       61,800 Shs  Def   6       59,100                      2,700
Simon Property Group Inc         Com      828806109        1,346       41,100 Shs  Def   9                                  41,100
Simon Property Group Inc         Com      828806109        3,317      101,652 Shs  Def  12                   101,652
Simon Ppty Group Inc.            Com      828806109          488       10,500 Shs  Def  15       10,500
Simon Ppty Group Inc             Pfd      828806604           48        1,900 Shs  Def  12                     1,900
Simplex Solutions Inc            Com      828854109            4          400 Shs  Def  12                       400
Simpson Manufacturing Inc        Com      829073105        1,443       23,600 Shs  Def   3       21,400                      2,200
Simtek Corp                      Com      829204106            2        4,000 Shs  Def  12                     4,000
Sinclair Broadcast Group Inc     Com      829226109           25        1,820 Shs  Def  12                     1,820
Singapore Fund Inc               Cl End Fd82929L109            1          100 Shs  Def  12                       100
Singapore                        ADR      82929R106           24        2,800 Shs  Def   2        2,800
Singer Co N V                    Com      82930F208            1          320 Shs  Def  12                       320
Sinopec Shanghai - Spons         ADR      82935M109            5          400 Shs  Def   2          400
Sirius Satellite Radio Inc       Com      82966U103           94       17,740 Shs  Def  12                    17,740
Sitel Corp                       Com      82980K107            9        2,650 Shs  Def  12                     2,650
Sipex Corp                       Com      829909100          246       22,150 Shs  Def  12                    22,150
Six Flags Inc                    Com      83001P109           23        1,300 Shs  Def  12                     1,300
Six Flags Inc                    Pfd      83001P505           34        1,260 Shs  Def  12                     1,260
Sizeler Property Investors Inc   Com      830137105           11        1,125 Shs  Def  12                     1,125
Skechers Usa Inc                 Com      830566105          756       39,980 Shs  Def   3       38,980                      1,000
Skechers U S A Inc               Com      830566105        5,696      301,200 Shs  Def   6      292,800                      8,400
Skechers Usa Inc                 Com      830566105           21        1,100 Shs  Def  12                     1,100
Skillsoft Corp                   Com      83066P101           56        2,420 Shs  Def  12                     2,420
Sky Financial Group Inc          Com      83080P103           60        2,696 Shs  Def   2        2,696
Sky Financial Group Inc          Com      83080P103          312       14,000 Shs  Def   3       14,000
Sky Financial Group Inc          Com      83080P103          672       30,189 Shs  Def  12                    30,189
Slippery Rock Financial Corp     Com      831471107            8          500 Shs  Def  12                       500
Smallcap Fund Inc Tm             Com      831680103           17        1,464 Shs  Def  12                     1,464
Smart & Final Inc                Com      831683107            5          500 Shs  Def  12                       500
Smedvig Asa Adr                  Com      83169H105        3,641      421,969 Shs  Def   6      375,949                     46,020
Smith & Wesson Holding Corp      Com      831756101           12        6,000 Shs  Def  12                     6,000
Smith & Nephew P L C             Com      83175M205        2,240       38,152 Shs  Def   6       32,760                      5,392
Smith A O Com                    Com      831865209           19          750 Shs  Def   3          750
A O Smith Corp                   Com      831865209           16          630 Shs  Def  12                       630
Smith Intl Inc  Com              Com      832110100        1,707       25,200 Shs  Def   3       21,200                      4,000
Smith International Inc          Com      832110100            7          100 Shs  Def   6          100
Smithfield Foods Inc             Com      832248108       34,501    1,321,885 Shs  Def   3    1,283,885                     38,000
Smithfield Foods Inc             Com      832248108        2,843      108,910 Shs  Def  12                   108,910
Smucker J M Co                   Com      832696306          152        4,500 Shs  Def   2        4,500
Smurfit-Stone Container Corp     Com      832727101          807       47,100 Shs  Def   5       36,300                     10,800
Smurfit-Stone Container          Com      832727101          101        5,910 Shs  Def   6        5,910
Smurfit-Stone Container Corp     Com      832727101           13          742 Shs  Def  12                       742
Smurfit Stone Container Corp.    Com      832727101           86        5,000 Shs  Def                         5,000
Snap-On Inc                      Com      833034101          107        3,150 Shs  Def  12                     3,150
Sociedad Quimca Y Minera         ADR      833635105           47        2,000 Shs  Def   2        2,000
Societe Generale Fran            Com      83364L109        1,235       97,845 Shs  Def   6        4,405                     93,440
Software Spectrum Inc            Com      833960107          900       49,700 Shs  Def   6       48,300                      1,400
Softnet Systems Inc              Com      833964109           95       43,175 Shs  Def  12                    43,175
Sola Intl Inc                    Com      834092108        5,324      361,700 Shs  Def   6      357,100                      4,600
Solectron Corp.                  Com      834182107           43        5,500 Shs  Def   2        5,500
Solectron                        Com      834182107          129       16,500 Shs  Def   4       16,500
Solectron Corporation            Com      834182107          169       21,625 Shs  Def   5       15,325                      6,300
Solectron Corp                   Com      834182107           12        1,550 Shs  Def   6        1,550
Solectron Corp                   Com      834182107          232       29,785 Shs  Def  12                    29,785
Solectron Corp.                  Com      834182107            4          300 Shs  Def  15          300
Solectron Corp Conv. Note        Cvt      834182AK3        5,029    9,000,000 Prn  Def                                   9,000,000
Solutia Inc.                     Com      834376105           13        1,524 Shs  Def   2        1,524
Solutia Inc                      Com      834376105        2,499      287,290 Shs  Def   6      287,290
Solutia Inc                      Com      834376105           29        3,368 Shs  Def  12                     3,368
Somera Communications Inc        Com      835448101          229       31,280 Shs  Def   3       27,530                      3,750
Sonex Research Inc               Com      835448101            2       15,500 Shs  Def  12                    15,500
Sonic Automotive Inc             Com      83545G102        5,223      174,210 Shs  Def   3      170,810                      3,400
Sonic Automotive Inc-Cl A        Com      83545G102           15          500 Shs  Def  12                       500
Sonic Solutions                  Com      835460106           11        1,500 Shs  Def  12                     1,500
Sonicblue Inc                    Com      83546Q109           23        8,968 Shs  Def  12                     8,968
Sonicwall Inc                    Com      835470105        1,633      125,200 Shs  Def   3      124,500                        700
Sonicwall Inc                    Com      835470105           43        3,275 Shs  Def  12                     3,275
Sonoco Prods Co Com              Com      835495102          464       16,201 Shs  Def   5       11,473                      4,728
Sonoco Prods Co                  Com      835495102            6          200 Shs  Def   6          200
Sonoco Products Co               Com      835495102        1,459       51,008 Shs  Def  12                    51,008
Sonus Pharmaceuticals Inc        Com      835692104            1          200 Shs  Def  12                       200
Sony Corp. - Sponsored Adr       ADR      835699307        1,476       28,540 Shs  Def   2       28,540
Sony Corp                        Com      835699307        5,976      116,284 Shs  Def   6      114,794                      1,490
Sorrento Networks Corp           Com      83586Q100            2          800 Shs  Def  12                       800
Sothebys Holdings Inc-Cl A       Com      835898107           36        2,250 Shs  Def  12                     2,250
Sonus Networks Inc               Com      835916107            6        2,300 Shs  Def  12                     2,300
Source Information Mgmt          Com      836151209          708      134,600 Shs  Def   6      126,300                      8,300
Source Information Management    Com      836151209            1          100 Shs  Def  12                       100
South Alabama Bancorporation     Com      836234104           12        1,200 Shs  Def  12                     1,200
South Carolina Elec & Gas Co     Pfd      837004308           16          400 Shs  Def  12                       400
South Financial Group Inc        Com      837841105          558       27,400 Shs  Def   3       17,900                      9,500
South Finl Group Inc             Com      837841105          124        6,100 Shs  Def  12                     6,100
South Jersey Industries Inc      Com      838518108           16          517 Shs  Def  12                       517
Southern California Edison Co    Pfd      842400301           14        1,000 Shs  Def  12                     1,000
The Southern Company             Com      842587107          284       10,712 Shs  Def   2       10,712
Southern Co                      Com      842587107            8          300 Shs  Def   6          300
Southern Co                      Com      842587107          348       13,148 Shs  Def   9                                  13,148
Southern Co                      Com      842587107        1,352       51,057 Shs  Def  12                    51,057
Southern Co.                     Com      842587107          253        6,000 Shs  Def  15        6,000
Southern Company Capital Trust   Pfd      84258T208          198        7,900 Shs  Def  12                     7,900
Southern Community Financial     Com      842632101          172       23,338 Shs  Def  12                    23,338
Southern Company Cap Tr Iv       Pfd      842636201           15          600 Shs  Def  12                       600
Southern Co Captl Trust V        Pfd      842637209           20          800 Shs  Def  12                       800
Southern Finl Bancorp In         Com      842870107          240        9,600 Shs  Def   6        7,600                      2,000
Southern Finl Bancorp Inc        Com      842870107          857       34,360 Shs  Def   7       34,360
***Southern Pac Pete N L         Com      843581406            1           93 Shs  Def  12                        93
Southern Union                   Com      844030106          319       17,415 Shs  Def   4       17,415
Southern Union Co New            Com      844030106           28        1,548 Shs  Def  12                     1,548
Southern Union Financing I       Pfd      844038208           55        2,150 Shs  Def  12                     2,150
Southtrust Corp.                 Com      844730101           32        1,200 Shs  Def   2        1,200
Southtrust Corp  Com  Nasd Bk InsCom      844730101          214        8,100 Shs  Def   3        8,100
Southtrust Corp                  Com      844730101            4          160 Shs  Def   6          160
Southtrust Corp                  Com      844730101        1,525       57,760 Shs  Def  12                    57,760
Southwest Airlines Co.           Com      844741108          103        5,300 Shs  Def   2        5,300
Southwest Airlines               Com      844741108          344       17,775 Shs  Def   4       17,775
Southwest Airlines Co            Com      844741108        2,029      104,839 Shs  Def  12                   104,839
Southwest Bancorp Inc Ok         Com      844767103        1,402       69,200 Shs  Def   6       66,950                      2,250
Southwest Bancorp Of Texas       Com      84476R109          200        6,000 Shs  Def   5        6,000
Southwest Bancorp Of Texas       Com      84476R109        4,564      136,900 Shs  Def   7      136,900
Southwest Bancorp Of Texas       Com      84476R109          258        7,745 Shs  Def  12                     7,745
Southwest Gas Corp               Com      844895102           85        3,405 Shs  Def  12                     3,405
Southwest Royalties Inc Income   Com      844918102            1           16 Shs  Def  12                        16
Southwest Water Co               Com      845331107           34        2,100 Shs  Def  12                     2,100
Southwestern Bell Telephone Co   Pfd      845335108           75        3,100 Shs  Def  12                     3,100
Southwestern Energy Co           Com      845467109        5,677      451,300 Shs  Def   6      439,900                     11,400
Southwestern Energy Co           Com      845467109            4          300 Shs  Def  12                       300
Southwestern Public Service      Pfd      845739200            2           66 Shs  Def  12                        66
Sovereign Bancorp In             Com      845905108        1,869      133,000 Shs  Def   3      133,000
Sovereign Bancorp                Com      845905108        9,306      662,379 Shs  Def   4      662,379
Sovereign Bancorp Inc            Com      845905108        4,792      341,067 Shs  Def   6      341,067
Sovereign Bancorp Inc.           Com      845905108        1,696      120,700 Shs  Def   8                   120,700
Sovereign Bancorp Inc.           Com      845905108       50,580    3,600,000 Shs  Def  10    3,600,000
Sovereign Bancorp Inc            Com      845905108        2,099      149,367 Shs  Def  12                   149,367
Sovran Self Storage Inc          Com      84610H108           22          700 Shs  Def  12                       700
Spacedev Inc                     Com      846241107            1        1,500 Shs  Def  12                     1,500
Spacelabs Medical Inc            Com      846247104            1          100 Shs  Def  12                       100
Spartan Mtrs Inc                 Com      846819100          627       80,400 Shs  Def   6       76,700                      3,700
Spartan Stores Inc               Com      846822104        2,461      327,300 Shs  Def   6      317,400                      9,900
Spartech Corp                    Com      847220209        4,076      165,700 Shs  Def   6      163,900                      1,800
Spartech Corp New                Com      847220209            5          200 Shs  Def  12                       200
Spectralink Inc                  Com      847580107        1,555      155,220 Shs  Def   3      131,120                     24,100
Spectrasite Holdings Inc         Com      84760T100           34       31,425 Shs  Def  12                    31,425
Spectrum Ctl Inc                 Com      847615101          529       78,300 Shs  Def   6       78,300
Spectrum Control Inc             Com      847615101            5          700 Shs  Def  12                       700
Spectrx Inc                      Com      847635109            2          500 Shs  Def  12                       500
***Spectrum Signal Processing    Com      84763F107           33       20,000 Shs  Def  12                    20,000
Speechworks Intl Inc             Com      84764M101           13        1,650 Shs  Def  12                     1,650
Speechworks Intl Inc             Com      84764M101           39        5,000 Shs  Def                         5,000
Speedfam Ipec Inc                Com      847705100            2          500 Shs  Def  12                       500
Speedway Motorsports Inc         Com      847788106           18          635 Shs  Def  12                       635
Spherion Corp                    Com      848420105        2,625      237,600 Shs  Def   6      226,600                     11,000
Spherion Corp                    Com      848420105          708       64,043 Shs  Def  12                    64,043
Spherix Inc                      Com      84842R106           84       10,630 Shs  Def  12                    10,630
Spiegel Inc                      Com      848457107          238      173,400 Shs  Def   6      171,000                      2,400
Spinnaker Expl Co                Com      84855W109        1,816       43,600 Shs  Def   6       43,600
Spinnaker Expl Co                Com      84855W109           53        1,272 Shs  Def  12                     1,272
Sport Chalet Inc                 Com      849163100           68        7,500 Shs  Def   6        7,500
Sports Authority Inc             Com      849176102           12        1,000 Shs  Def  12                     1,000
Sprint Corporation (Fon          Com      852061100          580       37,913 Shs  Def   2       37,913
Sprint                           Com      852061100           10          660 Shs  Def   4          660
Sprint Corp                      Com      852061100       21,880    1,431,318 Shs  Def   6    1,344,845                     86,473
Sprint Corp. (Fon Group)         Com      852061100          191       12,700 Shs  Def   9                                  12,700
Sprint Corporation (Fon Group)   Com      852061100        6,422      420,000 Shs  Def  10      420,000
Sprint Corp                      Com      852061100        3,445      225,284 Shs  Def  12                   225,284
Sprint Corp  (Fon Group)         Com      852061100          109        7,400 Shs  Def                         7,400
Sprint Corp. (Pcs Group)         Com      852061506           93        9,022 Shs  Def   2        9,022
Nt Corp (Series 1 Pcs Com)       Com      852061506            2          227 Shs  Def   6                                     227
Sprint Corp. (Pcs Group)         Com      852061506        1,542      149,850 Shs  Def   7      149,850
Sprint Corp Pcs Group Ser 1      Com      852061506          963       93,579 Shs  Def  12                    93,579
St Paul Cap Tr I                 Pfd      85231F207          259       10,460 Shs  Def  12                    10,460
Staff Leasing Inc                Com      852381102           12        3,945 Shs  Def  12                     3,945
Stancorp Finl Group Inc          Com      852891100        1,480       26,900 Shs  Def   3       24,100                      2,800
Stancorp Financial Group Inc.    Com      852891100        8,893      161,685 Shs  Def   7      161,685
Stamford International Inc       Com      852902105            1          800 Shs  Def   7          800
Standard Coml Corp               Com      853258101        3,321      172,800 Shs  Def   6      167,400                      5,400
Standard Commercial Corp         Com      853258101            4          200 Shs  Def  12                       200
Standard Management Corp         Com      853612109          706      130,000 Shs  Def   6      126,900                      3,100
Standard Microsystems            Com      853626109           21          920 Shs  Def   4          920
Standard Microsystems Corp       Com      853626109            2          100 Shs  Def  12                       100
Standard Motor Products,         Com      853666105           22        1,500 Shs  Def   2        1,500
Standard Pac Corp New            Com      85375C101       12,347      439,400 Shs  Def   6      426,900                     12,500
Standex Intl Corp                Com      854231107        6,524      267,430 Shs  Def   6      261,370                      6,060
Stanley Furniture Inc            Com      854305208          640       19,800 Shs  Def   6       16,800                      3,000
La Compagnie Stanley Works       Com      854616109          658       14,217 Shs  Def  12                    14,217
Stansbury Holdings Corp          Com      854726205            1       30,000 Shs  Def  12                    30,000
Staples, Inc.                    Com      855030102          341       17,083 Shs  Def   1       17,083
Staples Inc.                     Com      855030102          113        5,672 Shs  Def   2        3,672                      2,000
Staples Inc                      Com      855030102          271       13,575 Shs  Def   5       11,900                      1,675
Staples Inc                      Com      855030102        2,709      135,640 Shs  Def  12                   135,640
Star Gas Partners Lp             Com      85512C105          351       17,689 Shs  Def  12                    17,689
Star Scientific Inc              Com      85517P101           15        7,375 Shs  Def  12                     7,375
Starbucks Corp.                  Com      855244109           65        2,800 Shs  Def   2        2,800
Starbucks Corp                   Com      855244109          587       25,397 Shs  Def  12                    25,397
Starbucks                        Com      855244109          141        6,000 Shs  Def                         6,000
Starrett L S Co                  Com      855668109          314       14,400 Shs  Def   6       13,500                        900
State Auto Finl Corp             Com      855707105        1,486      102,100 Shs  Def   6      102,100
State Auto Financial Corp        Com      855707105            9          630 Shs  Def  12                       630
Startech Environmental Corp      Com      855906103            5        1,858 Shs  Def  12                     1,858
Starwood Hotels & Resorts        Com      85590A203           78        2,068 Shs  Def   2        2,068
Starwood Hotels & Resorts        Com      85590A203           25          660 Shs  Def   6          660
Starwood Hotels & Resorts        Com      85590A203            4          100 Shs  Def   7          100
Starwood Hotels & Resorts        Com      85590A203      129,400    3,440,565 Shs  Def   8                 3,440,565
Starwood Hotels & Resorts        Com      85590A203      316,825    8,423,955 Shs  Def  10    8,423,955
Starwood Hotels & Resorts        Com      85590A203          434       11,529 Shs  Def  12                    11,529
Starwood Hotels                  Com      85590A203           12          200 Shs  Def  15          200
State Financial Services Corp    Com      856855101           14        1,000 Shs  Def  12                     1,000
State Street Corp.               Com      857477103       45,265      817,350 Shs  Def   1      185,750                    631,600
State Street Corp.               Com      857477103           55        1,000 Shs  Def   2        1,000
State Street                     Com      857477103           59        1,061 Shs  Def   4        1,061
State Street Corp                Com      857477103          244        4,400 Shs  Def   5        3,400                      1,000
State Street Corp.               Com      857477103        4,563       82,400 Shs  Def   7       82,400
State Street Corp                Com      857477103          877       15,841 Shs  Def  11       14,715          663           463
State Street Corp                Com      857477103        4,666       84,260 Shs  Def  12                    84,260
Staten Island Bancorp Inc        Com      857550107        5,168      262,600 Shs  Def   3      244,200                     18,400
Staten Island Bancorp Inc        Com      857550107           51        2,600 Shs  Def  12                     2,600
Station Casinos, Inc.            Com      857689103          170       10,200 Shs  Def   2       10,200
Station Casinos Inc              Com      857689103            2          100 Shs  Def  12                       100
The Steak N Shake Company        Com      857873103           13          900 Shs  Def   3          900
Steak N Shake Co                 Com      857873103            7          503 Shs  Def  12                       503
Steel Dynamics Inc               Com      858119100            3          200 Shs  Def  12                       200
Steel Technologies Inc           Com      858147101        1,499      175,700 Shs  Def   6      169,600                      6,100
Steelcase Inc. Cl A              CL A     858155203          337       20,100 Shs  Def   4       20,100
Steelcase Inc                    Com      858155203            5          300 Shs  Def   6          300
Steelcase Inc-Mich Cl A          Com      858155203           22        1,300 Shs  Def  12                     1,300
Stein Mart Inc                   Com      858375108          926       92,500 Shs  Def   6       92,500
Stein Mart Inc                   Com      858375108          374       37,405 Shs  Def  12                    37,405
