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

                                    Form 13F

                               Form 13F Cover Page

Report for Calendar Year or Quarter Ended: September 30, 2003

Check here if amendment [_] Amendment Number [_]

Institutional Investment Manager filing this report:

Name:          State Street Corporation
Address:       225 Franklin Street
               Boston, Massachusetts 02110

Form 13F File Number:  28-399

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:          Fred P. Baughman
Title          Senior Vice President, Controller, and Chief Accounting Officer
Telephone:     617-786-3000

Signature, Place, and Date of Signing:

  /s/ Frederick P. Baughman      Boston, Massachusetts       October 30, 2003
-----------------------------  -------------------------  ----------------------
         [Signature]                 [City, State]                [Date]

Report Type (Check only one):

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

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

[X]  13FCOMBINATION REPORT. (Check here if a portion of the holdings for this
     reporting manager are reported in this report and a portion are reported by
     other reporting manager(s).)

List of Other Managers Reporting for this Manager:
(if there are no entries in this list, omit this section.)

---------------------------------
13F File Number     Name
---------------------------------
    28-5798         Roy A. Hammer
---------------------------------



                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:        13
Form 13F Information Table Entry Total:   3,363
Form 13F Information Table Value Total:   359,462,745
                                          (thousands)

List of Other Included Managers:

Provide a numbered list of the names(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other that the manager filing this report. [If there are no entries in this
list, state "NONE" and omit the column headings and list entries.]

----------------------------------------------------
   No.  Form 13F File Number   Name
----------------------------------------------------
   1           28-1932         Frederick Ballou
----------------------------------------------------
   2           28-3602         Francis L. Coolidge
----------------------------------------------------
   3           28-2710         F. Davis Dossori, Jr.
----------------------------------------------------
   4           28-3488         Nicholas A. Grace
----------------------------------------------------
   5           28-5798         Roy A. Hammer
----------------------------------------------------
   6           28-6740         Edward J. Joyce
----------------------------------------------------
   7           28-5796         George H. Kidder
----------------------------------------------------
   8           28-1487         Peter B. Loring
----------------------------------------------------
   9           28-4282         Dean Ridlon
----------------------------------------------------
   10          28-6281         Michael B. Elefante
----------------------------------------------------
   11          28-5362         John Cornish
----------------------------------------------------
   12          28-6476         William A. Lowell
----------------------------------------------------
   13          28-4918         Thomas H.P. Whitney
----------------------------------------------------