Steinway Musical Instrs          Com      858495104        2,589      134,500 Shs  Def   6      130,200                      4,300
Stemcells Inc                    Com      85857R105            9        4,000 Shs  Def  12                     4,000
Stepan Co                        Com      858586100        3,531      131,500 Shs  Def   6      127,600                      3,900
Sterling Bancshares Inc.         Com      858907108          668       50,000 Shs  Def   7       50,000
Sterling Bancshares Inc          Com      858907108           87        6,500 Shs  Def  12                     6,500
Stericycle Inc                   Com      858912108           94        1,500 Shs  Def  12                     1,500
Sterling Bancshares Capital      Pfd      858917206          246        9,830 Shs  Def  12                     9,830
Steris Corp.                     Com      859152100           66        3,157 Shs  Def   2        3,157
Steris Corp                      Com      859152100        3,131      150,085 Shs  Def   3      140,585                      9,500
Steris Corp                      Com      859152100            4          200 Shs  Def  12                       200
Sterling Bancorp                 Com      859158107        1,412       44,253 Shs  Def   6       41,943                      2,310
Sterling Bancshares Cap Tr Ii    Pfd      85915H206          232        9,000 Shs  Def  12                     9,000
Sterling Financial Corp-Pa       Com      859317109          144        6,086 Shs  Def  12                     6,086
Sterling Financial Corp/Spokane  Com      859319105          246       10,900 Shs  Def   3       10,700                        200
Sterling Finl Corp Wash          Com      859319105        3,576      158,583 Shs  Def   6      152,764                      5,819
Stewart & Stevenson Svcs         Com      860342104        3,822      197,500 Shs  Def   6      186,600                     10,900
Stewart & Stevenson Services     Com      860342104          417       21,525 Shs  Def  12                    21,525
Stewart Enterprises              Com      860370105          260       43,600 Shs  Def   3       24,500                     19,100
Stewart Enterprises Inc          Com      860370105       11,596    1,942,000 Shs  Def   6    1,892,800                     49,200
Stewart Enterprises Inc-Cl A     Com      860370105           75       12,585 Shs  Def  12                    12,585
Stewart Information Svcs Corp ComComsd    860372101           82        4,100 Shs  Def   3        4,100
Stewart Information Svcs         Com      860372101        6,162      308,100 Shs  Def   6      300,600                      7,500
Stifel Finl Corp                 Com      860630102           41        3,200 Shs  Def   6        3,200
Stillwater Mng Co                Com      86074Q102       21,545    1,165,055 Shs  Def   6    1,095,045                     70,010
Stillwater Mining Co             Com      86074Q102          118        6,275 Shs  Def  12                     6,275
Stillwater Mining Co.            Com      86074Q102           30        1,000 Shs  Def  15        1,000
Stilwell Financial Inc           Com      860831106       15,379      627,962 Shs  Def   2      623,462                      4,500
Stillwell Financial Inc.         Com      860831106          435       17,800 Shs  Def   9                                  17,800
Stilwell Financial Inc           Com      860831106          203        8,300 Shs  Def  11        1,900                      6,400
Stilwell Financial Inc           Com      860831106          880       35,948 Shs  Def  12                    35,948
St Microelectronics Nv           Com      861012102          204        6,000 Shs  Def   1        6,000
Stmicroelectronics N V           Com      861012102        3,219       94,900 Shs  Def   3       94,900
***Stmicroelectronics N V        Com      861012102           82        2,423 Shs  Def  12                     2,423
Stone & Webster Inc              Com      861572105            2        2,750 Shs  Def  12                     2,750
Stone & Webster Inc              Com      861572105           29       50,000 Shs  Def                        50,000
Stone Energy Corp.               Com      861642106        1,467       37,856 Shs  Def   2       37,856
Stone Energy Corp                Com      861642106       18,883      487,300 Shs  Def   6      475,500                     11,800
Stone Energy Corp                Com      861642106          746       19,246 Shs  Def  12                    19,246
Stonecutter Mills Corp-Cl A      Com      861793107           24          286 Shs  Def  12                       286
Stonecutter Mills Corp Class B   Com      861793206           38          439 Shs  Def  12                       439
Stonepath Group Inc              Com      861837102           75       37,000 Shs  Def  12                    37,000
Storage Usa Inc                  Com      861907103          183        4,304 Shs  Def  12                     4,304
Stora Enso Ab Adr Spo            Com      86210M106       16,612    1,292,244 Shs  Def   6    1,250,109                     42,135
Storage Technology Corp          Com      862111200       22,496    1,049,255 Shs  Def   3      999,655                     49,600
Storage Technology Corp          Com      862111200          426       19,850 Shs  Def   6       19,850
Storage Technology Corp          Com      862111200          161        7,514 Shs  Def  12                     7,514
Storage Computer Corp            Com      86211A101           22        4,200 Shs  Def  12                     4,200
Storagenetworks Inc              Com      86211E103            2          615 Shs  Def  12                       615
Stratasys Inc                    Com      862685104            5          600 Shs  Def  12                       600
Strategic Global Income Fund     Cl End Fd862719101           17        1,441 Shs  Def  12                     1,441
Stratos Lightwave Inc            Com      863100103           30        6,750 Shs  Def  12                     6,750
Strattec Security Corp.          Com      863111100           23          500 Shs  Def   2          500
Strattec Sec Corp                Com      863111100        2,207       47,300 Shs  Def   6       45,000                      2,300
Strattec Security Corp           Com      863111100            8          168 Shs  Def  12                       168
Stratus Properties Inc           Com      863167201            1           89 Shs  Def  12                        89
Stratus Service Group Inc        Com      863170106            2        3,000 Shs  Def  12                     3,000
Strayer Education Inc            Com      863236105          361        7,358 Shs  Def  12                     7,358
Streettracks Ser Tr              Com      86330E406        1,062        7,580 Shs  Def  12                     7,580
Streettracks Ser Tr              Com      86330E703            5          100 Shs  Def  12                       100
Stride Rite Corp  Com            Com      863314100           57        6,900 Shs  Def   3        6,900
Stride Rite Corp                 Com      863314100        1,577      191,100 Shs  Def   6      187,600                      3,500
Stride Rite Corp                 Com      863314100           66        8,000 Shs  Def  12                     8,000
Stryker Corp.                    Com      863667101        5,177       85,810 Shs  Def   1       27,150                     58,660
Stryker Corp.                    Com      863667101          133        2,200 Shs  Def   2        2,200
Stryker Corp                     Com      863667101          369        6,112 Shs  Def  12                     6,112
Student Loan Corp                Com      863902102           34          375 Shs  Def  12                       375
Sturgis Bancorp Inc              Com      864087101            8          900 Shs  Def  12                       900
Sturm Ruger & Co Inc             Com      864159108          216       16,708 Shs  Def  12                    16,708
Suburban Propane Partners Lp     Com      864482104          587       22,422 Shs  Def  12                    22,422
Summa Inds                       Com      86562T105          633       69,900 Shs  Def   6       68,100                      1,800
Summit Bancshares Inc Te         Com      866011109           92        4,400 Shs  Def   6        4,400
Summit Bk Corp Ga                Com      866013105          118        7,460 Shs  Def   6        7,460
Summit Properties Inc.           Com      866239106        1,694       68,400 Shs  Def   9                                  68,400
Summit Properties Inc            Com      866239106          608       24,796 Shs  Def  12                    24,796
Sun Bancorp Inc-Pa               Com      866634108           25        1,418 Shs  Def  12                     1,418
Sun Capital Trust Ii Pfd Secs    Pfd      866650203            5          500 Shs  Def  12                       500
***Sun Life Financial Services   Com      866796105          109        5,013 Shs  Def  12                     5,013
Sun Microsystems, Inc.           Com      866810104        2,104      238,500 Shs  Def   1       54,700                    183,800
Sun Microsystems Inc.            Com      866810104        5,058      573,488 Shs  Def   2      564,788                      8,700
Sun Microsystems Inc             Com      866810104        3,874      439,200 Shs  Def   3      424,100                     15,100
Sun Microsystems                 Com      866810104           19        2,173 Shs  Def   4        2,173
Sun Microsystems Inc             Com      866810104        4,205      476,755 Shs  Def   5      387,400                     89,355
Sun Microsystems Inc             Com      866810104            1          115 Shs  Def   6          115
Sun Microsystems Inc.            Com      866810104        1,344      152,400 Shs  Def   7      152,400
Sun Microsystems Inc.            Com      866810104          511       53,655 Shs  Def   9                                  53,655
Sun Microsystems Inc.            Com      866810104        1,764      200,000 Shs  Def  10      200,000
Sun Microsystems Inc             Com      866810104          408       46,270 Shs  Def  11       22,544       13,722        10,004
Sun Microsystems Inc             Com      866810104        7,290      826,484 Shs  Def  12                   826,484
Sun Microsystems Inc.            Com      866810104        2,859      203,400 Shs  Def  15      203,400
Sunbeam Corp-Del New             Com      867071102            3       42,700 Shs  Def  12                    42,700
***Suncor Energy Inc             Com      867229106           14          400 Shs  Def  12                       400
Sungard Data Systems Inc.        Com      867363103          143        4,344 Shs  Def   2        4,344
Sungard Data Systems Inc.        Com      867363103           84        2,556 Shs  Def   7        2,556
Sungard Data Systems Inc         Com      867363103          271        8,221 Shs  Def  12                     8,221
Sunoco Logistics Partners Lp     Com      86764L108           42        1,900 Shs  Def  12                     1,900
Sunoco Inc.                      Com      86764P109            9          228 Shs  Def   2                                     228
Sunoco Inc                       Com      86764P109       12,675      316,805 Shs  Def   3      305,205                     11,600
Sunoco Inc                       Com      86764P109            7          170 Shs  Def   6          170
Sunoco Inc                       Com      86764P109          595       14,863 Shs  Def  12                    14,863
Sunoco Inc.                      Com      86764P109            6          100 Shs  Def  15          100
Sunrise Assisted Living          Com      86768K106        8,966      328,900 Shs  Def   6      324,200                      4,700
Sunrise Assisted Living Inc      Com      86768K106        1,855       68,055 Shs  Def  12                    68,055
Sunrise Assisted Living Inc.     Com      86768K106        1,227       45,000 Shs  Def                        45,000
Suntrust Cap Iv                  PFD      86788B201           20          800 Shs  Def   7          800
Suntrust Cap V                   Pfd      86789N204           24        1,000 Shs  Def  12                     1,000
Suntron Corp                     Com      86789P100           87       10,625 Shs  Def   6       10,625
Suntrust Banks Inc.              Com      867914103          624        9,350 Shs  Def   2        9,350
Suntrust Bks Inc  Com            Com      867914103        7,747      116,100 Shs  Def   3      111,400                      4,700
Suntrust Banks Inc               Com      867914103        1,028       15,400 Shs  Def   5       14,400                      1,000
Suntrust Banks Inc               Com      867914103          457        6,836 Shs  Def   6        6,836
Suntrust Banks Inc.              Com      867914103          764       11,452 Shs  Def   7       11,452
Suntrust Banks Inc               Com      867914103       15,136      226,819 Shs  Def  12                   226,819
Superconductor Technologies      Com      867931107            1          150 Shs  Def  12                       150
Supergen Inc                     Com      868059106           31        5,500 Shs  Def  12                     5,500
Superior Consultant Hldgs Corp   Com      868146101            5          750 Shs  Def  12                       750
Superior Energy Services Inc     Com      868157108          119       11,780 Shs  Def   3       10,780                      1,000
Superior Energy Svcs Inc         Com      868157108          929       92,300 Shs  Def   6       92,300
Superior Energy Services Inc     Com      868157108           17        1,700 Shs  Def  12                     1,700
Superior Financial Corp          Com      868161100        2,274      137,400 Shs  Def   6      133,100                      4,300
Superior Financial Corp.         Com      868161100        1,151       69,529 Shs  Def   7       69,529
Superior Industries Intl Inc     Com      868168105           73        1,500 Shs  Def  12                     1,500
Superior Uniform Group I         Com      868358102        1,107      103,000 Shs  Def   6       99,200                      3,800
Superior Uniform Group Inc       Com      868358102          134       12,500 Shs  Def  12                    12,500
Superior Tr I Pfd Conv 8.50%     Pfd      86836P202            5        1,700 Shs  Def  12                     1,700
Supertex Inc                     Com      868532102            2          100 Shs  Def  12                       100
Supervalu Inc Com                Com      868536103       34,054    1,319,910 Shs  Def   3    1,287,110                     32,800
Supervalu Inc                    Com      868536103          346       13,400 Shs  Def   5        9,900                      3,500
Supervalu Inc Com                Com      868536103       35,188    1,363,600 Shs  Def   6    1,257,230                    106,370
Supervalu Inc                    Com      868536103        1,228       47,604 Shs  Def  12                    47,604
Supreme Inds Inc                 Com      868607102          981      159,473 Shs  Def   6      154,307                      5,166
Supreme Industries Inc-Cl A      Com      868607102            8        1,337 Shs  Def  12                     1,337
Surebeam Corp                    Com      86866R102           11        2,000 Shs  Def  12                     2,000
Surgilight Inc                   Com      868828104            2        6,500 Shs  Def  12                     6,500
Surgutneftegaz Jsc Spon Adr      ADR      868861204          329       18,270 Shs  Def   3       18,270
Susquehanna Bancshares Inc-Pa    Com      869099101          702       28,681 Shs  Def  12                    28,681
Swepco Capital I-7.875% Trust    Pfd      870695202           30        1,200 Shs  Def  12                     1,200
Swift Energy Co                  Com      870738101        9,294      471,800 Shs  Def   6      460,600                     11,200
Swift Energy Co                  Com      870738101           32        1,600 Shs  Def  12                     1,600
Swift Transn Co                  Com      870756103        2,669      121,780 Shs  Def   6      121,780
Swift Transportation Co Inc      Com      870756103          470       21,445 Shs  Def  12                    21,445
Swiss Helvetia Fund Inc          Cl End Fd870875101          176       15,350 Shs  Def  12                    15,350
Switchboard Inc                  Com      871045100            1          100 Shs  Def   2          100
Sybase Inc                       Com      871130100       12,108      693,100 Shs  Def   3      643,900                     49,200
Sybase, Inc.                     Com      871130100       13,310      761,900 Shs  Def   8                   761,900
Sybase Inc.                      Com      871130100            8          450 Shs  Def   9                       450
Sybase, Inc.                     Com      871130100       90,482    5,179,300 Shs  Def  10    5,179,300
Sybase Inc                       Com      871130100          200       11,440 Shs  Def  12                    11,440
Sybron Dental Specialties Inc    Com      871142105        1,903       94,700 Shs  Def   3       76,300                     18,400
Sybron Dental Specialties, Inc   Com      871142105           27        1,333 Shs  Def   7        1,333
Sybron Dental Specialties Inc    Com      871142105          478       23,791 Shs  Def  12                    23,791
Sycamore Networks Inc            Com      871206108           16        4,090 Shs  Def  12                     4,090
Sykes Enterprises Inc            Com      871237103            5          500 Shs  Def  12                       500
Sylvan Inc                       Com      871371100          610       52,800 Shs  Def   6       50,000                      2,800
Sylvan Inc                       Com      871371100          197       17,046 Shs  Def  12                    17,046
Sylvan Learning Systems Inc      Com      871399101          196        6,923 Shs  Def  12                     6,923
Symantec Corporation             Com      871503108          124        3,000 Shs  Def   2        3,000
Symantec Corp Com Nasd Indl      Com      871503108        4,001       97,100 Shs  Def   3       86,600                     10,500
Symantec Corp                    Com      871503108        4,354      105,660 Shs  Def   6      105,660
Symantec Corporation             Com      871503108       14,300      347,000 Shs  Def   8                   347,000
Symantee Corp                    Com      871503108            8          200 Shs  Def   9                       200
Symantec Corporation             Com      871503108      113,756    2,760,400 Shs  Def  10    2,760,400
Symantec Corp                    Com      871503108        5,419      131,496 Shs  Def  12                   131,496
Symantec Corporation             Com      871503108       53,573    1,300,000 Shs  Def  14    1,300,000
Symbol Technologies              Com      871508107        4,306      383,100 Shs  Def   1      131,600                    251,500
Symbol Technologies Inc.         Com      871508107           14        1,282 Shs  Def   2        1,282
Symbol Technologies Inc          Com      871508107          125       11,112 Shs  Def  12                    11,112
Symbol Technologies Inc          Com      871508107           56        5,000 Shs  Def                         5,000
Symmetricom Inc                  Com      871543104            1          235 Shs  Def  12                       235
Symyx Technologies Inc           Com      87155S108           10          500 Shs  Def  12                       500
Synalloy Cp Del                  Com      871565107           67       13,900 Shs  Def   6       13,800                        100
Synaptic Pharmaceutical Corp     Com      87156R109            2          300 Shs  Def  12                       300
Synavant Inc                     Com      87157A105            1          175 Shs  Def  12                       175
Synopsys Inc                     Com      871607107       13,237      239,980 Shs  Def   3      230,280                      9,700
Synopsys Inc                     Com      871607107        1,136       20,595 Shs  Def   6       20,595
Synopsys Inc                     Com      871607107           67        1,213 Shs  Def  12                     1,213
Syngenta Ag - Sponsored          ADR      87160A100          368       29,893 Shs  Def   2       29,893
Syngenta Ag - Sponsored Adr      ADR      87160A100            3          248 Shs  Def   7          248
Synovus Financial Corp.          Com      87161C105           36        1,192 Shs  Def   2        1,192
Synovus Financial Corp.          Com      87161C105        4,789      157,125 Shs  Def   7      157,125
Synovus Financial Corp           Com      87161C105           96        3,156 Shs  Def  12                     3,156
Synthetech Inc                   Com      87162E100            2        1,000 Shs  Def  12                     1,000
Syntel Inc                       Com      87162H103            4          300 Shs  Def  12                       300
Sysco Corp.                      Com      871829107       20,213      677,834 Shs  Def   2      660,234                     17,600
Sysco                            Com      871829107           27          918 Shs  Def   4          918
Sysco Corp.                      Com      871829107        5,807      194,725 Shs  Def   7      194,725
Sysco Corp                       Com      871829107          280        9,393 Shs  Def  11        2,800        6,374           219
Sysco Corp                       Com      871829107          783       26,259 Shs  Def  12                    26,259
Systemax Inc                     Com      871851101            1          300 Shs  Def  12                       300
Systems & Computer               Com      871873105           19        1,437 Shs  Def   2        1,437
Systems & Computer Technology    Com      871873105            3          200 Shs  Def  12                       200
Systex Corp Gdr 144A             GDR      87203M103           67       21,852 Shs  Def   3       21,852
Tbc Corp  Com  Nasd Indl         Com      872180104        4,652      320,800 Shs  Def   3      309,600                     11,200
Tbc Corp                         Com      872180104        5,133      353,980 Shs  Def   6      343,080                     10,900
Tbc Corp                         Com      872180104          156       10,787 Shs  Def  12                    10,787
Tb Woods Corp                    Com      872226105          418       56,000 Shs  Def   6       54,300                      1,700
Tbx Resources Inc                Com      872228101            1        3,810 Shs  Def  12                     3,810
Tcf Financial Corp.              Com      872275102        8,961      170,325 Shs  Def   7      170,325
Tcf Financial Corp               Com      872275102          233        4,438 Shs  Def  12                     4,438
Tci Communications Financing     Pfd      87228U205          101        4,040 Shs  Def  12                     4,040
Tc Pipelines Lp                  Com      87233Q108           25        1,000 Shs  Def  12                     1,000
Tcw Convertible Securities       Cl End Fd872340104          531       60,673 Shs  Def  12                    60,673
Tcw Dw Term Trust 2002-Sbi       Cl End Fd87234T101           11        1,000 Shs  Def  12                     1,000
Tcw Dw Term Trust 2003-Sbi       Cl End Fd87234U108           85        7,927 Shs  Def  12                     7,927
Tds Capital Ii-8.04% Trust       Pfd      87235R203           54        2,200 Shs  Def  12                     2,200
Teco Energy Inc.                 Com      872375100           11          400 Shs  Def   2          400
Teco Energy                      Com      872375100           11          378 Shs  Def   6          378
Teco Energy Inc                  Com      872375100          714       24,936 Shs  Def  12                    24,936
Teco Energy Inc                  Pfd      872375209           28        1,000 Shs  Def  12                     1,000
Teppco Partners Lp               Com      872384102          839       26,768 Shs  Def  12                    26,768
Teppco Partners                  Com      872384102           63        2,000 Shs  Def                         2,000
Tf Finl Corp                     Com      872391107          176        7,600 Shs  Def   6        6,600                      1,000
Thq Inc New                      Com      872443403          583       11,873 Shs  Def  12                    11,873
Tjx Cos Inc New  Com             Com      872540109       18,929      473,100 Shs  Def   3      460,500                     12,600
Tjx Companies (New)              Com      872540109          642       16,050 Shs  Def   5        9,288                      6,762
Tjx Cos Inc New                  Com      872540109        4,951      123,755 Shs  Def   6      123,755
Tjx Companies, Inc.              Com      872540109        1,472       36,800 Shs  Def   8                    36,800
Tjx Companies, Inc.              Com      872540109       66,017    1,650,000 Shs  Def  10    1,650,000
Tjx Companies Inc New            Com      872540109        2,498       62,443 Shs  Def  12                    62,443
Tlc Laser Eye Ctrs In            Com      87255E108           79       21,280 Shs  Def   6        2,500                     18,780
***Tlc Laser Eye Ctrs Inc        Com      87255E108            4        1,300 Shs  Def  12                     1,300
Tmbr/Sharp Drilling Inc          Com      87257P101          880       57,700 Shs  Def   6       55,600                      2,100
Tmbr/Sharp Drilling Inc          Com      87257P101            4          292 Shs  Def  12                       292
T R W Inc.                       Com      872649108          137        2,670 Shs  Def   2        2,670
Trw Inc                          Com      872649108        4,864       94,495 Shs  Def   6       94,495
T R W Inc.                       Com      872649108        1,515       29,300 Shs  Def   9                                  29,300
Trw Inc                          Com      872649108          523       10,160 Shs  Def  12                    10,160
Tsr Inc                          Com      872885108          194       34,200 Shs  Def   6       33,000                      1,200
Tmp Worldwide Inc                Com      872941109           23          660 Shs  Def  12                       660
Texas Utilities Capital I        Pfd      873167209          162        6,600 Shs  Def  12                     6,600
Txu Corp                         Com      873168108          480        8,800 Shs  Def   2        8,800
Txu Corporation                  Com      873168108       24,273      445,300 Shs  Def   3      434,600                     10,700
Txu Corp Com                     Com      873168108       32,874      602,593 Shs  Def   6      585,753                     16,840
Txu Corp                         Com      873168108            1           17 Shs  Def   7           17
Txu Corp                         Com      873168108          226        4,150 Shs  Def  11        3,340          810
Txu Corp                         Com      873168108        4,219       77,392 Shs  Def  12                    77,392
Txu                              Com      873168108       18,260      335,000 Shs  Def  13      335,000
Txu Corporation                  Com      873168108           17          200 Shs  Def  15          200
Txu Europe Cap I                 Pfd      87316S203           31        1,200 Shs  Def  12                     1,200
Txu Gas Co Pfd Ser F             Pfd      873170302           37        1,500 Shs  Def  12                     1,500
Txu Us Hldgs Co                  Pfd      87317Q768           13          500 Shs  Def  12                       500
Tab Products Co-Delaware         Com      873197107            4        1,000 Shs  Def  12                     1,000
Taiwan Semiconductor Co.         ADR      874039100          168        8,101 Shs  Def   2        8,101
Taiwan Semiconductor - Sp Adr    ADR      874039100          491       23,481 Shs  Def   3       23,481
Taiwan Semiconductor             Com      874039100       12,198      595,489 Shs  Def   6      548,731                     46,758
Taiwan Semi Mfg Ltd              ADR      874039100           62        3,000 Shs  Def                         3,000
Take-Two Interactive Software    Com      874054109            2          100 Shs  Def  12                       100
Talbots Inc                      Com      874161102            4          127 Shs  Def   6          127
Talbots Inc                      Com      874161102          200        5,645 Shs  Def  12                     5,645
Talisman Energy Inc              Com      87425E103       11,971      286,800 Shs  Def   3      267,600                     19,200
Talisman Energy Inc              Com      87425E103            2           57 Shs  Def   6           57
***Talisman Energy Inc           Com      87425E103            4          103 Shs  Def  12                       103
Talisman Energy Inc              Pfd      87425E509           18          700 Shs  Def  12                       700
Talk America Holdings Inc        Com      87426R103           22       50,545 Shs  Def  12                    50,545
Talk America Holdings Inc        Com      87426R103        2,397    5,574,200 Shs  Def  14    5,574,200
Tandy Brands Accessories         Com      875378101          844       89,300 Shs  Def   6       85,900                      3,400
Tanger Factory Outlet Centers    Com      875465106          410       15,316 Shs  Def  12                    15,316
Tanning Technology Corp          Com      87588P101            1          700 Shs  Def  12                       700
Tarantella Inc                   Com      876090101            4        7,900 Shs  Def  12                     7,900
Target Corp.                     Com      87612E106       14,092      326,820 Shs  Def   1      136,320                    190,500
Target Corp                      Com      87612E106       11,664      270,505 Shs  Def   2      266,505                      4,000
Target Corp                      Com      87612E106        4,965      115,139 Shs  Def   3      110,639                      4,500
Target                           Com      87612E106           31          709 Shs  Def   4          709
Target Corp                      Com      87612E106        5,539      128,449 Shs  Def   5      104,049                     24,400
Target Corp                      Com      87612E106        2,827       65,547 Shs  Def   6       65,547
Target Corp                      Com      87612E106        1,121       26,000 Shs  Def   7       26,000
Target Corp                      Com      87612E106          532       12,335 Shs  Def  11        6,740        5,350           245
Target Corp                      Com      87612E106        7,176      166,414 Shs  Def  12                   166,414
Target Corp.                     Com      87612E106          179        2,600 Shs  Def  15        2,600
Targets Trust Vi                 Com      87612P101            3          750 Shs  Def  12                       750
Tasty Baking Co.                 Com      876553306           91        5,000 Shs  Def   9                                   5,000
Tasty Baking Co                  Com      876553306          635       35,087 Shs  Def  12                    35,087
Taubman Centers, Inc.            Com      876664103           60        4,000 Shs  Def   2        4,000
Taubman Ctrs Inc                 Com      876664103          173       11,500 Shs  Def   3       11,500
Taubman Centers Inc              Com      876664103           38        2,500 Shs  Def  12                     2,500
Taubman Centers Inc-8.30% Cum    Pfd      876664202           35        1,500 Shs  Def  12                     1,500
Calvin B Taylor Bankshares Inc   Com      876838103            9          264 Shs  Def  12                       264
Team Inc                         Com      878155100           14        2,000 Shs  Def  12                     2,000
Teamstaff Inc                    Com      87815U204            1          142 Shs  Def  12                       142
Tech Data Companies              Com      878237106          203        4,425 Shs  Def   5        3,525                        900
Tech Data Corp                   Com      878237106            6          120 Shs  Def   6          120
Tech Data Corp                   Com      878237106          222        4,833 Shs  Def  12                     4,833
Tech Ops Sevcon Inc              Com      878293109           74        8,000 Shs  Def   6        8,000
Techne Corp                      Com      878377100           11          400 Shs  Def  12                       400
Technip S A Sponsored            Com      878546209          459       12,824 Shs  Def   6        6,478                      6,346
Technitrol                       Com      878555101        6,054      253,945 Shs  Def   4      253,945
Technitrol Inc                   Com      878555101        8,610      361,145 Shs  Def   6      351,345                      9,800
Technitrol Inc                   Com      878555101          763       32,014 Shs  Def  12                    32,014
Techtronic Inds Ltd S            Com      87873R101        2,887      201,561 Shs  Def   6      178,906                     22,655
Teco Capital Trust I-8.50%       Pfd      87875R208          121        4,600 Shs  Def  12                     4,600
Tecumseh Products Co  -Cl A      Com      878895200        1,146       21,500 Shs  Def   3       21,500
Tecumseh Prods Co                Com      878895200        5,149       96,600 Shs  Def   6       93,000                      3,600
Tecumseh Products Co-Cl A        Com      878895200          123        2,300 Shs  Def  12                     2,300
Tekelec Inc                      Com      879101103          104        9,078 Shs  Def  12                     9,078
Tektronix, Inc.                  Com      879131100           34        1,420 Shs  Def   2        1,420
Tektronix Inc                    Com      879131100            9          400 Shs  Def  12                       400
Telebanc Capital Trust Ii        Pfd      87925Y203        1,450       67,600 Shs  Def  12                    67,600
Telecominicaoes Brasileiras      ADR      879287308            2           50 Shs  Def   2           50
Telecommunications Systems Inc   Com      87929J103           10        3,100 Shs  Def  12                     3,100
Teledyne Technologies Inc        Com      879360105           20        1,224 Shs  Def  12                     1,224
Teleflex Inc.                    Com      879369106           55        1,000 Shs  Def   2        1,000
Teleflex Inc                     Com      879369106          224        4,100 Shs  Def  11        4,100
Teleflex Inc                     Com      879369106       10,322      188,804 Shs  Def  12                   188,804
Telefonica Sa Spons Adr          ADR      879382208        1,305       39,407 Shs  Def   2       39,407
Telefonica De Espana             Com      879382208        5,373      162,960 Shs  Def   6      140,024                     22,936
Telefonica Sa                    SPON ADR 879382208        5,485      103,962 Shs  Def  15      103,962
Telefonos De Mexico Sa           ADR      879403780          160        3,954 Shs  Def   2        3,954
Telefonos De Mexico Sa           ADR      879403780        2,818       69,772 Shs  Def   3       69,772
Telefonos De Mexico Sa           SPON ADR 879403780            6          100 Shs  Def  15          100
Telephone & Data Systems,        Com      879433100          447        5,065 Shs  Def   2        5,065
Telephone & Data Sys Inc  Com    Com      879433100        2,586       29,300 Shs  Def   3       26,600                      2,700
Telephone & Data Systems Inc     Com      879433100        1,639       18,573 Shs  Def   6       18,573
Telephone & Data Systems Inc     Com      879433100           30          337 Shs  Def  12                       337
Telephone & Data Systems Inc     Pfd      879433878           25        1,000 Shs  Def  12                     1,000
Telik Inc                        Com      87959M109          369       30,450 Shs  Def  12                    30,450
Tellabs, Inc.                    Com      879664100           13        1,200 Shs  Def   2        1,200
Tellabs Inc                      Com      879664100          438       41,850 Shs  Def   5       29,350                     12,500
Tellabs Inc Delaware             Com      879664100          188       17,935 Shs  Def   6       17,935
Tellabs, Inc.                    Com      879664100            6          600 Shs  Def   7          600
Tellabs, Inc.                    Com      879664100       74,822    7,146,289 Shs  Def   8                 7,146,289
Tellabs Inc.                     Com      879664100          466       44,668 Shs  Def   9                       450        44,218
Tellabs, Inc.                    Com      879664100      136,758   13,061,860 Shs  Def  10   13,061,860
Tellabs Inc                      Com      879664100        2,183      208,460 Shs  Def  12                   208,460
Tellabs Inc.                     Com      879664100           15          900 Shs  Def  15          900
***Telus Corporation             Com      87971M202            3          253 Shs  Def  12                       253
Temple Inland Inc.               Com      879868107          136        2,400 Shs  Def   2        2,400
Temple Inland Inc Com            Com      879868107          336        5,925 Shs  Def   5        4,550                      1,375
Temple Inland                    Com      879868107          545        9,606 Shs  Def   6        9,606
Temple Inland Inc.               Com      879868107           79        1,400 Shs  Def   7        1,400
Temple Inland Inc                Com      879868107          597       10,523 Shs  Def  12                    10,523
Templeton Global Govts Income    Cl End Fd879929107        1,311      207,465 Shs  Def  12                   207,465
Templeton Dragon Fund Inc        Cl End Fd88018T101           66        8,125 Shs  Def  12                     8,125
Templeton China World Fund       Cl End Fd88018X102          134       14,711 Shs  Def  12                    14,711
Templeton Emerging Markets       Cl End Fd880190103           20        1,750 Shs  Def  12                     1,750
Templeton Emerging Markets       Cl End Fd880191101          260       24,737 Shs  Def  12                    24,737
Templeton Emerging Markets       Cl End Fd880192109        2,118      180,264 Shs  Def  12                   180,264
Templeton Global Income Fund     Cl End Fd880198106          332       48,363 Shs  Def  12                    48,363
Tenet Healthcare Corp.           Com      88033G100           67        1,000 Shs  Def   2        1,000
Tenet Healthcare Corp            Com      88033G100        6,434       96,000 Shs  Def   3       96,000
Tenet Healthcare Corp            Com      88033G100            4           53 Shs  Def   6           53
Tenet Healthcare Corp            Com      88033G100        1,315       19,618 Shs  Def  12                    19,618
Tengasco Inc (New)               Com      88033R205           58        9,855 Shs  Def  12                     9,855
Tengtu International Corp.       Com      88033T102           11       10,000 Shs  Def  15       10,000
Tennant Co                       Com      880345103           38          900 Shs  Def   2          900
Tennant Co                       Com      880345103           12          276 Shs  Def  12                       276
Tenneco Automotive Inc           Com      880349105            1          361 Shs  Def  12                       361
Tennessee Valley Auth            Pfd      880591300           75        3,000 Shs  Def  12                     3,000
Tennessee Valley Auth 6.50%      Pfd      880591409           88        3,500 Shs  Def  12                     3,500
Tenn Valley Auth   .000  5-01-   Com      88059EGX6           10       27,000 Shs  Def   6       27,000
Teradyne Inc                     Com      880770102          118        3,000 Shs  Def   6        3,000
Teradyne Inc                     Com      880770102          670       16,994 Shs  Def  12                    16,994
Terayon Communication Systems    Com      880775101          147       17,360 Shs  Def  12                    17,360
Terex Corp New                   Com      880779103       15,877      702,500 Shs  Def   6      682,700                     19,800
Terex Corp New                   Com      880779103            5          200 Shs  Def  12                       200
Tesco Plc-Adr                    Com      881575302        3,219      304,230 Shs  Def   6      204,950                     99,280
Tesoro Pete Corp                 Com      881609101       15,787    1,123,600 Shs  Def   6    1,093,800                     29,800
Tesoro Petroleum Corp            Com      881609101            4          300 Shs  Def  12                       300
Teva Pharmaceutical-Sp           ADR      881624209           18          332 Shs  Def   2          332
Tetra Technologies Inc Del       Com      88162F105       12,255      421,850 Shs  Def   3      397,450                     24,400
Tetra Technologies Inc D         Com      88162F105        4,340      149,400 Shs  Def   6      144,500                      4,900
Tetra Technologies Inc Del       Com      88162F105            6          200 Shs  Def   7          200
Tetra Tech Inc New               Com      88162G103           80        5,600 Shs  Def  12                     5,600
Texas Biotechnology Corp         Com      88221T104            2          300 Shs  Def  12                       300
Texas Industries Inc             Com      882491103        2,974       72,175 Shs  Def  12                    72,175
Texas Instruments, Inc.          Com      882508104          495       14,960 Shs  Def   1       13,900                      1,060
Texas Instruments Inc.           Com      882508104        8,412      254,125 Shs  Def   2      252,125                      2,000
Texas Instrs Inc  Com            Com      882508104        6,959      210,250 Shs  Def   3      202,150                      8,100
Texas Instruments                Com      882508104       12,901      389,763 Shs  Def   4      389,763
Texas Instruments Inc Com        Com      882508104        1,938       58,550 Shs  Def   5       53,275                      5,275
Texas Instruments                Com      882508104            5          136 Shs  Def   6           80                         56
Texas Instruments Inc.           Com      882508104           96        2,900 Shs  Def   7        2,900
Texas Inst. Inc.                 Com      882508104           84        2,549 Shs  Def   9                                   2,549
Texas Instruments Inc            Com      882508104        1,143       34,541 Shs  Def  11       27,266        4,535         2,390
Texas Instruments Inc            Com      882508104        9,368      283,031 Shs  Def  12                   283,031
Texas Instruments Inc.           Com      882508104        5,427      102,900 Shs  Def  15      102,900
Texas Pacific Land Trust         Com      882610108          251        6,585 Shs  Def  12                     6,585
Texas Regional Bancshares Inc    Com      882673106          271        6,200 Shs  Def   3        6,100                        100
Texas Regional Bancshares Inc    Com      882673106        8,014      183,564 Shs  Def   7      183,564
Thai Fund Inc                    Cl End Fd882904105           25        5,100 Shs  Def  12                     5,100
Textron Capital I Trust Pfd      PFD      883198202           25        1,000 Shs  Def   2        1,000
Textron Capital I-7.92% Trust    Pfd      883198202          945       37,850 Shs  Def  12                    37,850
Textron Inc.                     Com      883203101          227        4,450 Shs  Def   2        4,450
Textron Inc Com                  Com      883203101          231        4,525 Shs  Def   5        3,341                      1,184
Textron Inc                      Com      883203101       13,008      254,561 Shs  Def   6      254,540                         21
Textron Inc.                     Com      883203101          483        9,600 Shs  Def   9                                   9,600
Textron Inc                      Com      883203101        8,815      172,508 Shs  Def  12                   172,508
Theragenics Corp Com             Com      883375107        3,652      368,870 Shs  Def   3      333,770                     35,100
Theragenics Corp                 Com      883375107            4          400 Shs  Def   6          400
Theragenics Corp                 Com      883375107           45        4,500 Shs  Def  12                     4,500
Therasense Inc                   Com      883381105           75        3,975 Shs  Def  12                     3,975
Thermo Electron Corp.            Com      883556102           34        1,635 Shs  Def   2        1,635
Thermo Electron Corp             Com      883556102          338       16,300 Shs  Def   6       16,300
Thermo Electron Corp.            Com      883556102           21        1,000 Shs  Def   7        1,000
Thermo Electron Corp             Com      883556102          163        7,879 Shs  Def  12                     7,879
Thomas & Betts Corp              Com      884315102           10          450 Shs  Def  12                       450
Thomas Inds Inc                  Com      884425109          266        9,100 Shs  Def   6        9,100
Thor Inds Inc  Com               Com      885160101          877       18,550 Shs  Def   3       17,450                      1,100
Thor Inds Inc                    Com      885160101          284        6,000 Shs  Def   6        3,900                      2,100
Thornburg Mtg Asset Corp         Com      885218107       11,561      576,915 Shs  Def   3      539,915                     37,000
Thornburg Mortgage Inc           Com      885218107           26        1,300 Shs  Def  12                     1,300
3 Com Corp.                      Com      885535104            1          225 Shs  Def   2          225
3Com Corp                        Com      885535104        8,897    1,456,070 Shs  Def   6    1,301,570                    154,500
3Com Corp                        Com      885535104          109       17,921 Shs  Def  12                    17,921
3Com Corp                        Com      885535104           31        5,000 Shs  Def                         5,000
3Do Co                           Com      88553W105            1        1,000 Shs  Def  12                     1,000
3-D Systems Corp-Del New         Com      88554D205           11          700 Shs  Def  12                       700
Three Five Systems Inc           Com      88554L108            7          450 Shs  Def  12                       450
Three Rivs Bancorp Inc           Com      88562Q107        1,011       74,600 Shs  Def   6       71,800                      2,800
Three Rivs Bancorp Inc           Com      88562Q107            8          600 Shs  Def  12                       600
3Tec Energy Corp                 Com      88575R308        3,933      230,700 Shs  Def   6      224,200                      6,500
Tibco Software Inc               Com      88632Q103          382       32,450 Shs  Def   6       32,450
Tibco Software Inc               Com      88632Q103           17        1,425 Shs  Def  12                     1,425
Ticketmaster                     Com      88633P203           12          400 Shs  Def  12                       400
Tidewater Inc                    Com      886423102       37,189      875,450 Shs  Def   6      800,975                     74,475
Tidewater Inc                    Com      886423102          128        3,015 Shs  Def  12                     3,015
Tier Technologies Inc Cl - B     Com      88650Q100          108        6,100 Shs  Def   3        6,100
Tiffany & Company New            Com      886547108            8          216 Shs  Def   6          216
Tiffany & Co New                 Com      886547108           65        1,828 Shs  Def  12                     1,828
Timberland Bancorp Inc           Com      887098101          886       57,500 Shs  Def   6       55,800                      1,700
Timberland Co                    Com      887100105       12,688      300,300 Shs  Def   6      294,900                      5,400
Timberland Co-Cl A               Com      887100105           55        1,300 Shs  Def  12                     1,300
Timken Co                        Com      887389104           83        3,600 Shs  Def  12                     3,600
Timken Co                        Com      887389104           46        2,000 Shs  Def                         2,000
Tipperary Corp New               Com      888002300           30       19,000 Shs  Def  12                    19,000
Tippingpoint Technologies Inc    Com      888011103            4          459 Shs  Def  12                       459
Titan Corp                       Com      888266103           78        3,780 Shs  Def  12                     3,780
Titanium Metals Corp             Com      888339108           17        3,200 Shs  Def  12                     3,200
Tivo Inc                         Com      888706108            1          100 Shs  Def  12                       100
Todd Shipyards Corp Del          Com      889039103          850       78,300 Shs  Def   6       76,200                      2,100
Todhunter Intl Inc Del           Com      889050100          228       23,800 Shs  Def   6       21,500                      2,300
Toledo Edison Co 4 1/4% Pfd      Pfd      889175204           91        1,500 Shs  Def  12                     1,500