                                                  State Street Corporation (STT)
                                                  SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CITIGROUP INC        COM    17296710  11,721,626,641 257,561,561 242,383,590 14,559,694    618277 138,992,653 105,546,450 13,022,458
INTERNATIONAL BUSINE COM    45920010  11,396,798,830 129,025,233 104,874,558 23,826,543    324132  48,136,812  53,761,080 27,127,341
GENERAL ELEC CO      COM    36960410   8,655,234,113 290,346,666 279,154,065  6,365,550 4,827,051 257,422,156   8,299,599 24,624,911
MICROSOFT CORP       COM    59491810   8,379,309,255 301,414,002 295,334,758  4,365,908 1,713,336 266,901,783   5,451,087 29,061,132
EXXON MOBIL CORP     COM    30231G10   7,295,004,469 199,317,062 191,910,747  4,149,159 3,257,156 178,532,730   4,837,612 15,946,720
PFIZER INC           COM    71708110   6,809,248,338 224,135,890 217,468,615  4,042,103 2,625,172 196,802,039   7,763,533 19,570,318
JOHNSON & JOHNSON    COM    47816010   6,574,112,873 132,756,722 126,861,069  4,122,080 1,773,573  82,857,722  41,529,481  8,369,519
WAL MART STORES INC  COM    93114210   6,231,930,767 111,583,362 108,602,295  1,926,352 1,054,715  99,796,029   2,537,385  9,249,948
INTEL CORP           COM    45814010   5,490,600,154 199,513,087 192,698,648  4,380,250 2,434,189 176,394,222   4,787,195 18,331,670
MERRILL LYNCH & CO I COM    59018810   5,416,401,146 101,184,404  27,376,735 73,793,733     13936  24,517,581  73,915,147  2,751,676
MORGAN STANLEY       COM
                     NEW    61744644   5,275,670,758 104,551,541  28,689,969 75,803,809     57763  27,561,894  74,496,753  2,492,894
AMERICAN INTL GROUP  COM    02687410   4,299,192,264  74,509,398  71,337,830  2,068,143 1,103,425  65,511,711   1,713,660  7,284,027
3M CO                COM    88579Y10   4,256,189,752  61,621,395  52,681,905  8,324,100    615390  24,854,096  34,606,655  2,160,644
GENERAL MTRS CORP    COM    37044210   4,195,504,641 102,504,389 102,418,588      60509     25292  19,030,295  81,989,890  1,484,204
PROCTER & GAMBLE CO  COM    74271810   4,062,196,571  43,764,238  41,914,803  1,061,662    787773  38,817,959   1,287,726  3,658,553
CISCO SYS INC        COM    17275R10   4,003,830,039 204,381,319 199,861,052  3,033,899 1,486,368 180,647,457   3,969,631 19,764,231
LOCKHEED MARTIN CORP COM    53983010   3,837,473,983  83,152,199  83,035,691     107040      9468  10,935,376       95668 72,121,155
BELLSOUTH CORP       COM    07986010   3,651,941,061 154,220,484 151,105,760  2,768,626    346098  49,389,095  99,472,638  5,358,751
MERCK & CO INC       COM    58933110   3,632,676,165  71,763,654  68,372,874  1,935,684 1,455,096  63,318,546   2,253,488  6,191,620
BANK OF AMERICA CORP COM    06050510   3,477,661,480  44,562,551  43,939,202     476546    146803  39,692,761      497562  4,372,228
LOWES COS INC        COM    54866110   3,421,718,421  65,929,064  20,284,683 45,517,674    126707  18,339,423  45,592,727  1,996,914
TARGET CORP          COM    87612E10   3,250,666,270  86,384,966  85,470,341     721061    193564  21,983,027  62,288,907  2,113,032
BOEING CO            COM    09702310   3,248,551,638  94,627,196  30,764,839 63,820,114     42243  86,273,943   6,506,504  1,846,749
COCA COLA CO         COM    19121610   3,061,415,562  71,262,001  68,660,560  1,353,045 1,248,396  62,859,606   2,098,217  6,304,178
BP PLC               SPON-
                     SORED  05562210   2,768,346,755  65,756,455  65,724,898      31557                516739  65,236,036       3680