Toledo Edison Co-4.25% Pfd       Pfd      889175303           91        1,650 Shs  Def  12                     1,650
Toledo Edison Co-4.56% Pfd       Pfd      889175402            6          100 Shs  Def  12                       100
Toll Brothers Inc  Com           Com      889478103          219        4,400 Shs  Def   3        4,400
Toll Brothers Inc                Com      889478103          268        5,375 Shs  Def  12                     5,375
Tollgrade Communications Inc     Com      889542106            2          100 Shs  Def  12                       100
Tomra Systems Asa                ADR      889905204           28        3,000 Shs  Def   2        3,000
Tomkins Plc Sponsored            ADR      890030208            7          500 Shs  Def   2          500
Too Inc                          Com      890333107           37        1,265 Shs  Def  12                     1,265
Tootsie Roll Industries Inc.     Com      890516107        1,597       34,729 Shs  Def   2       34,729
Tootsie Roll                     Com      890516107           97        2,119 Shs  Def   4        2,119
Tootsie Roll Industries Inc      Com      890516107          183        3,981 Shs  Def  12                     3,981
Topps Inc                        Com      890786106        7,524      783,800 Shs  Def   6      758,800                     25,000
Tor Minerals Intl Inc            Com      890878101            3        2,520 Shs  Def  12                     2,520
Torch Energy Royalty Trust       Com      891013104            1          200 Shs  Def  12                       200
Torch Offshore Inc               Com      891019101            1          150 Shs  Def  12                       150
Torchmark Corp  Com              Com      891027104       13,022      323,215 Shs  Def   3      317,215                      6,000
Torchmark Corp                   Com      891027104        5,741      142,495 Shs  Def   6      142,495
Torchmark Corp                   Com      891027104        1,012       25,110 Shs  Def  12                    25,110
Torchmark Capital Trust I        Pfd      89102Q201           12          500 Shs  Def  12                       500
Toro Co  Com                     Com      891092108        2,130       35,740 Shs  Def   3       29,940                      5,800
Toro Co                          Com      891092108       15,571      262,444 Shs  Def   6      252,259          380         9,805
Banque Toronto Dominion          Com      891160509          206        7,500 Shs  Def  12                     7,500
Torrington Water Co              Com      891466104           51          700 Shs  Def  12                       700
Total Fina Elf S.A. Adr          ADR      89151E109       11,273      147,170 Shs  Def   2      147,170
Touch America Holdings Inc       Com      891539108           46       11,950 Shs  Def  12                    11,950
Tower Automotive Inc             Com      891707101          460       32,900 Shs  Def   3       32,900
Tower Automotive Inc             Com      891707101       10,881      777,800 Shs  Def   6      754,700                     23,100
Tower Automotive Inc             Com      891707101            8          600 Shs  Def  12                       600
Total System Services Inc.       Com      891906109          503       20,000 Shs  Def   7       20,000
Total System Services Inc        Com      891906109           15          577 Shs  Def  12                       577
Track Data Corp                  Com      891918104           68       46,220 Shs  Def  12                    46,220
The Town And Country Trust       Com      892081100          276       12,500 Shs  Def   2       12,500
Town & Country Trust             Com      892081100          696       31,500 Shs  Def  12                    31,500
Toyota Mtr Ltd                   Com      892331307        5,521       98,630 Shs  Def   6       81,215                     17,415
Toys R Us Inc                    Com      892335100          405       22,560 Shs  Def   6       22,560
Toys 'R' Us, Inc.                Com      892335100       81,968    4,563,919 Shs  Def   8                 4,563,919
Toys 'R' Us Inc.                 Com      892335100          834       48,014 Shs  Def   9                                  48,014
Toys 'R' Us, Inc.                Com      892335100      170,561    9,496,701 Shs  Def  10    9,496,701
Toys R Us Inc                    Com      892335100        1,555       86,596 Shs  Def  12                    86,596
Toys R Us                        Com      892335100           20          700 Shs  Def  15          700
Tractor Supply Co                Com      892356106          102        2,220 Shs  Def   3        2,220
Tractor Supply Co                Com      892356106        1,785       38,800 Shs  Def   6       38,800
Tractor Supply Co                Com      892356106           60        1,300 Shs  Def  12                     1,300
Trammell Crow Co                 Com      89288R106        8,284      571,300 Shs  Def   6      556,800                     14,500
Trans World Entmt Cor            Com      89336Q100        7,255      863,253 Shs  Def   6      841,008        1,720        20,525
Transaction Sys Architects Cl A  Com      893416107        1,671      146,540 Shs  Def   3      116,740                     29,800
Transaction Systems Architects   Com      893416107           11        1,000 Shs  Def  12                     1,000
Transaction Systems Architects   CLASS A  893416107           19        1,050 Shs  Def  15        1,050
Transamerica Income Shares Inc   Cl End Fd893506105          154        6,000 Shs  Def  12                     6,000
Transatlantic Holding Inc        Com      893521104            2           22 Shs  Def   6           22
Transatlantic Holdings, Inc.     Com      893521104           72          873 Shs  Def   7          873
Transatlantic Holdings Inc       Com      893521104          254        3,097 Shs  Def  12                     3,097
***Transcanada Capital-8.75%     Pfd      893525204            5          200 Shs  Def  12                       200
***Transcanada Pipelines Ltd     Com      893526103            1          100 Shs  Def  12                       100
***Transcanada Pipelines Ltd     Pfd      893526723           30        1,200 Shs  Def  12                     1,200
Transcontinental Realty          Com      893617209            1           62 Shs  Def  12                        62
Transkaryotic Therapies Inc      Com      893735100           22          500 Shs  Def  12                       500
Transmedia Asia Pacific Inc      Com      89376P103            1       45,000 Shs  Def  12                    45,000
Transmeta Corp Del               Com      89376R109            4        1,150 Shs  Def  12                     1,150
Travelers P&C Capital I          Pfd      893931204          612       24,450 Shs  Def  12                    24,450
Transamerica Finance Corp        Pfd      893950204           41        1,700 Shs  Def  12                     1,700
Travelocity.Com Inc              Com      893953109           59        2,100 Shs  Def   3          500                      1,600
Travelocity.Com Inc              Com      893953109            8          300 Shs  Def  12                       300
Transwitch Corp                  Com      894065101           17        5,324 Shs  Def  12                     5,324
Travelers Corporate Loan         Cl End Fd894185107           20        1,500 Shs  Def  12                     1,500
Travelers P&C Capital Ii         Pfd      89420B209          185        7,400 Shs  Def  12                     7,400
Travelers Property Casualty Corp Com      89420G109        8,899      444,950 Shs  Def   6      424,650                     20,300
Travelers Property Casualty Corp Com      89420G109          700       35,000 Shs  Def   8                    35,000
Travelers Property Casualty Corp Com      89420G109           13          650 Shs  Def  12                       650
Travelers Property Casualty Corp Com      89420G109          310       15,500 Shs  Def                        15,500
Treasury International Inc       Com      894641208            1          320 Shs  Def  12                       320
Tredegar Corporation             Com      894650100           30        1,630 Shs  Def  12                     1,630
Tremont Corp-Del New             Com      894745207            2           70 Shs  Def  12                        70
Trendwest Resorts Inc            Com      894917103        1,040       43,300 Shs  Def   6       43,300
Trex Inc                         Com      89531P105          628       26,545 Shs  Def  12                    26,545
Tri City Bank Shares Corp -      Com      895364107            1           15 Shs  Def   2           15
Tri-Continental Corp             Cl End Fd895436103          550       28,401 Shs  Def  12                    28,401
Tri-Continental Corp-$2.50 Pfd   Pfd      895436202            8          200 Shs  Def  12                       200
Triad Hospital Inc               Com      89579K109          458       13,309 Shs  Def  12                    13,309
Triad Gty Inc Com                Com      895925105        3,344       76,925 Shs  Def   3       73,525                      3,400
Triad Guaranty Inc               Com      895925105           48        1,100 Shs  Def  12                     1,100
Triarc Cos Inc                   Com      895927101       10,815      389,761 Shs  Def   6      379,776          775         9,210
Triarc Companies Inc Cvt Sub Deb Cvt      895927AB7        3,663   10,000,000 Prn  Def                                  10,000,000
Tricon Global Restaurants        Com      895953107          203        3,461 Shs  Def   2        3,461
Tricon Global Restaurants Com    Com      895953107        9,464      161,000 Shs  Def   3      161,000
Tricon Global Restaurants        Com      895953107          629       10,700 Shs  Def  11                    10,700
Tricon Global Restaurants Inc    Com      895953107          781       13,291 Shs  Def  12                    13,291
Tribune Co                       Com      896047107          107        2,350 Shs  Def   2        2,350
Tribune                          Com      896047107        8,678      190,886 Shs  Def   4      190,886
Une Co                           Com      896047107            3           58 Shs  Def   6                                      58
Tribune Co New                   Com      896047107          382        8,402 Shs  Def  12                     8,402
Tribune Company                  Com      896047107           72        1,000 Shs  Def  15        1,000
Tribune Co New (Phones)          Pfd      896047305            4           50 Shs  Def  12                        50
Trico Bancshares                 Com      896095106          480       22,800 Shs  Def   6       22,800
Trico Marine Services Inc        Com      896106101           13        1,500 Shs  Def  12                     1,500
Tricord Systems Inc              Com      896121100            2        5,750 Shs  Def  12                     5,750
Trikon Technologies Inc          Com      896187408           91        6,190 Shs  Def   3        6,190
Trigon Healthcare Inc            Com      89618L100       36,083      488,800 Shs  Def   3      470,400                     18,400
Trigon Healthcare Inc            Com      89618L100        6,089       82,490 Shs  Def   6       82,490
Trigon Healthcare Inc            Com      89618L100          556        7,538 Shs  Def  12                     7,538
Trigon Healthcare Inc.           Com      89618L100          235        2,000 Shs  Def  15        2,000
Trimble Nav Ltd                  Com      896239100            3          200 Shs  Def   2          200
Trimble Navigation Ltd           Com      896239100            5          300 Shs  Def  12                       300
Trinity Petroleum Trust-Cbi      Com      896556107            3          100 Shs  Def  12                       100
Triquint Semiconductor Inc       Com      89674K103           45        3,759 Shs  Def  12                     3,759
Triton Pcs Hldgs Inc             Com      89677M106            1          100 Shs  Def  12                       100
Triumph Group Inc New            Com      896818101        9,984      254,700 Shs  Def   6      248,400                      6,300
Triumph Group Inc New            Com      896818101            8          200 Shs  Def  12                       200
***Trizec Hahn Corporation       Com      896938107           20        1,250 Shs  Def  12                     1,250
Tropical Sportswear Intl         Com      89708P102        2,563      106,800 Shs  Def   6      102,400                      4,400
Trover Solutions Inc             Com      897249108        1,103      182,000 Shs  Def   6      176,300                      5,700
Trover Solutions Inc             Com      897249108           12        2,000 Shs  Def  12                     2,000
Trust Certificates 2001-3        Pfd      89826T200          114        4,600 Shs  Def  12                     4,600
Trust Co Nj Jersey City          Com      898304100        2,325       98,300 Shs  Def   6       98,300
Trust Co Of New Jersey New       Com      898304100           26        1,096 Shs  Def  12                     1,096
Trustco Bank Corp N Y            Com      898349105          276       21,372 Shs  Def  12                    21,372
Trustmark Corp                   Com      898402102        1,085       42,948 Shs  Def  12                    42,948
Trustmark Corp  Com  Nasd Indl   Com      898402102        1,579       62,500 Shs  Def   3       59,300                      3,200
Tularik Inc                      Com      899165104           16        1,000 Shs  Def  12                     1,000
Tumbleweed Communications        Com      899690101           64       17,694 Shs  Def  12                    17,694
Tupperware Corp.                 Com      899896104           10          420 Shs  Def   2          420
Tupperware Corp                  Com      899896104        1,125       49,447 Shs  Def  12                    49,447
Turnstone Systems Inc            Com      900423104           36        7,500 Shs  Def   7        7,500
Turnstone Systems Inc            Com      900423104            4          800 Shs  Def  12                       800
Ii Vi Inc                        Com      902104108           21        1,400 Shs  Def  12                     1,400
2002 Target Term Trust Inc       Cl End Fd902106103            2          116 Shs  Def  12                       116
Txu Capital Trust Ii             Pfd      90210S204           17          650 Shs  Def  12                       650
Tyco International Ltd           ADR      902124106        9,860      315,149 Shs  Def   2      312,469                      2,680
Tyco Intl Ltd New Com            Com      902124106        2,820       87,267 Shs  Def   3       69,367                     17,900
Tyco International               Com      902124106           87        2,683 Shs  Def   4        2,683
Tyco International Ltd           Com      902124106        7,777      240,635 Shs  Def   5      192,380                     48,255
Tyco Intl Ltd New Com            Com      902124106       35,129    1,088,438 Shs  Def   6    1,031,974                     56,464
Tyco International Ltd           FOR      902124106      227,378    7,035,200 Shs  Def   8                 7,035,200
Tyco International Ltd           Com      902124106        1,257       39,650 Shs  Def   9                                  39,650
Tyco International Ltd           For      902124106      446,644   13,819,440 Shs  Def  10   13,819,440
Tyco International Ltd           Com      902124106        1,563       48,368 Shs  Def  11       37,509        9,913           696
***Tyco International Ltd        Com      902124106       19,006      588,062 Shs  Def  12                   588,062
Tyco International Ltd           For      902124106       71,104    2,200,000 Shs  Def  14    2,200,000
Tyco Intl.                       Com      902124106          232        4,500 Shs  Def  15        4,500
Tyco Intl Ltd New                Bond     902124AC0        3,021       45,000 Shs  Def  12                    45,000
Tyler Corp New  Com              Com      902252105           53        9,200 Shs  Def   3        9,200
Tyson Foods Inc.                 Com      902494103           15        1,169 Shs  Def   2        1,169
Tyson Foods Inc                  Com      902494103            6          470 Shs  Def   6          470
Tyson Foods Inc-Cl A             Com      902494103            6          500 Shs  Def  12                       500
Ual Corp.                        Com      902549500            8          300 Shs  Def  15          300
Ual Corp-Depositary Shs-Repstg   Pfd      902549708           11          500 Shs  Def  12                       500
Ual Corp Capital Tr I-13.25%     Pfd      90254Y208           20          900 Shs  Def  12                       900
Ucar International Inc.          Com      90262K109        1,889      133,000 Shs  Def   2      133,000
Ucbh Holdings Inc.               Com      90262T308        8,336      231,675 Shs  Def   7      231,675
Uds Capital I-8.32% Trust        Pfd      902655208          280       11,323 Shs  Def  12                    11,323
Ugi Corp New Com                 Com      902681105        7,187      229,315 Shs  Def   3      217,715                     11,600
Ugi Corp New                     Com      902681105        2,925       93,115 Shs  Def   6       91,155          200         1,760
Ugi Corp Holding Co              Com      902681105           56        1,800 Shs  Def  12                     1,800
Uici Com                         Com      902737105        4,902      258,680 Shs  Def   3      243,480                     15,200
Uici                             Com      902737105          474       25,000 Shs  Def  12                    25,000
United Illum Co  Com             Com      902748102        1,509       25,980 Shs  Def   3       24,730                      1,250
Uil Hldg Corp                    Com      902748102        1,069       18,400 Shs  Def   6       15,300                      3,100
Uil Holdings Corp                Com      902748102          732       12,591 Shs  Def  12                    12,591
Umb Finl Corp                    Com      902788108        1,342       31,300 Shs  Def   6       31,300
Umb Financial Corp               Com      902788108            7          173 Shs  Def  12                       173
U S B Hldg Inc                   Com      902910108           78        4,600 Shs  Def   6        4,600
Ust Inc                          Com      902911106            3           80 Shs  Def   6           80
Ust Inc                          Com      902911106          311        8,000 Shs  Def  11        8,000
Ust Inc                          Com      902911106          331        8,496 Shs  Def  12                     8,496
U S Plastic Lumber Corp          Com      902948108            2        5,000 Shs  Def  12                     5,000
U S Energy Systems Inc           Com      902951102            9        2,400 Shs  Def  12                     2,400
U S Restaurant Properties Inc    Com      902971100            2          150 Shs  Def  12                       150
U.S. Bancorp                     Com      902973304       22,010      975,181 Shs  Def   2      964,681                     10,500
Us Bancorp                       Com      902973304        5,203      230,539 Shs  Def   3      221,439                      9,100
Us Bancorp                       Com      902973304          300       13,303 Shs  Def   5       13,303
U S Bancorp                      Com      902973304       24,760    1,095,129 Shs  Def   6    1,047,975                     47,154
U.S. Bancorp                     Com      902973304        1,024       45,382 Shs  Def   7       45,382
Us Bancorp Del                   Com      902973304           68        3,000 Shs  Def   9                                   3,000
Us Bancorp Del                   Com      902973304        3,080      136,450 Shs  Def  12                   136,450
U S Liquids Inc                  Com      902974104            7        2,130 Shs  Def  12                     2,130
Usa Networks Inc.                Com      902984103           64        2,000 Shs  Def   2        2,000
Usa Networks Inc Com             Com      902984103          426       13,400 Shs  Def   3       13,400
Usa Networks Inc                 Com      902984103        1,541       48,495 Shs  Def   6       48,495
Usa Networks Inc.                Com      902984103        1,839       57,900 Shs  Def   8                    57,900
Usa Networks Inc.                Com      902984103       54,009    1,700,000 Shs  Def  10    1,700,000
Usa Networks Inc                 Com      902984103        2,771       87,230 Shs  Def  12                    87,230
Urs Corp                         Com      903236107        6,736      212,480 Shs  Def   3      196,880                     15,600
Urs Corp New                     Com      903236107        6,838      215,700 Shs  Def   6      209,900                      5,800
Urs Corp New                     Com      903236107           52        1,647 Shs  Def  12                     1,647
Usana Health Sciences In         Com      90328M107          103       77,800 Shs  Def   6       74,200                      3,600
Usa Technologies Inc             Com      90328S401            2        5,000 Shs  Def  12                     5,000
Usg Corp New                     Com      903293405            9        1,267 Shs  Def  12                     1,267
Usb Capital Ii-7.20% Trust       Pfd      90332M200           14          600 Shs  Def  12                       600
Usec Inc                         Com      90333E108          490       76,600 Shs  Def   3       65,700                     10,900
Usec Inc                         Com      90333E108        2,286      357,200 Shs  Def   6      341,600                     15,600
Usec Inc                         Com      90333E108           10        1,500 Shs  Def  12                     1,500
U S Concrete Inc                 Com      90333L102          517       78,900 Shs  Def   6       73,300                      5,600
Us Laboratories Inc              Com      90333T105            5          400 Shs  Def  12                       400
U S Bancorp Capital Iii 7.75%    Pfd      90335H208           99        3,940 Shs  Def  12                     3,940
Us 1 Industries Inc              Com      903369106            3        7,000 Shs  Def  12                     7,000
Us Unwired Inc-Cl A              Com      90338R104           15        2,800 Shs  Def  12                     2,800
Us Oncology Inc                  Com      90338W103        1,148      130,300 Shs  Def   3      130,300
Us Oncology Inc                  Com      90338W103            2          250 Shs  Def  12                       250
Ultimate Sports Entertainment    Com      90384Q109            1        4,000 Shs  Def  12                     4,000
Usa Education, Inc.              Com      90390U102          249        2,550 Shs  Def   2        2,550
Usa Education                    Com      90390U102           21          215 Shs  Def   4          215
Usa Education, Inc.              Com      90390U102        9,895      101,172 Shs  Def   7      101,172
Usa Education Inc                Com      90390U102          358        3,662 Shs  Def  12                     3,662
***Unibanco-Uniao De Bancos      Com      90458E107            5          200 Shs  Def  12                       200
Unicomp Inc New                  Com      90465L409            2       28,020 Shs  Def  12                    28,020
Unifi Inc                        Com      904677101           66        7,005 Shs  Def  12                     7,005
Unifab International Inc         Com      90467L100            1        1,900 Shs  Def  12                     1,900
Unified Energy Systems Spons Adr ADR      904688108        1,127       70,000 Shs  Def   3       70,000
Unigene Laboratories Inc         Com      904753100            8       12,500 Shs  Def  12                    12,500
Unilab Corp                      Com      904763208           27        1,100 Shs  Def  12                     1,100
Unilever Plc                     ADR      904767704           42        1,310 Shs  Def   2        1,310
Unilever Plc                     SPON ADR 904767704          126        2,500 Shs  Def  15        2,500
Unilever N.V.                    Com      904784709          679       11,961 Shs  Def   1                                  11,961
***Unilever N V                  Com      904784709          459        8,087 Shs  Def  12                     8,087
Unilever N.V.                    N Y SHS N904784709            5           89 Shs  Def  15           89
Union Accep Corp                 Com      904832102        1,487      248,600 Shs  Def   6      238,500                     10,100
Union Electric Co-$1.735 Pfd     Pfd      906548763            7          300 Shs  Def  12                       300