CHEVRONTEXACO CORP   COM    16676410   2,757,637,971  38,595,353  31,068,659  7,344,230    182464  28,434,558   7,548,966  2,611,829
HONEYWELL INTL INC   COM    43851610   2,710,680,309 102,872,118  27,689,211 75,131,467     51440  25,792,963  75,097,426  1,981,729
VERIZON COMMUNICATIO COM    92343V10   2,624,740,480  80,910,619  79,397,526     988300    524793  71,824,971   1,186,535  7,899,113
WELLS FARGO & CO NEW COM    94974610   2,573,019,104  49,961,536  48,051,100  1,327,582    582854  44,385,080      965993  4,610,463
DELL INC             COM    24702R10   2,423,468,678  72,515,520  71,102,134  1,172,174    241212  64,333,889   1,132,969  7,048,662
AMGEN INC            COM    03116210   2,401,407,172  37,219,578  36,599,100     441775    178703  32,917,950      629098  3,672,530
PEPSICO INC          COM    71344810   2,350,296,223  51,282,920  48,606,013  1,707,112    969795  44,778,037   1,619,673  4,885,210
ALTRIA GROUP INC     COM    02209S10   2,348,682,319  53,622,884  52,871,179     498386    253319  49,539,678      937832  3,145,374
SBC COMMUNICATIONS I COM    78387G10   2,291,689,302 102,997,272  98,975,432  3,508,667    513173  90,058,398   3,592,973  9,345,901
HOME DEPOT INC       COM    43707610   2,290,919,571  71,928,401  69,444,455  1,856,584    627362  64,004,227   1,438,272  6,485,902
J P MORGAN CHASE & C COM    46625H10   2,215,377,140  64,531,813  63,611,960     571905    347948  57,879,050      868502  5,784,261
FEDERAL NATL MTG ASS COM    31358610   1,991,776,176  28,372,880  28,177,970     150436     44474  25,270,555      388869  2,713,456
AOL TIME WARNER INC  COM    88731710   1,991,473,764 131,798,396   131246143     523083     29170   117990383     1600914   12207099
AMERICAN EXPRESS CO  COM    02581610   1,873,413,929  41,575,986  40,456,678     930560    188748  37,247,470      640740  3,687,776
ABBOTT LABS          COM    00282410   1,833,140,248  43,082,027  41,712,053     706240    663734  38,085,059   1,271,967  3,725,001
VIACOM INC           CL B   92552430   1,807,242,567  47,186,490  46,925,310     226413     34767  42,237,661      465903  4,482,926
HEWLETT PACKARD CO   COM    42823610   1,772,810,726  91,570,802  89,518,215  1,059,273    993314  81,912,051   1,545,325  8,113,426
LILLY ELI & CO       COM    53245710   1,759,139,850  29,615,149  29,361,687     214697     38765  26,477,348      427870  2,709,931
COMCAST CORP NEW     CL A   20030N10   1,749,800,322  56,774,832  56,255,286     444180     75365  51,392,184      527262  4,855,385
DU PONT E I DE NEMOU COM    26353410   1,728,562,032  43,203,250  42,289,069     568554    345627  40,451,054      665936  2,086,260
WYETH                COM    98302410   1,688,631,014  36,629,740  35,186,201     859605    583934  32,543,802   1,013,596  3,072,342
SOUTHWEST AIRLS CO   COM    84474110   1,655,886,223  93,552,894  93,450,102      74960     27832  17,701,668  74,098,975  1,752,251
UNITED PARCEL SERVIC CL B   91131210   1,648,738,293  25,842,293  25,625,130     188698     28465  23,085,962      434094  2,322,237
MEDTRONIC INC        COM    58505510   1,611,603,327  34,347,897  33,054,041     984232    309624  30,306,001      692143  3,349,753
WACHOVIA CORP 2ND NE COM    92990310   1,584,260,695  38,462,265  37,935,336     401691    125238  34,265,583      490407  3,706,275
ORACLE CORP          COM    68389X10   1,500,152,017 133,346,846 132,388,667     763680    194499 118,926,103   1,832,104 12,588,639
INTL PAPER CO        COM    46014610   1,474,914,677  37,798,941  17,777,598 20,011,638      9705  16,722,637  20,061,989  1,014,315
Page Total                           189,072,766,075