Union Pacific Corp.              Com      907818108        6,496      104,538 Shs  Def   2      103,538                      1,000
Union Pac Corp  Com              Com      907818108       14,373      231,300 Shs  Def   3      228,900                      2,400
Union Pacific Corp Com           Com      907818108          375        6,033 Shs  Def   5        6,033
Union Pac Corp                   Com      907818108           66        1,068 Shs  Def   6        1,068
Union Pacific Corp.              Com      907818108           37          600 Shs  Def   7          600
Union Pacific Corp               Com      907818108          355        5,706 Shs  Def  11        5,056          650
Union Pacific Corp               Com      907818108        2,302       37,039 Shs  Def  12                    37,039
Union Pacific Capital Trust      PFD      907824403           30          600 Shs  Def   2          600
Union Planters Corp  Com         Com      908068109       16,928      357,200 Shs  Def   3      337,000                     20,200
Union Planters Corp              Com      908068109            3           70 Shs  Def   6           70
Union Planters Corp              Com      908068109        2,323       49,025 Shs  Def  12                    49,025
Unionbancal Corp Com             Com      908906100          792       18,000 Shs  Def   3       16,600                      1,400
Unionbancal Corp                 Com      908906100            3           65 Shs  Def   6           65
Unionbancal Corporation          Com      908906100        3,007       68,300 Shs  Def   8                    68,300
Unionbancal Corporation          Com      908906100       81,811    1,858,500 Shs  Def  10    1,858,500
Uniroyal Technology Corp         Com      909163107            1        1,000 Shs  Def  12                     1,000
Unisource Energy Cp (Hldg Co)    Com      909205106       13,172      643,816 Shs  Def   6      627,616                     16,200
Unisource Energy Corp            Com      909205106           43        2,120 Shs  Def  12                     2,120
Unisys                           Com      909214108        6,524      516,535 Shs  Def   4      516,535
Unisys Corp.                     Com      909214108          649       50,634 Shs  Def   9                                  50,634
Unisys Corp.                     Com      909214108       10,863      860,100 Shs  Def  10      860,100
Unisys Corp Autrefois            Com      909214108        1,922      152,202 Shs  Def  12                   152,202
Unisys Corp.                     Com      909214108       50,520    4,000,000 Shs  Def  14    4,000,000
Unisys Corp                      Com      909214108           38        3,000 Shs  Def                         3,000
Unit Corp                        Com      909218109       11,879      649,500 Shs  Def   6      632,100                     17,400
United Auto Group Inc            Com      909440109           45        2,000 Shs  Def   3        2,000
United Auto Group Inc            Com      909440109        4,305      191,000 Shs  Def   6      185,600                      5,400
United Bankshares Inc            Com      909907107        5,419      183,515 Shs  Def   3      173,015                     10,500
United Bankshares                Com      909907107           74        2,500 Shs  Def   4        2,500
United Bankshares Inc-W Va       Com      909907107          510       17,283 Shs  Def  12                    17,283
United Defense Industries Inc    Com      91018B104          134        5,000 Shs  Def  12                     5,000
United Dominion Realty           Com      910197102          242       15,300 Shs  Def   2       15,300
United Dominion Rlty             Com      910197102          168       10,606 Shs  Def   6                                  10,606
United Dominion Realty Trust     Com      910197102        1,087       68,300 Shs  Def   9                                  68,300
United Dominion Realty Trust     Com      910197102        1,739      109,788 Shs  Def  12                   109,788
United Dominion Realty Trust     Pfd      910197409           13          500 Shs  Def  12                       500
United Guardian Inc              Com      910571108            5          900 Shs  Def  12                       900
United Healthcare                Com      910581107           44          575 Shs  Def   4          575
United Industrial Corp           Com      910671106           14          645 Shs  Def  12                       645
United Microelectronics Corp - AdADR      910873207          452       42,450 Shs  Def   3       42,450
United Natl Bancorp N J          Com      910909100        1,010       43,520 Shs  Def   6       43,520
United National Bancorp-N.J.     Com      910909100          589       25,400 Shs  Def  12                    25,400
United Mobil Homes Inc           Com      911024107          572       45,940 Shs  Def  12                    45,940
United Natural Foods Inc         Com      911163103        1,543       61,950 Shs  Def   3       58,550                      3,400
United Natural Foods Inc         Com      911163103            1           50 Shs  Def  12                        50
United Online Inc Com            Com      911268100        4,632      551,120 Shs  Def   6      540,150          855        10,115
United Online Inc                Com      911268100           27        3,083 Shs  Def  12                     3,083
United Overseas Bank Ltd         ADR      911271302           18        1,066 Shs  Def   2        1,066
United Overseas Bk Lt            Com      911271302        5,475      335,928 Shs  Def   6      296,778                     39,150
United Parcel Service Cl B       CL B     911312106        7,801      128,305 Shs  Def   1       51,975                     76,330
United Parcel Service Inc.       Com      911312106          472        7,769 Shs  Def   2        7,769
United Parcel Service Cl B       Com      911312106        5,904       97,100 Shs  Def   3       97,100
United Parcel Service Inc        Com      911312106        3,766       61,940 Shs  Def   5          650                     61,290
United Parcel Service Inc Cl-B   Com      911312106            4           65 Shs  Def   6           65
United Parcel Service Inc        Com      911312106        2,016       33,303 Shs  Def   9                                  33,303
United Parcel Service Inc Cl B   Com      911312106          449        7,385 Shs  Def  11        1,800                      5,485
United Parcel Svc Inc            Com      911312106        4,057       66,724 Shs  Def  12                    66,724
United Rentals Inc               Com      911363109        1,597       58,100 Shs  Def   3       57,200                        900
United Rentals Inc               Com      911363109        5,750      209,250 Shs  Def   6      209,250
United Rentals Inc               Com      911363109        3,343      121,667 Shs  Def  12                   121,667
Us Cellular Corp                 Com      911684108       10,189      248,500 Shs  Def   3      242,500                      6,000
Us Cellular Cp                   Com      911684108            9          228 Shs  Def   6          228
Us Air Group                     Com      911905107            3          500 Shs  Def   2          500
Us Airways Group Inc             Com      911905107           22        3,450 Shs  Def  12                     3,450
United States Lime & Minerals    Com      911922102        1,349      273,170 Shs  Def  12                   273,170
U S Industries Inc New           Com      912080108           11        2,930 Shs  Def  12                     2,930
United Sts Stl Llc               Pfd      91263P204           10          400 Shs  Def  12                       400
United States Stl Corp N         Com      912909108        3,659      201,605 Shs  Def   6      201,605
United States Stl Corp New       Com      912909108           13          744 Shs  Def  12                       744
United Stationers Inc  Com  Nasd Coml     913004107        1,165       30,570 Shs  Def   3       24,870                      5,700
United Stationers Inc            Com      913004107       19,648      515,700 Shs  Def   6      497,200                     18,500
United Stationers Inc            Com      913004107            8          200 Shs  Def  12                       200
United Surgical Partners Intl    Com      913016309        1,415       61,000 Shs  Def  12                    61,000
United Technologies Corp.        Com      913017109          840       11,324 Shs  Def   1        1,950                      9,374
United Technologies Corp.        Com      913017109        2,926       39,429 Shs  Def   2       39,429
United Technologies Corp  Com    Com      913017109       13,658      184,069 Shs  Def   3      177,169                      6,900
United Technologies Corp Com     Com      913017109        1,171       15,785 Shs  Def   5       14,485                      1,300
United Technologies Corp         Com      913017109       18,530      249,728 Shs  Def   6      249,728
United Technologies Corp.        Com      913017109           52          700 Shs  Def   7          700
United Technologies Corp         Com      913017109          311        4,185 Shs  Def  11        3,020          845           320
United Technologies Corp         Com      913017109        5,277       71,122 Shs  Def  12                    71,122
United Technologies Corp.        Com      913017109          367        3,105 Shs  Def  15        3,105
United Therapeutics Corp Del     Com      91307C102            3          200 Shs  Def  12                       200
Unitedglobalcom                  Com      913247508           22        4,100 Shs  Def  12                     4,100
Unitedhealth Group               Com      91324P102          176        2,300 Shs  Def   2        2,300
Unitedhealth Group Inc           Com      91324P102       27,947      365,700 Shs  Def   3      357,000                      8,700
Unitedhealth Group Incorporated  Com      91324P102      406,642    5,321,150 Shs  Def   8                 5,321,150
United Healthcare                Com      91324P102            8          100 Shs  Def   9                       100
Unitedhealth Group Incorporated  Com      91324P102      841,998   11,018,034 Shs  Def  10   11,018,034
Unitedhealth Group Inc           Com      91324P102        3,283       42,963 Shs  Def  12                    42,963
United Healthcare Corp.          Com      91324P102           61          500 Shs  Def  15          500
Unitil Corp                      Com      913259107          811       30,550 Shs  Def  12                    30,550
Unitrin Inc                      Com      913275103          200        4,976 Shs  Def  12                     4,976
Universal Access Global Hldgs    Com      91336M105            9        5,800 Shs  Def  12                     5,800
Universal Amern Finl Cor         Com      913377107          827      120,200 Shs  Def   6      117,100                      3,100
Universal Corp  Com              Com      913456109        1,720       43,700 Shs  Def   3       36,400                      7,300
Universal Corp Va                Com      913456109       18,590      472,300 Shs  Def   6      456,300                     16,000
Universal Display Corp           Com      91347P105            2          200 Shs  Def  12                       200
Universal Forest Prods Inc       Com      913543104          884       37,000 Shs  Def   3       35,400                      1,600
Universal Fst Prods Inc          Com      913543104        7,750      324,400 Shs  Def   6      312,600                     11,800
Universal Hlth Rlty Income       Com      91359E105           15          613 Shs  Def   2          613
Universal Health Realty          Com      91359E105           48        2,000 Shs  Def  12                     2,000
Universal Security Instruments   Com      913821302            1          175 Shs  Def  12                       175
Universal Stainless & Al         Com      913837100        1,030       88,900 Shs  Def   6       86,900                      2,000
Universal Health Svcs Inc  Cl B  Com      913903100        3,073       74,500 Shs  Def   3       67,100                      7,400
Universal Health Services Inc    Com      913903100          545       13,200 Shs  Def  12                    13,200
Universe2U Inc                   Com      914019104            2        2,000 Shs  Def  12                     2,000
Univision Communications         Com      914906102            6          150 Shs  Def   2          150
Univision Comm Inc Class A       Com      914906102            8          190 Shs  Def   6          190
Univision Communications Inc     Com      914906102           55        1,300 Shs  Def  12                     1,300
Unocal Corp.                     Com      915289102        3,483       89,435 Shs  Def   2       89,435
Unocal Corp                      Com      915289102            7          176 Shs  Def   6          120                         56
Unocal Corp                      Com      915289102          450       11,548 Shs  Def  12                    11,548
Unocal Capital Trust             PFD      91528T207           20          400 Shs  Def   2          400
Unocal Capital Trust-6.25%       Pfd      91528T207           77        1,500 Shs  Def  12                     1,500
Unizan Financial Corp            Com      91528W101        1,687       88,995 Shs  Def   6       85,239                      3,756
Unizan Finl Corp                 Com      91528W101          377       19,875 Shs  Def  12                    19,875
Unumprovident Corporation        Com      91529Y106            3          115 Shs  Def   2          115
Unumprovident Corp               Com      91529Y106          259        9,286 Shs  Def   5        6,918                      2,368
Unumprovident Corp               Com      91529Y106       17,039      610,310 Shs  Def   6      522,070                     88,240
Unumprovident Corporation        Com      91529Y106        3,028      108,400 Shs  Def   8                   108,400
Unumprovident Corporation        Com      91529Y106      108,229    3,875,000 Shs  Def  10    3,875,000
Unumprovident Corp               Com      91529Y106        1,078       38,595 Shs  Def  12                    38,595
Unumprovident Corporation        Com      91529Y106       64,239    2,300,000 Shs  Def  14    2,300,000
Upgrade International Corp New   Com      915301204            2        2,400 Shs  Def  12                     2,400
Upm Kymmene Corp                 Com      915436109        6,461      184,600 Shs  Def   6      184,600
Usfreightways Corp Co            Com      916906100       22,625      639,730 Shs  Def   6      620,800          370        18,560
Usfreightways Corp               Com      916906100           14          400 Shs  Def  12                       400
Urban Outfitters Inc             Com      917047102           11          450 Shs  Def  12                       450
Usinternetworking Inc            Com      917311805            1       70,420 Shs  Def  12                    70,420
Utah Med Prods Inc               Com      917488108          503       31,626 Shs  Def   6       30,510                      1,116
Utilicorp United                 Pfd      918005851           49        2,000 Shs  Def  12                     2,000
Utilities Holdrs Tr              Com      918019100          182        1,900 Shs  Def  12                     1,900
Utstarcom Inc                    Com      918076100       39,507    1,506,170 Shs  Def   3    1,462,770                     43,400
Utstarcom Inc                    Com      918076100          442       16,835 Shs  Def  12                    16,835
Utstarcom Inc.                   Com      918076100           26        1,000 Shs  Def                         1,000
Vca Antech Inc                   Com      918194101            9          700 Shs  Def  12                       700
Va Software Corp                 Com      91819B105            3        1,605 Shs  Def  12                     1,605
V F Corp.                        Com      918204108           69        1,600 Shs  Def   2                                   1,600
V F Corp Com                     Com      918204108          602       13,925 Shs  Def   5       11,725                      2,200
V F Corp                         Com      918204108           12          280 Shs  Def   6          280
V F Corp                         Com      918204108          167        3,873 Shs  Def  12                     3,873
V-One Corp                       Com      918278102            1          800 Shs  Def  12                       800
Vail Banks Inc                   Com      918779109          936       77,000 Shs  Def   6       75,100                      1,900
Vail Resorts Inc                 Com      91879Q109            1           50 Shs  Def  12                        50
Valassis Communicati             Com      918866104          446       11,545 Shs  Def   3       11,545
Valassis Communications Inc      Com      918866104           38          975 Shs  Def  12                       975
Valence Technology Inc           Com      918914102            9        2,900 Shs  Def  12                     2,900
Valero L P                       Com      91913W104          154        4,050 Shs  Def  12                     4,050
Valero Energy Corp Com New       Com      91913Y100       10,807      218,235 Shs  Def   3      209,335                      8,900
Valero Energy Corp New           Com      91913Y100          196        3,954 Shs  Def  12                     3,954
Valmont Ind Inc                  Com      920253101           18        1,000 Shs  Def   2        1,000
The Valspar Corp.                Com      920355104        8,369      177,835 Shs  Def   2      177,835
Valspar Corp                     Com      920355104        8,866      188,397 Shs  Def  12                   188,397
Value City Department Stores     Com      920387107            1          200 Shs  Def  12                       200
Valuevision International        Com      92047K107           64        3,100 Shs  Def   2        3,100
Van Kampen Municipal Income      Cl End Fd920909108          176       20,950 Shs  Def  12                    20,950
Van Kampen High Income Trust     Cl End Fd920911104           11        2,280 Shs  Def  12                     2,280
Van Kampen High Income Trust     Cl End Fd920913100            6        1,000 Shs  Def  12                     1,000
Van Kampen Municipal Trust       Cl End Fd920919107          134        9,887 Shs  Def  12                     9,887
Van Kampen Florida Quality       Cl End Fd920921103           65        4,600 Shs  Def  12                     4,600
Van Kampen Ohio Quality          Cl End Fd920923109           73        4,450 Shs  Def  12                     4,450
Van Kampen Pennsylvania          Cl End Fd920924107           16        1,000 Shs  Def  12                     1,000
Van Kampen Tr For Investment     Cl End Fd920929106           64        4,350 Shs  Def  12                     4,350
Van Kampen Trust For Invt        Cl End Fd920931102           27        1,700 Shs  Def  12                     1,700
Van Kampen Tr For Investment     Cl End Fd920933108           32        2,000 Shs  Def  12                     2,000
Van Kampen Tr For Investment     Cl End Fd920934106           29        1,766 Shs  Def  12                     1,766
Van Kampen Municipal             Cl End Fd920935103           25        1,667 Shs  Def  12                     1,667
Van Kampen Strategic Sector      Cl End Fd920943107           36        2,700 Shs  Def  12                     2,700
Van Kampen Bond Fund             Cl End Fd920955101          222       12,350 Shs  Def  12                    12,350
Van Kampen Income Trust          Cl End Fd920957107           42        6,760 Shs  Def  12                     6,760
Van Kampen Senior Income Trust   Cl End Fd920961109          142       19,408 Shs  Def  12                    19,408
Van Kampen Advantage Municip     Cl End Fd921124103           51        3,500 Shs  Def  12                     3,500
Van Kampen Advantage Municip     Cl End Fd92112K107           33        2,500 Shs  Def  12                     2,500
Van Kampen Pennsylvania Value    Cl End Fd92112T108           78        5,200 Shs  Def  12                     5,200
Van Kampen Ohio Value            Cl End Fd92112W101           15        1,050 Shs  Def  12                     1,050
Van Kampen Value Municipal       Cl End Fd921132106           15        1,100 Shs  Def  12                     1,100
Varco International Inc          Com      922122106          116        5,760 Shs  Def   3        5,760
Varco Intl Inc Del               Com      922122106           10          500 Shs  Def  12                       500
Varian Inc                       Com      922206107           23          600 Shs  Def   2          600
Varian Inc                       Com      922206107           33          875 Shs  Def  12                       875
Varian Semiconductor Equip       Com      922207105           27          600 Shs  Def   2          600
Varian Semiconductor Equ         Com      922207105        8,996      199,900 Shs  Def   6      192,100                      7,800
Varian Semiconductor Equipment   Com      922207105           23          500 Shs  Def  12                       500
Varian Medical Systems Inc       Com      92220P105           49        1,200 Shs  Def   2        1,200
Varian Medical Systems Inc       Com      92220P105       11,452      280,000 Shs  Def   3      263,200                     16,800
Varian Medical Systems Inc       Com      92220P105           30          740 Shs  Def  12                       740
Varitek Inds Inc                 Com      922246202            2          625 Shs  Def  12                       625
Varsity Brands Inc               Com      92227P108           23       11,000 Shs  Def   2       11,000
Vasomedical Inc                  Com      922321104           14        5,032 Shs  Def  12                     5,032
***Vasogen Inc                   Com      92232F103           36        9,100 Shs  Def  12                     9,100
Vaxgen Inc New                   Com      922390208           10          845 Shs  Def  12                       845
Vectren Corp                     Com      92240G101          179        6,982 Shs  Def   2        6,982
Vectren Corp                     Com      92240G101           16          633 Shs  Def  12                       633
Vector Group Ltd                 Com      92240M108           12          430 Shs  Def   7          430
Vector Group Ltd                 Com      92240M108          805       28,151 Shs  Def  12                    28,151
Velcro Industries Nv             Com      922571104            1          100 Shs  Def  12                       100
Velocity Express Corp            Com      92257T103            7        3,500 Shs  Def  12                     3,500
Ventas Inc                       Com      92276F100           10          800 Shs  Def   3                                     800
Ventas Inc                       Com      92276F100            4          302 Shs  Def  12                       302
Veritas Software Corp            Com      923436109            9          200 Shs  Def   2          200
Veritas Software                 Com      923436109           19          425 Shs  Def   4          425
Veritas Software De              Com      923436109            6          140 Shs  Def   6          140
Veritas Software Corp            Com      923436109        1,275       29,100 Shs  Def   7       29,100
Veritas Software Corp            Com      923436109          196        4,398 Shs  Def   9                                   4,398
Veritas Software Corp            Com      923436109          756       17,257 Shs  Def  12                    17,257
Veritas Software Corp.           Com      923436109           98        1,400 Shs  Def  15        1,400
Verisign Inc.                    Com      92343E102           14          500 Shs  Def   2          500
Verisign Inc                     Com      92343E102          381       14,096 Shs  Def  12                    14,096
Verisign                         Com      92343E102          188        7,100 Shs  Def                         7,100
Veritas Dgc Inc Com              Com      92343P107          859       50,800 Shs  Def   3       49,500                      1,300
Verizon                          Com      92343V104       12,283      266,451 Shs  Def   1       59,086                    207,365
Verizon Communications           Com      92343V104       12,561      275,161 Shs  Def   2      275,161
Verizon Communications Inc       Com      92343V104       47,813    1,047,393 Shs  Def   3    1,007,921                     39,472
Verizon Communications           Com      92343V104          133        2,884 Shs  Def   4        2,884