                                                                    Page 1 of 65





                                                  State Street Corporation (STT)
                                                  SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
DUKE ENERGY CORP     COM    26439910   1,408,977,720  79,111,607  28,016,437 51,046,139     49031  25,820,004  51,167,042  2,124,561
UNITED TECHNOLOGIES  COM    91301710   1,381,700,016  17,879,141  17,661,801     129806     87534  16,432,825      252755  1,193,561
BRISTOL MYERS SQUIBB COM    11012210   1,365,337,448  53,208,786  51,450,567     887080    871139  47,035,903   1,477,112  4,695,771
US BANCORP DEL       COM
                     NEW    90297330   1,327,925,619  55,353,298  54,832,801     442860     77637  49,208,365      576480  5,568,453
SEARS ROEBUCK & CO   COM    81238710   1,289,261,328  29,482,308  29,450,483      31255       570   7,185,636  21,623,310     673362
DISNEY WALT CO       COM
                     DISNEY 25468710   1,278,876,550  63,404,886  60,917,205  1,676,145    811536  56,717,615   1,259,755  5,427,516
BANK ONE CORP        COM    06423A10   1,234,771,029  31,947,504  31,811,436     106470     29598  28,305,189      426683  3,215,632
ANHEUSER BUSCH COS I COM    03522910   1,149,249,532  23,292,451  22,777,206     306231    209014  20,770,099      504610  2,017,742
TEXAS INSTRS INC     COM    88250810   1,111,483,014  48,749,255  48,499,091     202140     48024  43,529,804      431245  4,788,206
HARTFORD FINL SVCS G COM    41651510   1,109,586,395  21,082,774   8,122,412 12,902,579     57783   7,447,989  12,878,564     756221
PROGRESS ENERGY INC  COM    74326310   1,098,578,901  24,709,377  24,684,316      20949      4112   6,511,307  17,658,430     539640
WASHINGTON MUT INC   COM    93932210   1,093,021,908  27,762,812  27,662,218      95515      5079  24,790,507      222636  2,749,669
FEDERAL HOME LN MTG  COM    31340030   1,066,095,133  20,364,759  20,043,389     204317    117053  18,204,670      260369  1,899,720
FIRST DATA CORP      COM    31996310   1,011,670,197  25,317,072  20,957,794  4,235,518    123760  19,360,973   4,069,147  1,886,952
CONOCOPHILLIPS       COM    20825C10     996,499,275  18,200,900  18,024,825     132334     43741  16,639,804      193551  1,367,545
MCDONALDS CORP       COM    58013510     973,679,417  41,362,762  40,539,663     616903    206196  37,260,317      478711  3,623,734
CATERPILLAR INC DEL  COM    14912310     967,689,869  14,057,087  13,924,055      91845     41187  13,148,558      115182     793347
GILLETTE CO          COM    37576610     960,600,465  30,037,538  28,974,641     813779    249118  26,634,952      611377  2,791,209
GOLDMAN SACHS GROUP  COM    38141G10     954,591,714  11,377,732  10,847,628     483987     46117  10,109,180      362193     906359
PENNEY J C INC       COM    70816010     930,707,650  43,552,066  43,532,100      18266      1700   6,310,351  36,572,005     669710
FLEETBOSTON FINL COR COM    33903010     925,043,697  30,681,383  29,751,309     545235    384839  27,357,511      568507  2,755,365
WALGREEN CO          COM    93142210     877,968,824  28,654,335  27,029,701  1,023,448    601186  25,092,168      961726  2,600,441
FIFTH THIRD BANCORP  COM    31677310     865,072,045  15,575,658  14,273,193     882429    420036  13,551,599      619185  1,404,874
QUALCOMM INC         COM    74752510     861,869,777  20,683,220  20,601,414      53791     28015  18,466,027      274983  1,942,210
APPLIED MATLS INC    COM    03822210     850,553,466  46,914,146  45,380,487  1,164,006    369653  42,048,150      657968  4,208,028
TYCO INTL LTD NEW    COM    90212410     848,526,728  41,533,369  41,528,611       4758            36,607,374      346208  4,579,787
COLGATE PALMOLIVE CO COM    19416210     848,314,516  15,178,288  14,516,200     515488    146600  13,513,622      334071  1,330,595
UNITEDHEALTH GROUP I COM    91324P10     838,436,167  16,662,086  16,615,006      42000      5080  14,905,590      226266  1,530,230
PG&E CORP            COM    69331C10     833,377,823  34,869,365  34,831,355      37430       580  11,396,593  22,536,351     936421
MBNA CORP            COM    55262L10     832,977,183  36,534,087  36,237,978     191830    104279  32,323,772      386758  3,823,557
DOW CHEM CO          COM    26054310     832,720,727  25,590,680  25,384,853     124230     81597  23,259,972      367284  1,963,424
CONAGRA FOODS INC    COM    20588710     831,849,201  39,164,275  18,891,627 20,240,456     32192  13,458,479  24,440,579  1,265,217
E M C CORP MASS      COM    26864810     830,418,673  65,749,697  64,362,371  1,028,960    358366  58,594,817      853071  6,301,809
GLAXOSMITHKLINE PLC  SPON-
                     SORED  37733W10     820,838,178  19,359,391  19,329,137      30254            19,352,034                   7357
EBAY INC             COM    27864210     819,717,200  15,281,827  15,250,977      30450       400  13,463,651      259042  1,559,134
NORTHROP GRUMMAN COR COM    66680710     791,390,100   9,178,730   9,159,234      14117      5379   4,387,694   4,397,755     393281
EDISON INTL          COM    28102010     779,397,083  40,806,130  40,785,840      19830       460   9,153,502  30,878,995     773633
MARSH & MCLENNAN COS COM    57174810     769,542,663  16,163,467  14,890,118     960199    313150  14,271,143      502278  1,390,046
ALLSTATE CORP        COM    02000210     768,600,405  21,040,252  20,963,572      69883      6797  18,946,625      241716  1,851,911
CARDINAL HEALTH INC  COM    14149Y10     767,977,044  13,152,544  12,659,245     420293     73006  11,928,978      150556  1,073,010
MOTOROLA INC         COM    62007610     757,052,540  63,351,677  62,245,517     719140    387020  56,915,433      790770  5,645,474
ALCOA INC            COM    01381710     745,842,580  28,510,802  28,410,662      88324     11816  26,411,546      159698  1,939,558
EXELON CORP          COM    30161N10     744,157,833  11,719,021  11,649,566      64551      4904  10,616,391      108683     993947
FIRSTENERGY CORP     COM    33793210     742,959,294  23,290,260  23,154,509     134879       872   9,512,318  12,985,922     792020
KIMBERLY CLARK CORP  COM    49436810     741,039,296  14,439,581  13,962,748     288563    188270  12,771,493      367484  1,300,604
STATE STR CORP       COM    85747710     741,034,080  16,467,424   8,679,652  7,406,869    380903   8,000,936   7,663,950     802538
DELPHI CORP          COM    24712610     736,026,608  81,328,907  81,027,442     275817     25648  15,141,765  64,742,346  1,444,796
GENERAL MTRS CORP    CL H
                     NEW    37044283     713,458,907  49,857,366  49,808,780      44553      4033  10,449,170  38,747,764     660432
AIR PRODS & CHEMS IN COM    00915810     708,495,879  15,709,443   6,775,315  8,738,372    195756   6,404,150   8,741,938     563355
AUTOMATIC DATA PROCE COM    05301510     706,746,828  19,713,998  16,974,076  1,794,693    945229  16,974,863   1,155,844  1,583,291
SYSCO CORP           COM    87182910     691,369,092  21,136,322  17,733,930  2,056,902 1,345,490  17,834,934   1,574,223  1,727,165
BOSTON SCIENTIFIC CO COM    10113710     666,078,316  10,440,099  10,409,528      26110      4461   9,372,651      132859     934589
Page Total                            47,999,155,933