Verizon Communications           Com      92343V104        2,898       62,859 Shs  Def   5       44,746                     18,113
Verizon                          Com      92343V104       39,074      848,786 Shs  Def   6      792,564                     56,222
Verizon Communications           Com      92343V104          349        7,654 Shs  Def   7        7,654
Verizon Communications           Com      92343V104        4,543       98,875 Shs  Def   9                                  98,875
Verizon Communications           Com      92343V104        5,250      115,000 Shs  Def  10      115,000
Verizon Communications           Com      92343V104        3,251       70,530 Shs  Def  11       51,482       18,498           200
Verizon Communications           Com      92343V104       30,866      676,135 Shs  Def  12                   676,135
Verizon Communications           Com      92343V104        5,223       72,166 Shs  Def  15       72,166
Verizon Comunications            Com      92343V104        1,185       25,980 Shs  Def                        25,980
Verizon South Inc                Pfd      92344J209          140        5,600 Shs  Def  12                     5,600
Vermont Pure Holdings Ltd        Com      924237100           18        3,500 Shs  Def  12                     3,500
Vertel Corporation               Com      924907108            1        2,880 Shs  Def  12                     2,880
Versar Inc                       Com      925297103           10        2,300 Shs  Def  12                     2,300
Verso Technologies Inc           Com      925317109           10        8,500 Shs  Def  12                     8,500
Vertex Pharmaceuticals Inc.      Com      92532F100           31        1,100 Shs  Def   2        1,100
Vertex Pharmaceuticals Inc       Com      92532F100            2           62 Shs  Def  12                        62
Verticalnet Inc-Pa               Com      92532L107           13       17,900 Shs  Def  12                    17,900
Vesta Insurance Group Inc        Com      925391104           30        4,950 Shs  Def  12                     4,950
Viacom Inc-Cl A                  Com      925524100          439        9,035 Shs  Def  12                     9,035
Viacom, Inc. Cl B                CL B     925524308          253        5,237 Shs  Def   1        5,237
Viacom Inc Class B               Com      925524308          197        4,079 Shs  Def   2        4,079
Viacom Inc Cl B                  Com      925524308        9,106      188,256 Shs  Def   3      180,586                      7,670
Viacom Inc                       Com      925524308        2,977       61,550 Shs  Def   6       61,550
Viacom Inc Class B               Com      925524308        2,011       41,580 Shs  Def   7       41,580
Viacom Inc Class B               Com      925524308          486       10,106 Shs  Def   9                                  10,106
Viacom Inc Cl B                  Com      925524308          246        5,089 Shs  Def  11        2,854        1,740           495
Viacom Inc-Cl B                  Com      925524308        6,661      137,712 Shs  Def  12                   137,712
Viacom Inc.                      CL B     925524308          229        2,976 Shs  Def  15        2,976
Viacom "B" Shares                CL B     925524308          136        2,800 Shs  Def                         2,800
Viad Corp                        Com      92552R109          207        7,400 Shs  Def   3        7,400
Viad Corp                        Com      92552R109          222        7,944 Shs  Def  12                     7,944
Viad Corp                        Com      92552R109       56,000    2,000,000 Shs  Def  14    2,000,000
Viad Corp                        Pfd      92552R307           10          175 Shs  Def  12                       175
Viant Corp                       Com      92553N107            8        6,000 Shs  Def  12                     6,000
Viasys Healthcare Inc            Com      92553Q209            3          131 Shs  Def   2          131
Viasys Healthcare Inc            Com      92553Q209          288       12,800 Shs  Def   3       12,800
Viasys Healthcare Inc            Com      92553Q209            3          146 Shs  Def   7          146
Viasys Healthcare Inc            Com      92553Q209           21          923 Shs  Def  12                       923
Viador Inc                       Com      92553R108            1        3,500 Shs  Def  12                     3,500
Vical Inc                        Com      925602104            2          200 Shs  Def  12                       200
Vicinity Corp                    Com      925653107            6        3,000 Shs  Def  12                     3,000
Vicor Corp                       Com      925815102          216       12,800 Shs  Def  12                    12,800
Victor Industries Inc            Com      925903106            3      120,000 Shs  Def  12                   120,000
Vidamed Inc                      Com      926530106            1          100 Shs  Def  12                       100
Viewpoint Corp                   Com      92672P108            1          100 Shs  Def  12                       100
Vignette Corp                    Com      926734104           73       21,100 Shs  Def  12                    21,100
Viisage Technology Inc           Com      92675K106           19        2,700 Shs  Def  12                     2,700
Viking Capital Group Inc New     Com      92676E208            2        5,000 Shs  Def  12                     5,000
Village Super Mkt Inc            Com      927107409          133        3,800 Shs  Def   6        3,800
Vintage Pete Inc                 Com      927460105       30,509    2,077,930 Shs  Def   6    2,034,935          915        42,080
Vintage Petroleum Inc            Com      927460105            3          200 Shs  Def  12                       200
Vion Pharmaceuticals Inc         Com      927624106           43       10,500 Shs  Def  12                    10,500
Viragen Inc                      Com      927638106           25       30,300 Shs  Def   5       30,300
Viragen Inc                      Com      927638106           11       13,333 Shs  Def  12                    13,333
Virginia Comm Bancorp Inc        Com      92778Q109           17          700 Shs  Def  12                       700
Virginia Electric & Power Co.    Pfd      927804591            5          200 Shs  Def  12                       200
Virginia Elec & Power Co         Pfd      927804617          120        5,020 Shs  Def  12                     5,020
Virginia Financial Group Inc     Com      927810101          226       10,027 Shs  Def  12                    10,027
Virginia Power Cap Tr I-8.05%    Pfd      928082205          149        5,950 Shs  Def  12                     5,950
Viropharma Inc                   Com      928241108           17        3,300 Shs  Def  12                     3,300
Vishay Intertechnology Inc.      Com      928298108           21        1,032 Shs  Def   2        1,032
Vishay Intertechnology I         Com      928298108        5,622      276,419 Shs  Def   6      276,419
Vishay Intertechnology Inc       Com      928298108          850       41,809 Shs  Def  12                    41,809
***Visible Genetics Inc          Com      92829S104            1          100 Shs  Def  12                       100
Vista Bancorp Inc                Com      92830R103           27        1,000 Shs  Def  12                     1,000
Visionics Corp Del               Com      92831E101           14        1,200 Shs  Def  12                     1,200
Visteon Corp                     Com      92839U107          189       11,426 Shs  Def   2       11,426
Visteon Corp                     Com      92839U107          765       46,230 Shs  Def   6       46,230
Visteon Corp                     Com      92839U107          635       38,373 Shs  Def  12                    38,373
Visual Networks Inc              Com      928444108          232       79,031 Shs  Def  12                    79,031
Visx Inc-Del                     Com      92844S105           44        2,510 Shs  Def  12                     2,510
Vitesse Semiconductor Corp.      Com      928497106           29        3,000 Shs  Def   2        3,000
Vitesse Semiconductor Corp       Com      928497106           92        9,404 Shs  Def  12                     9,404
Vitria Technology Inc            Com      92849Q104           15        3,775 Shs  Def  12                     3,775
Vivendi Universal                Com      92851S204        5,437      143,606 Shs  Def   6      136,075                      7,531
Vivendi Universal Adr            ADR      92851S204          609       15,640 Shs  Def   9                                  15,640
Vivus Inc                        Com      928551100           11        1,225 Shs  Def  12                     1,225
Vixel Corp Del                   Com      928552108            7        1,600 Shs  Def  12                     1,600
Vnb Capital Trust I 7.75%        Pfd      92856Q203          325       12,960 Shs  Def  12                    12,960
Vodafone Airtouch Plc Ads        ADR      92857W100        9,691      525,829 Shs  Def   1      219,075                    306,754
Vodafone Group Plc New           ADR      92857W100          169        9,154 Shs  Def   2        9,154
Vodafone Group Plc-Sp Adr        Com      92857W100          363       19,700 Shs  Def   5       18,200                      1,500
Vodafone Group Plc New           ADR      92857W100           29        1,600 Shs  Def   8                     1,600
Vodafone                         Com      92857W100          497        2,695 Shs  Def   9                       295         2,400
Vodafone Group Plc New           ADR      92857W100        5,990      325,000 Shs  Def  10      325,000
Vornado Realty Trust             Com      929042109        1,374       31,116 Shs  Def   2       31,116
Vornado Rlty Tr Sh Ben Int       Com      929042109        2,072       46,920 Shs  Def   3       46,920
Vornado Reality Tr               Sh Ben In929042109          681       15,300 Shs  Def   9                                  15,300
Vornado Realty Trust             Com      929042109          493       11,157 Shs  Def  12                    11,157
Vornado Realty Trust-6.50%       Pfd      929042208           12          200 Shs  Def  12                       200
Vornado Realty Trust             Pfd      929042406           46        1,800 Shs  Def  12                     1,800
Vulcan Matls Co  Com             Com      929160109        2,030       42,700 Shs  Def   3       42,700
Vulcan Materials Co              Com      929160109            3           70 Shs  Def   6           70
Vulcan Materials Co              Com      929160109          338        7,100 Shs  Def  12                     7,100
Wd 40 Co  Com  Nasd Indl         Com      929236107        1,033       34,280 Shs  Def   3       34,280
Wd 40 Co                         Com      929236107          175        5,823 Shs  Def  12                     5,823
Wfs Finl Inc                     Com      92923B106        2,594      104,147 Shs  Def   6      101,987                      2,160
Wci Communities Inc              Com      92923C104          161        6,600 Shs  Def  12                     6,600
Wci Communities Inc.             Com      92923C104           24        1,000 Shs  Def                         1,000
Wec Cap Tr I Tr Pfd Secs 6.85%   Pfd      92923G204           58        2,400 Shs  Def  12                     2,400
Whx Corp-Conv Pfd Ser A          Pfd      929248201            2          500 Shs  Def  12                       500
Wgl Holdings Inc                 Com      92924F106          878       32,690 Shs  Def  12                    32,690
W-H Energy Services Inc          Com      92925E108        1,508       69,810 Shs  Def   3       68,110                      1,700
W-H Energy Svcs Inc              Com      92925E108        9,901      458,400 Shs  Def   6      447,000                     11,400
Wms Industries Inc               Com      929297109            4          200 Shs  Def  12                       200
Wpp Group Plc Spons A            ADR      929309300        4,491       78,920 Shs  Def   6       77,680                      1,240
Wpp Group Plc Sponsored Adr      ADR      929309300      172,243    3,050,700 Shs  Def   8                 3,050,700
Wpp Group                        ADR      929309300          675       13,730 Shs  Def   9                    12,930           800
Wpp Group Plc Sponsored Adr      ADR      929309300        9,598      170,000 Shs  Def  10      170,000
Wpsr Capital Trust I             Pfd      92930N200          101        4,083 Shs  Def  12                     4,083
W P Carey & Co Llc               Com      92930Y107          621       26,713 Shs  Def  12                    26,713
W P S Resources Corp.            Com      92931B106          148        3,780 Shs  Def   9                                   3,780
Wps Resources Corp               Com      92931B106          887       22,502 Shs  Def  12                    22,502
Wsfs Financial Corp.             Com      929328102          725       40,000 Shs  Def   2       40,000
Wsfs Finl Corp                   Com      929328102        2,843      156,900 Shs  Def   6      150,700                      6,200
Wsfs Financial Corp              Com      929328102            4          200 Shs  Def  12                       200
Wvs Finl Corp                    Com      929358109           16        1,000 Shs  Def   6        1,000
Wabash National Corp             Com      929566107           16        1,600 Shs  Def  12                     1,600
Wabtec Corp                      Com      929740108        2,665      177,800 Shs  Def   6      172,800                      5,000
Wackenhut Corp-Ser B             Com      929794303            7          200 Shs  Def  12                       200
Wackenhut Corrections Corp       Com      929798106          876       58,393 Shs  Def  12                    58,393
Wachovia Corporation             Com      929903102          574       15,490 Shs  Def   2       15,490
Wachovia Corp                    Com      929903102       19,769      533,133 Shs  Def   3      519,133                     14,000
Wachovia                         Com      929903102       16,395      442,153 Shs  Def   4      442,153
Wachovia Corp                    Com      929903102        1,738       46,874 Shs  Def   5       35,474                     11,400
Wachovia Group Com               Com      929903102       58,167    1,571,128 Shs  Def   6    1,480,668                     90,460
Wachovia Corp 2Nd                Com      929903102        1,371       37,532 Shs  Def   9                                  37,532
Wachovia Corp 2Nd New            Com      929903102          565       15,247 Shs  Def  11       13,277        1,970
Wachovia Corp 2Nd New            Com      929903102       15,008      404,760 Shs  Def  12                   404,760
Wachovia Corp.                   Com      929903102          183        3,100 Shs  Def  15        3,100
Waddell & Reed Finl Inc          Com      930059100           30        1,000 Shs  Def   6        1,000
Waddell & Reed Financial - A     Com      930059100        1,189       39,000 Shs  Def   7       39,000
Waddell & Reed Financial Inc     Com      930059100           10          330 Shs  Def  12                       330
Wake Forest Bancshares Inc       Com      930888102           25        1,685 Shs  Def  12                     1,685
Wal-Mart Stores                  Com      931142103          947       15,450 Shs  Def   1        2,500                     12,950
Wal-Mart Stores, Inc.            Com      931142103        3,098       50,548 Shs  Def   2       50,548
Wal Mart Stores Inc  Com         Com      931142103       81,304    1,326,542 Shs  Def   3    1,274,042                     52,500
Wal-Mart                         Com      931142103           64        1,036 Shs  Def   4        1,036
Wal Mart Stores Inc              Com      931142103        3,723       60,743 Shs  Def   5       51,628                      9,115
Wal Mart Stores Inc              Com      931142103            3           45 Shs  Def   6           45
Wal-Mart Stores, Inc.            Com      931142103        4,440       72,441 Shs  Def   7       72,441
Wal-Mart Stores, Inc.            Com      931142103           31          500 Shs  Def   8                       500
Wal-Mart Stores Inc.             Com      931142103        1,698       28,504 Shs  Def   9                     7,100        21,404
Wal-Mart Stores, Inc.            Com      931142103        7,312      119,300 Shs  Def  10      119,300
Wal-Mart Stores Inc              Com      931142103        6,477      105,663 Shs  Def  11       94,506        9,386         1,171
Wal-Mart Stores Inc              Com      931142103       18,128      295,782 Shs  Def  12                   295,782
Walmart Stores Inc.              Com      931142103        4,308       44,555 Shs  Def  15       44,555
Walgreen Co                      Com      931422109        4,822      123,032 Shs  Def   2      123,032
Walgreen Co  Com                 Com      931422109        4,523      115,417 Shs  Def   3      110,617                      4,800
Walgreen                         Com      931422109          210        5,350 Shs  Def   4        5,350
Walgreen Co Com                  Com      931422109        2,010       51,295 Shs  Def   5       51,295
Walgreen Co                      Com      931422109            2           60 Shs  Def   6           60
Walgreen Co                      Com      931422109       11,249      287,032 Shs  Def   7      287,032
Walgreen Co                      Com      931422109        2,213       56,467 Shs  Def  12                    56,467
Walgreen Co.                     Com      931422109          162        2,600 Shs  Def  15        2,600
Walker Interactive Systems Inc   Com      931664106           10        5,000 Shs  Def  12                     5,000
Wallace Computer Services Inc    Com      932270101          386       19,100 Shs  Def   3       18,400                        700
Wallace Computer Service         Com      932270101        9,460      468,300 Shs  Def   6      458,900                      9,400
Wallace Computer Services Inc    Com      932270101           91        4,500 Shs  Def  12                     4,500
Walter Industries Inc            Com      93317Q105          386       29,300 Shs  Def   3       29,300
Walter Inds Inc                  Com      93317Q105        9,058      687,800 Shs  Def   6      674,900                     12,900
Warren Bancorp Inc               Com      934710104        1,064       88,700 Shs  Def   6       85,800                      2,900
Washington Federal Inc.          Com      938824109        3,358      140,266 Shs  Def   2      140,266
Washington Fed Inc  Com          Com      938824109       18,956      791,810 Shs  Def   3      751,700                     40,110
Washington Federal               Com      938824109          930       38,865 Shs  Def   4       38,865
Washington Fed Inc               Com      938824109       15,550      648,264 Shs  Def   6      637,684          820         9,760
Washington Federal Inc           Com      938824109          137        5,723 Shs  Def  12                     5,723
Washington Mutual, Inc.          Com      939322103          482       14,551 Shs  Def   2       14,551
Washington Mutual Inc            Com      939322103        5,947      179,500 Shs  Def   3      175,300                      4,200
Washington Mutual                Com      939322103        2,253       68,003 Shs  Def   4       68,003
Washington Mutual Inc Com        Com      939322103        3,076       92,844 Shs  Def   5       79,389                     13,455
Washington Mut Inc               Com      939322103       34,185    1,032,262 Shs  Def   6      983,597                     48,665
Washington Mutual, Inc.          Com      939322103        5,899      178,055 Shs  Def   7      178,055
Washington Mutual, Inc.          Com      939322103      278,479    8,405,649 Shs  Def   8                 8,405,649
Washington Mutual Inc.           Com      939322103        1,245       37,627 Shs  Def   9                       200        37,427
Washington Mutual, Inc.          Com      939322103      585,709   17,679,120 Shs  Def  10   17,679,120
Washington Mutual Inc            Com      939322103          340       10,250 Shs  Def  11        5,830        3,820
Washington Mutual Inc            Com      939322103        9,934      299,834 Shs  Def  12                   299,834
Washington Mutual, Inc.          Com      939322103       33,130    1,000,000 Shs  Def  14    1,000,000
Washington Mutual Inc.           Com      939322103          488        9,700 Shs  Def  15        9,700
Washington Post Co-Cl B          Com      939640108        3,548        5,845 Shs  Def  12                     5,845
Washington Post                  Com      939640108           48           50 Shs  Def  15           50
Washington Real Estate           Com      939653101          262        9,100 Shs  Def   2        9,100
Washington Real Estate           Com      939653101        3,292      114,503 Shs  Def  12                   114,503
Washington Trust Bancorp Inc     Com      940610108           41        2,094 Shs  Def  12                     2,094
Waste Connections Inc            Com      941053100            5          150 Shs  Def  12                       150
Waste Hldgs Inc                  Com      941057101          146       23,200 Shs  Def   6       23,200
Waste Management                 Com      94106L109        6,951      255,100 Shs  Def   4      255,100
Waste Management, Inc.           Com      94106L109      350,188   12,850,932 Shs  Def   8                12,850,932
Waste Management Inc.            Com      94106L109          362       13,250 Shs  Def   9                       250        13,000
Waste Management, Inc.           Com      94106L109      721,200   26,466,056 Shs  Def  10   26,466,056
Waste Management Inc Del         Com      94106L109       11,062      405,959 Shs  Def  12                   405,959
Waste Management Inc.            Com      94106L109           56        1,300 Shs  Def  15        1,300
Water Pik Technologies I         Com      94113U100        1,951      192,200 Shs  Def   6      186,300                      5,900
Water Pik Technologies Inc       Com      94113U100            4          420 Shs  Def  12                       420
Waters Corp                      Com      941848103          363       13,000 Shs  Def   9                                  13,000
Waters Corp                      Com      941848103          322       11,510 Shs  Def  12                    11,510
Waterside Capital Corp           Com      941872103           19        8,566 Shs  Def  12                     8,566
Watsco Inc Com                   Com      942622200           93        5,200 Shs  Def   3        3,300                      1,900
Watsco Inc                       Com      942622200          982       55,000 Shs  Def   6       50,800                      4,200
Watsco Inc                       Com      942622200            5          300 Shs  Def  12                       300
Watson Pharmaceuticals           Com      942683103          448       16,525 Shs  Def   5       16,525
Watson Pharmaceutical Inc        Com      942683103            8          280 Shs  Def   6          280
Watson Pharmaceuticals Inc       Com      942683103          750       27,695 Shs  Def  12                    27,695
Watts Industries Inc  Class      Com      942749102            5          300 Shs  Def   2          300
Watts Inds Inc  Cl A  Nasd Indl  Com      942749102          304       18,100 Shs  Def   3       17,500                        600
Watts Inds Inc                   Com      942749102        3,338      198,700 Shs  Def   6      198,700
Wausau-Mosinee Paper Corp        Com      943315101          173       13,525 Shs  Def  12                    13,525
Wave Systems Corp-Cl A           Com      943526103            2          900 Shs  Def  12                       900
Wayne Savings Bancshares Inc     Com      946250107           13          700 Shs  Def  12                       700
Waypoint Financial Corp          Com      946756103        1,381       83,500 Shs  Def   3       74,600                      8,900
Waypoint Financial               Com      946756103           56        3,400 Shs  Def   4        3,400
Waypoint Financial Corp          Com      946756103          367       22,173 Shs  Def  12                    22,173
Weatherford International        Com      947074100           27          575 Shs  Def   4          575
Weatherford International Inc    Com      947074100          672       14,100 Shs  Def   5       14,100
Weatherford International Inc    Com      947074100          464        9,743 Shs  Def  12                     9,743
Webb Interactive Svcs Inc        Com      94748P104            1        1,000 Shs  Def  12                     1,000
Websense Inc                     Com      947684106            4          150 Shs  Def  12                       150
Web Methods                      Com      94768C108            2          100 Shs  Def   6          100
Webmethods Inc                   Com      94768C108           30        1,736 Shs  Def  12                     1,736
Webmd Corp Com                   Com      94769M105        2,190      295,210 Shs  Def   6      245,810                     49,400
Webmd Corp                       Com      94769M105          112       14,551 Shs  Def  12                    14,551
Webster Finl Corp Wa             Com      947890109       10,973      293,150 Shs  Def   3      265,550                     27,600
Webster Finl Corp Conn           Com      947890109        5,420      144,800 Shs  Def   6      144,800
Webster Financial Corp           Com      947890109        1,151       30,749 Shs  Def  12                    30,749
Weingarten Realty Investors      Com      948741103           68        1,318 Shs  Def   2        1,318
Weingarten Rlty Invs  Sh Ben Int Com      948741103           36          710 Shs  Def   3          710
Weingarten Realty Investors      Com      948741103        2,286       44,050 Shs  Def   9                                  44,050
Weingarten Realty Investors      Com      948741103        1,667       32,430 Shs  Def  12                    32,430
Weingarten Realty Investors      Pfd      948741202           10          400 Shs  Def  12                       400
Weis Markets Inc                 Com      948849104           44        1,441 Shs  Def   2        1,441
Weis Markets Inc                 Com      948849104          832       27,414 Shs  Def  12                    27,414
Wellman Inc                      Com      949702104        1,146       69,640 Shs  Def   6       53,150                     16,490
Wellpoint Health Networks Inc.   Com      94973H108        2,101       33,000 Shs  Def   3       27,600                      5,400
Wellpoint Health Networks Inc.   Com      94973H108       15,516      243,700 Shs  Def   8                   243,700
Wellpoint Health Networks        Com      94973H108            6          100 Shs  Def   9                       100
Wellpoint Health Networks Inc.   Com      94973H108      132,434    2,080,000 Shs  Def  10    2,080,000
Wellpoint Health Networks Inc    Com      94973H108          366        5,742 Shs  Def  12                     5,742
Wells Fargo & Co.                Com      949746101          741       15,000 Shs  Def   1        6,500                      8,500
Wells Fargo Company              Com      949746101        1,364       27,619 Shs  Def   2       27,619
Wells Fargo & Co Com             Com      949746101       32,686      661,667 Shs  Def   3      636,267                     25,400
Wells Fargo                      Com      949746101        4,122       83,439 Shs  Def   4       83,439
Wells Fargo & Company New        Com      949746101        3,790       76,725 Shs  Def   5       72,065                      4,660
Wells Fargo & Co New             Com      949746101            4           90 Shs  Def   6           90
Wells Fargo Company              Com      949746101        5,094      103,126 Shs  Def   7      103,126
Wells Fargo & Co                 Com      949746101          463        9,366 Shs  Def  11        2,280        6,893           193
Wells Fargo & Co-New             Com      949746101        9,714      196,636 Shs  Def  12                   196,636
Wells Fargo & Co.                Com      949746101          543        6,900 Shs  Def  15        6,900
Wells Fargo & Co New Adj Rate    Pfd      949746200           25          500 Shs  Def  12                       500
Wells Fargo Cap Tr V             Pfd      94975T209           42        1,700 Shs  Def  12                     1,700
Wells Fargo Cap Trust Iv         Pfd      94976Y207        1,427       58,050 Shs  Def  12                    58,050
Wells Real Estate Fund Lp Vi     Com      950000869            9        1,031 Shs  Def  12                     1,031
Wellsford Real Pptys             Com      950240200        5,238      260,550 Shs  Def   6      248,460        1,015        11,075
Wendy'S International Inc        Com      950590109            4          108 Shs  Def   2          108
Wendys Intl Inc  Com             Com      950590109        5,800      165,800 Shs  Def   3      165,800
Wendys Intl Inc                  Com      950590109            8          240 Shs  Def   6          240
Wendys International Inc         Com      950590109        1,802       51,517 Shs  Def  12                    51,517
Wesbanco Inc                     Com      950810101          117        4,912 Shs  Def  12                     4,912
Wesbanco Inc Capital Trust I     Pfd      950810309          133       13,300 Shs  Def  12                    13,300
Wesco Financial Corp             Com      950817106          164          525 Shs  Def  12                       525
Wesco Intl Inc                   Com      95082P105           18        2,500 Shs  Def   2        2,500
Wesco Intl Inc                   Com      95082P105        5,323      760,400 Shs  Def   6      737,300                     23,100
West Coast Bancorp Ore N         Com      952145100           10          660 Shs  Def   6          660
West Corporation                 Com      952355105        6,727      212,600 Shs  Def   3      203,100                      9,500
West Marine Inc                  Com      954235107           32        1,600 Shs  Def  12                     1,600
West Penn Power Co-8% Qrtly      Com      955278825          120        4,700 Shs  Def  12                     4,700
West Pharmaceutical Svcs Inc     Com      955306105           68        2,250 Shs  Def  12                     2,250
Westamerica Bancorp              Com      957090103           13          300 Shs  Def  12                       300
Westbank Corp                    Com      957116106           77        6,800 Shs  Def   6        6,800
Westcoast Hospitality Co         Com      95750P106           42        5,900 Shs  Def   6        5,900
Westell Technologies Inc-Cl A    Com      957541105            2        1,090 Shs  Def  12                     1,090
Western Asset Premier Bd Fund    Cl End Fd957664105        3,243      216,046 Shs  Def  12                   216,046
Westcorp Inc                     Com      957907108        5,740      262,721 Shs  Def   6      259,986                      2,735
Western Digital Corp             Com      958102105          349       55,990 Shs  Def  12                    55,990
Western Gas Resources Inc        Com      958259103           33          900 Shs  Def  12                       900
Western Gas Resources Inc        Pfd      958259202            2           65 Shs  Def  12                        65
Western Resources Capital Ii     Pfd      958905200           11          500 Shs  Def  12                       500
Western Res Cap I-7.875% Cum     Pfd      959423203          114        5,354 Shs  Def  12                     5,354
Western Resources Inc            Com      959425109           26        1,500 Shs  Def   2        1,500
Western Resources Inc Com        Com      959425109        1,554       90,600 Shs  Def   3       83,000                      7,600
Western Resources, In            Com      959425109       12,508      727,976 Shs  Def   6      695,856          620        31,500
Western Resources Inc            Com      959425109           20        1,173 Shs  Def  12                     1,173
Western Wireless Corp-Cl A       Com      95988E204           10        1,100 Shs  Def  12                     1,100
Westfield Financial Inc          Com      96008D101            6          400 Shs  Def  12                       400
George Weston Limitee            Com      961148509           22          300 Shs  Def  12                       300
Westpac Capital Trust I          Pfd      96121S209           30        1,200 Shs  Def  12                     1,200
Westpoint Stevens Inc            Com      961238102           10        4,565 Shs  Def  12                     4,565
Westwood One, Inc.               Com      961815107          383       10,000 Shs  Def   1       10,000
Westwood One Inc                 Com      961815107           20          532 Shs  Def  12                       532
Wet Seal Inc  -Cl A              Com      961840105       18,332      525,430 Shs  Def   3      497,730                     27,700
Weyerhaeuser Co.                 Com      962166104          883       14,045 Shs  Def   1       14,045
Weyerhaeuser Co. B               CL B     962166104          526        8,363 Shs  Def   1        8,363
Weyerhaeuser Co.                 Com      962166104          490        7,800 Shs  Def   2        7,800
Weyerhaeuser Co                  Com      962166104            6          100 Shs  Def   6          100
Weyerhaeuser Co                  Com      962166104          661       10,519 Shs  Def  12                    10,519
Weyerhaeuser Co.                 Com      962166104           28          280 Shs  Def  15          280
Whirlpool Corp  Com              Com      963320106       30,734      406,800 Shs  Def   3      396,400                     10,400
Whirlpool Corp                   Com      963320106          891       11,800 Shs  Def   5        8,750                      3,050
Whirlpool Corp                   Com      963320106          828       10,960 Shs  Def   6       10,960
Whirlpool Corp                   Com      963320106           97        1,279 Shs  Def  12                     1,279
White Electric Designs Corp      Com      963801105           29        4,000 Shs  Def  12                     4,000
Whitman Education Group Inc      Com      966524100           47        8,000 Shs  Def  12                     8,000
Whitney Holding Corp             Com      966612103          138        2,766 Shs  Def  12                     2,766
Whitney Information Network      Com      966621104            1          300 Shs  Def  12                       300
Whole Foods Market, Inc.         Com      966837106           91        2,000 Shs  Def   2        2,000
Whole Foods Market, Inc.         Com      966837106        1,298       28,400 Shs  Def   7       28,400
Whole Foods Market Inc           Com      966837106          224        4,900 Shs  Def  12                     4,900
Wild Oats Markets Inc.           Com      96808B107           16        1,950 Shs  Def   2        1,950
Wild Oats Markets Inc            Com      96808B107            3          300 Shs  Def  12                       300
John Wiley & Sons Inc-Cl A       Com      968223206        1,453       55,450 Shs  Def  12                    55,450
Williams Communications Group    Com      969455104            5       32,620 Shs  Def  12                    32,620
Williams Communications Group    Com      969455104            1        5,000 Shs  Def                         5,000
Williams Companies Inc.          Com      969457100          117        4,975 Shs  Def   2        4,975
Williams Companies               Com      969457100            9          380 Shs  Def   4          380
Williams Cos Inc Com             Com      969457100       30,186    1,277,092 Shs  Def   6    1,233,242                     43,850
Williams Companies Inc           Com      969457100        2,831      120,158 Shs  Def  12                   120,158
Williams Cos                     Com      969457100       15,495      657,000 Shs  Def  13      657,000
Williams Cos Inc.                Com      969457100        4,399      118,300 Shs  Def  15      118,300
Williams Cos Inc                 Pfd      969457886          320       12,500 Shs  Def  12                    12,500
Williams Cos                     PFD      969457886        7,661      300,000 Shs  Def  13      300,000
Williams Clayton Energy          Com      969490101          503       40,200 Shs  Def   6       35,600                      4,600
Williams Energy Partners L P     Com      969491109        6,231      159,740 Shs  Def  12                   159,740
Williams Sonoma Inc.             Com      969904101          299        6,508 Shs  Def   2        6,508
Williams Sonoma Inc              Com      969904101          146        3,171 Shs  Def  12                     3,171
Willis Lease Finance Cor         Com      970646105          187       39,900 Shs  Def   6       37,600                      2,300
Willow Grove Bancorp Inc         Com      97111E101           22        1,000 Shs  Def  12                     1,000
Wilmington Trust Corp. New       Com      971807102          427        6,350 Shs  Def   7        6,350
Wilmington Trust Corp            Com      971807102        1,221       18,136 Shs  Def  12                    18,136
Wilsons The Leather Expe         Com      972463103        3,211      268,500 Shs  Def   6      258,600                      9,900
Wilsons Leather Experts Inc      Com      972463103           12        1,000 Shs  Def  12                     1,000
Wind River Systems Inc           Com      973149107           26        1,895 Shs  Def  12                     1,895
Winfield Capital Corp            Com      973859101            2        1,700 Shs  Def  12                     1,700
Winn Dixie Stores Inc  Com       Com      974280109          513       32,000 Shs  Def   3       32,000
Winn Dixie Stores Inc            Com      974280109        9,386      585,150 Shs  Def   6      556,650                     28,500
Winn-Dixie Stores Inc            Com      974280109        1,199       74,745 Shs  Def  12                    74,745
Winnebago Inds Inc  Com          Com      974637100          995       23,700 Shs  Def   3       23,700
Winnebago Industries Inc         Com      974637100           22          532 Shs  Def  12                       532
Winton Finl Corp                 Com      976446104            5          500 Shs  Def   2          500
Winton Financial Corp            Com      976446104           37        3,711 Shs  Def  12                     3,711
Wintrust Finl Corp               Com      97650W108           23        1,000 Shs  Def   3                                   1,000
Wireless Telecom Group Inc       Com      976524108            2          600 Shs  Def  12                       600
Wireless Facilities Inc          Com      97653A103            2          300 Shs  Def  12                       300
Wireless Holdrs Tr               Com      97653L208           23          500 Shs  Def  12                       500
Wisconsin Energy Power           Com      976657106            2           90 Shs  Def   2           90
Wisconsin Energy Corp Com        Com      976657106          290       11,650 Shs  Def   5       10,300                      1,350
Wisconsin Energy Corp            Com      976657106            6          250 Shs  Def   6          250
Wisconsin Energy Corp            Com      976657106        1,869       75,113 Shs  Def  12                    75,113
Wisconsin Power & Light Co       Pfd      976826305           46          600 Shs  Def  12                       600
Wolters Kluwer Nv Spons          ADR      977874205          546       26,055 Shs  Def   2       26,055
Wolters Kluwer N V Ad            Com      977874205        5,493      264,421 Shs  Def   6      224,396                     40,025
Wolverine Tube Inc               Com      978093102        1,849      212,500 Shs  Def   6      204,900                      7,600
Wolverine Tube Inc               Com      978093102            2          200 Shs  Def  12                       200
Wolverine World Wide Inc         Com      978097103           34        1,920 Shs  Def  12                     1,920
Woodward Governor Co             Com      980745103        7,967      115,800 Shs  Def   3      105,200                     10,600
Woodward Governor Co             Com      980745103        1,995       29,000 Shs  Def   6       29,000
Workflow Mgmt Inc                Com      98137N109        1,307      216,100 Shs  Def   6      208,500                      7,600
Workflow Management Inc          Com      98137N109            1          110 Shs  Def  12                       110
World Accep Corp Del             Com      981419104        2,406      342,800 Shs  Def   6      331,600                     11,200
World Fuel Services  Corp  Com   Com      981475106          288       14,700 Shs  Def   3       14,700
World Fuel Svcs Corp             Com      981475106        3,359      171,400 Shs  Def   6      165,200                      6,200
***World Wide Warranty Inc       Com      98154P102            1        5,000 Shs  Def  12                     5,000
World Wireless Communications    Com      98155B102            1        3,700 Shs  Def                         3,700
Worldgate Communications Inc     Com      98156L307           16       12,240 Shs  Def  12                    12,240
World Wrestling Fedn             Com      98156Q108        4,443      310,360 Shs  Def   6      300,445          815         9,100
Worldcom, Inc. -                 Com      98157D106        2,929      434,507 Shs  Def   2      432,557                      1,950
Worldcom Inc - Worldcom Group    Com      98157D106        5,931      879,996 Shs  Def   3      879,996
Worldcom Inc.-Worldcom Group     Com      98157D106           14        2,141 Shs  Def   4        2,141
Worldcom Inc-Worldcom Group      Com      98157D106        6,397      949,156 Shs  Def   5      754,030                    195,126
Worldcom Inc                     Com      98157D106       24,810    3,680,911 Shs  Def   6    3,538,456                    142,455
Worldcom, Inc. - Worldcom Group  Com      98157D106            2          300 Shs  Def   7          300
Worldcom, Inc. - Worldcom Group  Com      98157D106          188       27,931 Shs  Def   9                                  27,931
Worldcom Inc Ga New              Com      98157D106          112       16,646 Shs  Def  11        9,446        1,000         6,200
Worldcom Inc-Ga New              Com      98157D106        3,863      573,194 Shs  Def  12                   573,194
Worldcom Inc Ga New              WRLDCom G98157D106            3          300 Shs  Def  15          300
Worldcom, Inc. - Mci             Com      98157D304           16        2,672 Shs  Def   2        2,672
Worldcom Inc - Mci Group         Com      98157D304           72       12,100 Shs  Def   3        9,500                      2,600
Worldcom Inc - Mci Group         Com      98157D304            1           85 Shs  Def   4           85
Worldcom Ga New Mci Group        Com      98157D304          980      165,872 Shs  Def   6      144,844                     21,028
Worldcom, Inc. - Mci Group       Com      98157D304          426       61,849 Shs  Def   9                                  61,849
Worldcom Inc Ga New              Com      98157D304          134       22,739 Shs  Def  12                    22,739
Worthington Industries, Inc.     Com      981811102           38        2,500 Shs  Def   2        2,500
Worthington Industries Inc       Com      981811102        7,708      501,855 Shs  Def   3      471,005                     30,850
Worthington Industries Inc       Com      981811102          147        9,560 Shs  Def  12                     9,560
Wright Medical Group Inc         Com      98235T107           41        2,050 Shs  Def  12                     2,050
Wrigley (Wm) Jr. Company         Com      982526105           77        1,440 Shs  Def   2        1,440
Wrigley (Wm) Jr. Company         Com      982526105        8,852      166,055 Shs  Def   7      166,055
Wm Wrigley Jr Co                 Com      982526105          221        4,150 Shs  Def  11        4,150
Wm Wrigley Jr Co                 Com      982526105          901       16,900 Shs  Def  12                    16,900
Wm Wrigley Jr Co-Cl B            Com      982526204          155        2,880 Shs  Def  12                     2,880
Wyeth                            Com      983024100        4,346       66,200 Shs  Def   1                                  66,200
Wyeth                            Com      983024100        8,892      135,442 Shs  Def   2      135,442
Wyeth                            Com      983024100       12,765      194,436 Shs  Def   3      188,236                      6,200
Wyeth                            Com      983024100           45          686 Shs  Def   4          686
Wyeth Corp                       Com      983024100        3,629       55,280 Shs  Def   5       47,380                      7,900
Wyeth                            Com      983024100        4,624       70,398 Shs  Def   6       66,288                      4,110
Wyeth                            Com      983024100        1,136       17,300 Shs  Def   7       17,300
Wyeth                            Com      983024100          344        5,200 Shs  Def   9                                   5,200
Wyeth                            Com      983024100          584        8,894 Shs  Def  11        6,885        1,921            88
Wyeth                            Com      983024100       15,916      242,445 Shs  Def  12                   242,445
Wyeth                            Com      983024100       12,399      119,305 Shs  Def  15      119,305
Wyndham International Inc        Com      983101106            6        6,927 Shs  Def  12                     6,927
Xm Satellite Radio Hldgs Inc     Com      983759101          294       21,320 Shs  Def  12                    21,320
Xo Communications Inc            Com      983764101            4       46,958 Shs  Def  12                    46,958
X-Rite Inc                       Com      983857103           19        2,400 Shs  Def  12                     2,400
Xto Energy Inc                   Com      98385X106       25,697    1,281,650 Shs  Def   3    1,226,800                     54,850
Xto Energy Inc                   Com      98385X106           19          950 Shs  Def  12                       950
Xcel Energy, Inc.                Com      98389B100          153        6,052 Shs  Def   2        6,052
Xcel Energy Inc                  Com      98389B100          253        9,997 Shs  Def   5        8,397                      1,600
Xcel Energy Inc                  Com      98389B100            4          150 Shs  Def   6          150
Xcel Energy, Inc.                Com      98389B100           10          400 Shs  Def   7          400
Xcel Energy Inc.                 Com      98389B100          522       20,662 Shs  Def   9                                  20,662
Xcel Energy Inc                  Com      98389B100          671       26,476 Shs  Def  11       12,520       13,831
Xcel Energy Inc                  Com      98389B100       18,155      716,175 Shs  Def  12                   716,175
Xcel Energy                      Com      98389B100       20,263      800,000 Shs  Def  13      800,000
Xcel Energy Inc                  Pfd      98389B209           24          455 Shs  Def  12                       455
Xanser Corp                      Com      98389J103            1          500 Shs  Def  12                       500
Xeta Technologies Inc            Com      983909102          748      111,700 Shs  Def   6      107,600                      4,100
Xeta Technologies Inc            Com      983909102            7        1,000 Shs  Def  12                     1,000
Xilinx Inc                       Com      983919101          805       20,185 Shs  Def  12                    20,185
Xerox Corp.                      Com      984121103          245       22,800 Shs  Def   2       22,800
Xerox Corp  Com                  Com      984121103        3,109      289,200 Shs  Def   3      289,200
Xerox Corp                       Com      984121103           81        7,540 Shs  Def   6        7,540
Xerox Corp                       Com      984121103        1,688      157,021 Shs  Def  12                   157,021
Xerox Corp Convertible           Cvt      984121BB8        3,640    6,500,000 Prn  Def                                   6,500,000
Xybernaut Corp                   Com      984149104            2        1,200 Shs  Def  12                     1,200
Yahoo Inc                        Com      984332106          102        5,500 Shs  Def   2        5,500
Yahoo Inc                        Com      984332106          337       18,269 Shs  Def  12                    18,269
Yang Ming Marine 144A Gdr Ta     GDR      984749101            1          431 Shs  Def   3          431
Yankee Candle Inc                Com      984757104            6          250 Shs  Def  12                       250
Xicor Inc                        Com      984903104            9          800 Shs  Def  12                       800
Yardville Capital Trust-9.25%    Pfd      985017201           13        1,250 Shs  Def  12                     1,250
Yardville Natl Bancorp           Com      985021104        1,715      127,500 Shs  Def   6      123,200                      4,300
Yardville National Bancorp-N J   Com      985021104          221       16,441 Shs  Def  12                    16,441
Yellow Corp Com                  Com      985509108        2,650      100,400 Shs  Def   3       94,900                      5,500
Yellow Corp                      Com      985509108        2,998      113,611 Shs  Def   6      113,611
York International Inc           Com      986670107           38        1,050 Shs  Def   2        1,050
York Intl                        Com      986670107        4,258      118,600 Shs  Def   3      103,100                     15,500
York Intl Corp New               Com      986670107       19,098      531,980 Shs  Def   6      516,380                     15,600
York International Corp New      Com      986670107          116        3,240 Shs  Def  12                     3,240
Yorkshire Capital Trust I        Pfd      98719V206           31        1,300 Shs  Def  12                     1,300
Young Broadcasting Inc-Cl A      Com      987434107           17          670 Shs  Def  12                       670
Z-Tel Technologies Inc           Com      988792107           95       46,480 Shs  Def  12                    46,480
Zale Corp New  Com               Com      988858106          122        3,000 Shs  Def   3        3,000
Zale Corp New                    Com      988858106       27,206      670,090 Shs  Def   6      653,790                     16,300
***Zi Corporation                Com      988918108            1          100 Shs  Def  12                       100
Zapata Corp                      Com      989070602           78        2,990 Shs  Def  12                     2,990
Zebra Technologies C             Com      989207105          141        2,600 Shs  Def   3        2,600
Zebra Technologies Corp-Cl A     Com      989207105            5          100 Shs  Def  12                       100
Zila Inc                         Com      989513205           15        6,600 Shs  Def  12                     6,600
Zimmer Holdings, Inc.            Com      98956P102          549       16,109 Shs  Def   2       15,894                        215
Zimmer Holdings                  Com      98956P102            2           60 Shs  Def   4           60
Zimmer Hldgs Inc                 Com      98956P102            3           87 Shs  Def   6           87
Zimmer Holdings, Inc.            Com      98956P102           57        1,684 Shs  Def   7        1,684
Zimmer Holdings Inc              Com      98956P102        2,545       74,744 Shs  Def  12                    74,744
Zimmer Holdings Inc.             Com      98956P102           64        1,180 Shs  Def  15        1,180
Zing Networks Inc                PFD      9896119A8           42      100,000 Shs  Def   5      100,000
Zing Networks Inc                PFD      9896119B6           11       26,661 Shs  Def   5       26,661
Zions Bancorp                    Com      989701107       22,361      377,273 Shs  Def   1      113,566                    263,707
Zions Bancorp                    Com      989701107            7          115 Shs  Def   6          115
Zions Bancorporation             Com      989701107        4,826       81,420 Shs  Def   7       81,420
Zions Bancorporation             Com      989701107        1,371       23,133 Shs  Def  12                    23,133
Zixit Corp                       Com      98974P100           33        5,000 Shs  Def                         5,000
Zoran Corp                       Com      98975F101            4          100 Shs  Def  12                       100
Zonagen Inc                      Com      98975L108           16        3,700 Shs  Def  12                     3,700
Zoltek Companies Inc             Com      98975W104            2          900 Shs  Def  12                       900
Zweig Fund Inc                   Cl End Fd989834106          131       15,557 Shs  Def  12                    15,557
Zweig Total Return Fund Inc      Cl End Fd989837109           49        6,870 Shs  Def  12                     6,870
Zomax Inc Minn                   Com      989929104        1,901      260,400 Shs  Def   6      250,400                     10,000
Zomax Inc - Mn                   Com      989929104           64        8,700 Shs  Def  12                     8,700
North Star Inc.                  Com      990186918           27        2,000 Shs  Def   2        2,000
***Envipco Hldgs Nv              Com      B3603F117            1        3,000 Shs  Def  12                     3,000
***Aixtron Ord Npv               Com      D0198L101           72        3,900 Shs  Def  12                     3,900
***Basf Ag-Ord                   Com      D06216101           30          750 Shs  Def  12                       750
***Bayerische Moteren Werke Ag   Com      D12096109           40        1,000 Shs  Def  12                     1,000
Daimlerchrysler A.G.             ADR      D1668R123          203        4,500 Shs  Def   2        4,500
Daimlerchrysler A.G.             ADR      D1668R123          972       21,524 Shs  Def   9                                  21,524
***Daimlerchrysler A.G.          Com      D1668R123        1,100       24,418 Shs  Def  12                    24,418
Deutsche Bank Ag                 Com      D18190898           64        1,000 Shs  Def   2        1,000
Deutsche Bank Aktieng            Com      D18190898        4,073       62,917 Shs  Def   6       61,857                      1,060
***Deutsche Bank Ag Namen Akt    Com      D18190898           17          266 Shs  Def  12                       266
***Deutsche Bank Ag Namen Akt    Com      D1820R102          119        1,850 Shs  Def  12                     1,850
***E.On Ag Npv                   Com      D24909109           35          700 Shs  Def  12                       700
***Schering Ag                   Com      D67334108           88        1,500 Shs  Def  12                     1,500
***Thyssen Krupp Ag              Com      D8398Q119           17        1,100 Shs  Def  12                     1,100
***Zapf Creation                 Com      D98299106           16          700 Shs  Def  12                       700
***Accor                         Com      F00189120           40        1,000 Shs  Def  12                     1,000
***Dassault Systemes Sa          Com      F2457H100           24          500 Shs  Def  12                       500
***Euro Disney Sca-Dep Rcpts     Com      F26387112            2        1,700 Shs  Def  12                     1,700
***Sanofi-Synthelabo             Com      F5548N101           32          500 Shs  Def  12                       500
***Vinci Sa                      Com      F5879X108           49          750 Shs  Def  12                       750
***Thales                        Com      F9156M108           36        1,000 Shs  Def  12                     1,000
Ace Ltd                          Com      G0070K103       39,820      954,809 Shs  Def   6      938,276                     16,533
***Ace Ltd-Ord                   Com      G0070K103          203        4,875 Shs  Def  12                     4,875
Amdocs Limited                   Com      G02602103          477       17,900 Shs  Def   7       17,900
***Amdocs Limited                Com      G02602103          561       21,066 Shs  Def  12                    21,066
Annuity & Life Re Hld            Com      G03910109        8,859      458,798 Shs  Def   6      453,112          470         5,216
***Apex Silver Mines Ltd         Com      G04074103          357       26,600 Shs  Def  12                    26,600
Apw Ltd.                         Com      G04397108            2        8,700 Shs  Def   2        8,700
***Apw Ltd                       Com      G04397108            1        3,000 Shs  Def  12                     3,000
Arch Capital Group Ltd           Com      G0450A105           39        1,500 Shs  Def  12                     1,500
Accenture Ltd                    Com      G1150G111            2           82 Shs  Def   6                                      82
Accenture Ltd.                   Com      G1150G111        2,315       86,700 Shs  Def   8                    86,700
Accenture Ltd.                   Com      G1150G111       70,088    2,625,000 Shs  Def  10    2,625,000
***Accenture Ltd Cl-A            Com      G1150G111            7          250 Shs  Def  12                       250
***Boosey & Hawkes Gr            Com      G1239DD10            4        1,659 Shs  Def  12                     1,659
***Bsch Finance Ltd              Pfd      G16547153           42        1,650 Shs  Def  12                     1,650
***Bsch Finance Ltd              Pfd      G16547179           29        1,200 Shs  Def  12                     1,200
***Bsch Finance Ltd              Pfd      G16547187           34        1,400 Shs  Def  12                     1,400
***Bsch Finance Ltd              Pfd      G16547286          134        5,125 Shs  Def  12                     5,125
***Bunge Ltd                     Com      G16962105          162        7,500 Shs  Def  12                     7,500
Bunge Limited                    Com      G16962105           65        3,000 Shs  Def                         3,000
***Carlton Communications Plc    Pfd      G19068140           16          875 Shs  Def  12                       875
***Espirito Santo Overseas Ltd   Pfd      G3122A107           16          645 Shs  Def  12                       645
***Xcelera Inc                   Com      G31611109           10        5,472 Shs  Def  12                     5,472
***Eurotunnel Plc/Eurotunnel     Com      G32060108           29       30,000 Shs  Def  12                    30,000
Everest Re Group                 Com      G3223R108       16,163      233,872 Shs  Def   6      231,447          215         2,210
***Everest Re Group Ltd          Com      G3223R108          317        4,570 Shs  Def  12                     4,570
***Foster Wheeler Ltd            Com      G36535105            1          400 Shs  Def  12                       400
Foster Wheeler Ltd               Com      G36535105           17        5,000 Shs  Def                         5,000
Fresh Del Monte Produce Inc      Com      G36738105          476       25,300 Shs  Def   3       25,300
***Fruit Of The Loom Ltd Cl A    Com      G3682L105            1        8,000 Shs  Def  12                     8,000
***Garmin Ltd                    Com      G37260109           39        1,700 Shs  Def  12                     1,700
***Glaxosmithkline               Com      G3910J112            3          141 Shs  Def  12                       141
***Global Crossing Ltd           Com      G3921A100           18      161,134 Shs  Def  12                   161,134
***Global Crossing Ltd           Pfd      G3921A126            3        4,200 Shs  Def  12                     4,200
***Global Crossing Ltd           Pfd      G3921A134            8        4,400 Shs  Def  12                     4,400
Global Santafe Corpor            Com      G3930E101        2,792       85,388 Shs  Def   6       70,736                     14,652
***Globalsantafe Corp            Com      G3930E101          392       11,987 Shs  Def  12                    11,987
***Globalstar                    Com      G3930H104            1        8,820 Shs  Def  12                     8,820
***Diageo Plc-Ord 28 101/108P    Com      G42089113            9          720 Shs  Def  12                       720
***Helen Of Troy Ltd-Bermuda     Com      G4388N106           17        1,200 Shs  Def  12                     1,200
Ingersoll Rand Co  Com           Com      G4776G101           25          500 Shs  Def   3          500
***Ingersoll Rand Co Ltd         Com      G4776G101        2,466       49,310 Shs  Def  12                    49,310
Ipc Holdings Ltd                 Com      G4933P101        4,016      123,420 Shs  Def   3      108,920                     14,500
***Ipc Holdings Ltd              Com      G4933P101           20          600 Shs  Def  12                       600
***Iqe Plc                       Com      G49356119           31       18,356 Shs  Def  12                    18,356
***Knightsbridge Tankers Ltd     Com      G5299G106          783       43,099 Shs  Def  12                    43,099
***Lasalle Re Holdings Ltd       Pfd      G5383Q119           99        4,300 Shs  Def  12                     4,300
***Lj International Inc          Com      G55312105            4        3,000 Shs  Def  12                     3,000
***Loral Space &                 Com      G56462107           31       14,355 Shs  Def  12                    14,355
Loral Space & Communications     Com      G56462107           11        5,000 Shs  Def                         5,000
Marvell Tech Group Ltd           Com      G5876H105           11          250 Shs  Def   6          250
***Marvell Technology Group      Com      G5876H105          388        8,865 Shs  Def  12                     8,865
***Newscorp Overseas Ltd         Pfd      G6478B108          226        9,300 Shs  Def  12                     9,300
***Newscorp Overseas Ltd         Pfd      G6478B116           46        2,400 Shs  Def  12                     2,400
***Nordic American Tanker        Com      G65773106            2          100 Shs  Def  12                       100
***Orient Express Hotels Ltd     Com      G67743107          108        5,250 Shs  Def  12                     5,250
***Partnerre Ltd                 Com      G6852T105           20          375 Shs  Def  12                       375
***Partnerre Ltd-8% Cum Pfd      Pfd      G6852T113          118        4,757 Shs  Def  12                     4,757
***Psion Plc-Ord 5P              Com      G72928107            3        3,000 Shs  Def  12                     3,000
***Qiao Xing Universal           Com      G7303A109           61       12,500 Shs  Def  12                    12,500
Renaissancere Holdings Ltd       Com      G7496G103        3,481       33,800 Shs  Def   3       32,500                      1,300
Renaissance Re Hldgs Ltd         Com      G7496G103       12,234      118,775 Shs  Def   6      118,775
***Renaissancere Holdings Ltd    Com      G7496G103           77          750 Shs  Def  12                       750
***Repsol International Cap      Pfd      G7513K103           25        1,185 Shs  Def  12                     1,185
***Rhone Poulenc Overseas Ltd    Pfd      G75495104           61        2,400 Shs  Def  12                     2,400
***Royal Bank Of Scotland        Com      G76891111           23          906 Shs  Def  12                       906
***Royal Bk Of Scotland Grp      Com      G76893190            1          726 Shs  Def  12                       726
Scottish Annuity & Life Hldgs    Com      G7885T104          222       11,700 Shs  Def   3       10,400                      1,300
***Seven Seas Petroleum Inc      Com      G80550109            5        2,500 Shs  Def  12                     2,500
***Shire Pharmaceuticals Group   Com      G81083100           12        1,500 Shs  Def  12                     1,500
Smith & Nephew P L C             Com      G82343164          214       36,262 Shs  Def   6       34,354                      1,908
***3D Labs Inc Ltd               Com      G8846W103            9        2,500 Shs  Def  12                     2,500
***Tiers Principal Protected     Com      G88649119            4          500 Shs  Def  12                       500
Tommy Hilfiger Corp              Com      G8915Z102          382       26,650 Shs  Def   3       26,650
***Tommy Hilfiger Corp-Ord       Com      G8915Z102           64        4,450 Shs  Def  12                     4,450
Transocean Sedco Forex Inc       Com      G90078109          148        5,215 Shs  Def   2        5,215
Transocean Sedco Fore            Com      G90078109       19,403      580,416 Shs  Def   6      493,693                     86,723
***Transocean Sedco Forex Inc    Com      G90078109          595       17,909 Shs  Def  12                    17,909
Sedcoforex Holdings Ltd.         Com      G90078109           85        1,600 Shs  Def  15        1,600
***Trenwick Group Ltd Bermuda    Com      G9032C109           11        1,237 Shs  Def  12                     1,237
***Vodafone Group Plc New        Com      G93882101           17        9,222 Shs  Def  12                     9,222
***Wembly Plc-Ord 100P           Com      G95393164           54        4,500 Shs  Def  12                     4,500
***White Mtns Ins Group Ltd      Com      G9618E107          840        2,431 Shs  Def  12                     2,431
Xl Capital Ltd - Class A         Com      G98255105          173          600 Shs  Def   2          600
Xl Capital Ltd.                  Com      G98255105        1,624       17,370 Shs  Def   6       15,383                      1,987
***Xl Capital Ltd-Cl A           Com      G98255105          266        2,850 Shs  Def  12                     2,850
***Xoma Ltd-(Bermuda)            Com      G9825R107           86       10,050 Shs  Def  12                    10,050
***Yue Yuen Industrial           Com      G98803128            3        1,000 Shs  Def  12                     1,000
***Alcon Inc                     Com      H01301102           10          300 Shs  Def  12                       300
***Unaxis Holdings Ltd           Com      H11076199            2           16 Shs  Def  12                        16
***Credit Suisse Grp             Com      H3698D419           15          400 Shs  Def  12                       400
***Julius Bear Holding Ag        Com      H4407G180           29           90 Shs  Def  12                        90
***Nestle Sa                     Com      H57312466           44          200 Shs  Def  12                       200
***Swatch Group Ag               Com      H83949141          122        1,200 Shs  Def  12                     1,200
***Fantastic Corp Zug Namen      Com      H8651D108            1        2,500 Shs  Def  12                     2,500
***Ubs Ag                        Com      H8920M855           33          669 Shs  Def  12                       669
***Zurich Financial Services     Com      H9870Y105           12           50 Shs  Def  12                        50
***Isuzu Motors Ltd              Com      J24994105            3        5,000 Shs  Def  12                     5,000
***Mitsubishi Heavy Industries   Com      J44002129            8        2,300 Shs  Def  12                     2,300
***Mitsui Sumitomo Insurance     Com      J45174109            9        2,000 Shs  Def  12                     2,000
***Showa Shell Sekiyu Kk         Com      J75390104           36        6,000 Shs  Def  12                     6,000
Terumo Corp.                     Com      J83173104           56       20,300 Shs  Def   2       20,300
***Toyota Industries             Com      J91085100            5          300 Shs  Def  12                       300
Millicom Intl Cellular Sa        Com      L6388F102            1           91 Shs  Def   6           91
***Millicom International        Com      L6388F102           34        5,000 Shs  Def  12                     5,000
A.C.L.N. Limited                 Com      M01764105           20        2,400 Shs  Def   3        2,400
***A.C.L.N. Limited              Com      M01764105            2          200 Shs  Def  12                       200
***Audiocodes Ltd Ord            Com      M15342104            4        1,200 Shs  Def  12                     1,200
Check Point Software Techn       Com      M22465104        6,782      223,100 Shs  Def   3      223,100
Check Point Software Tech Ltd    Com      M22465104        1,599       52,600 Shs  Def   7       52,600
***Check Point Software          Com      M22465104          511       16,810 Shs  Def  12                    16,810
***Compugen Limited              Com      M25722105           54       16,000 Shs  Def  12                    16,000
***Elscint Ltd-Ord New           Com      M40168102            1          160 Shs  Def  12                       160
***Emblaze Systems Ltd           Com      M40266104            1          400 Shs  Def  12                       400
***Fundtech Ltd                  Com      M47095100            2          500 Shs  Def  12                       500
***Gilat Satellite Networks      Com      M51474100            3          750 Shs  Def  12                       750
Given Imaging                    Com      M52020100          208       19,000 Shs  Def  12                    19,000
***Lanoptics Ltd-Ord             Com      M6706C103          434       38,901 Shs  Def  12                    38,901
***Lumenis Ltd                   Com      M6778Q105           35        3,185 Shs  Def  12                     3,185
Orbotech Ltd                     Com      M75253100        5,502      180,304 Shs  Def   6      175,759                      4,545
***Rada Electronics Industries   Com      M81863108            1          360 Shs  Def  12                       360
***Taro Pharmaceutical           Com      M8737E108            3          100 Shs  Def  12                       100
Verisity Ltd                     Com      M97385112           13          600 Shs  Def   3          600
***Asml Holding Nv Ny Reg Shs    Com      N07059111           25          993 Shs  Def  12                       993
***Cnh Global N.V.               Com      N20935107            2          300 Shs  Def  12                       300
Core Laboratories Nv             Com      N22717107          730       49,450 Shs  Def   3       37,750                     11,700
Core Laboratiories N.V.          Com      N22717107            6          400 Shs  Def   4          400
***Core Laboratories Nv          Com      N22717107           37        2,500 Shs  Def                         2,500
***Icts International Nv         Com      N43837108            7        1,000 Shs  Def  12                     1,000
***Indigo Nv                     Com      N44495104            1          130 Shs  Def  12                       130
***Indigo Nv                     Com      N44990021          205       29,950 Shs  Def  12                    29,950
***Madge Networks Nv             Com      N5424G106            3        6,770 Shs  Def  12                     6,770
***Randstad Hldgs Nv             Com      N7291Y137           52        3,416 Shs  Def  12                     3,416
***Capital Re Llc-7.65% Cum      Pfd      P20578103          372       15,335 Shs  Def  12                    15,335
***Grupo Finaciero Banorte Sa    Com      P49501201           19        7,860 Shs  Def  12                     7,860
***Grupo Financiero Bbva         Com      P49505103            2        1,925 Shs  Def  12                     1,925
***Steiner Leisure Ltd           Com      P8744Y102           44        2,062 Shs  Def  12                     2,062
Royal Caribbean Cruis            Com      V7780T103        3,977      181,989 Shs  Def   6      179,129                      2,860
***Royal Caribbean Cruises Ltd   Com      V7780T103          131        5,810 Shs  Def  12                     5,810
***Singapore Airlines Ltd        Com      V80178110            2          307 Shs  Def  12                       307
***Stelmar Shipping Ltd          Com      V8726M103           17        1,000 Shs  Def  12                     1,000
Ase Test Limited                 Com      Y02516105       10,541      675,300 Shs  Def   3      655,300                     20,000
***Bangkok Bank Public Co Ltd    Com      Y0606R119           35       25,000 Shs  Def  12                    25,000
***Beijing Datang Power          Com      Y0771J108           66      180,000 Shs  Def  12                   180,000
***Cathay Pacific Airways Ltd    Com      Y11757104            5        3,500 Shs  Def  12                     3,500
***Creative Technology Ltd-Ord   Com      Y1775U107           31        2,525 Shs  Def  12                     2,525
Flextronics International Ltd    Com      Y2573F102          126        6,906 Shs  Def   2        6,906
***Flextronics International     Com      Y2573F102       19,719    1,080,470 Shs  Def  12                 1,080,470
Flextronics International Ltd    Com      Y2573F102        1,095       60,000 Shs  Def                        60,000
Gigamedia Limited                Com      Y2711Y104        3,569    1,439,300 Shs  Def   3    1,138,300                    301,000
***Henderson Land Development    Com      Y31580106           71       17,000 Shs  Def  12                    17,000
***Hong Kong Exchange            Com      Y3506N105           57       37,000 Shs  Def  12                    37,000
Omi Corp New                     Com      Y6476W104            7        1,850 Shs  Def  12                     1,850
***Pacific Internet Limited      Com      Y66183107            2          650 Shs  Def  12                       650
***Pacific Century Cyberworks    Com      Y6801N134            2        6,500 Shs  Def  12                     6,500
***Singapore Exchange            Com      Y79946102           70      100,000 Shs  Def  12                   100,000
***Teekay Shipping Corp          Com      Y8564W103          257        6,730 Shs  Def  12                     6,730
***Venture Manufacturing         Com      Y9360Y103           79        8,000 Shs  Def  12                     8,000