                                                                    Page 2 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CLEAR CHANNEL COMMUN COM    18450210     660,666,305  17,249,773  16,988,935     245503     15335  15,494,012      132302  1,623,459
EMERSON ELEC CO      COM    29101110     651,056,579  12,365,747  11,358,010     661568    346169  10,777,214      494804  1,093,729
SOUTHERN CO          COM    84258710     645,966,116  22,009,067  21,948,386      53056      7625  20,136,339      171178  1,701,550
AON CORP             COM    03738910     634,105,212  30,412,720   9,465,897 20,934,114     12709   8,661,523  20,977,159     774038
DOMINION RES INC VA  COM    25746U10     627,635,421  10,139,506  10,018,855      75300     45351   9,236,238      127821     775447
ELECTRONIC DATA SYS  COM    28566110     617,739,795  30,581,178  17,375,223 13,204,019      1936  13,035,179  16,324,563  1,221,436
BAXTER INTL INC      COM    07181310     596,880,136  20,539,578  15,637,413  4,880,902     21263  14,102,709   4,961,942  1,474,927
SCHLUMBERGER LTD     COM    80685710     593,647,973  12,265,454  11,458,414     483760    323280  10,473,255      504480  1,287,719
AT&T WIRELESS SVCS I COM    00209A10     584,801,353  71,491,608  70,610,716     797081     83811  64,121,777      644491  6,725,340
FORD MTR CO DEL      COM
                     PAR $0 34537086     583,195,747  54,150,023  53,999,058     140508     10457  48,760,784      601708  4,787,531
PRUDENTIAL FINL INC  COM    74432010     582,493,956  15,591,380  15,536,010      54655       715  14,254,017      116115  1,221,248
ILLINOIS TOOL WKS IN COM    45230810     580,309,784   8,758,071   7,962,142     517955    277974   7,645,118      331614     781339
AT&T CORP            COM
                     NEW    00195750     579,097,590  26,872,278  26,636,542     204533     31203  24,408,269      185268  2,278,741
BANK NEW YORK INC    COM    06405710     574,518,831  19,736,133  19,535,598     106663     93872  17,856,283      228422  1,651,428
GANNETT INC          COM    36473010     570,057,701   7,349,893   7,204,024      70510     75359   6,639,706      122309     587878
NEXTEL COMMUNICATION CL A   65332V10     567,502,954  28,792,641  28,702,076      62720     27845  25,702,715      400724  2,689,202
SCHERING PLOUGH CORP COM    80660510     565,538,203  37,108,806  36,696,179     272562    140065  33,927,278      395688  2,785,840
YAHOO INC            COM    98433210     550,560,637  15,556,955  15,521,300      33875      1780  13,812,438      194378  1,550,139
METLIFE INC          COM    59156R10     545,150,515  19,434,956  19,404,275      29558      1123  17,342,430      144964  1,947,562
LEHMAN BROS HLDGS IN COM    52490810     538,943,024   7,801,723   7,773,698      26919      1106   7,010,335       70494     720894
WASTE MGMT INC DEL   COM    94106L10     537,124,542  20,524,438  16,856,550  3,666,444      1444  15,368,698   3,785,806  1,369,934
FEDEX CORP           COM    31428X10     531,117,687   8,243,329   8,135,013      31646     76670   7,371,977      128720     742632
NATIONAL CITY CORP   COM    63540510     520,736,256  17,676,044  17,101,414      84705    489925  15,408,707      676016  1,591,321
XEROX CORP           COM    98412110     520,023,431  50,684,545  22,831,491 27,852,354       700  20,562,204  28,051,285  2,071,056
CENDANT CORP         COM    15131310     517,554,639  27,691,527  27,556,065      92027     43435  25,098,443      221885  2,371,199
AFLAC INC            COM    00105510     500,370,895  15,491,359  15,245,158     188302     57899  13,691,863      184972  1,614,524
BB&T CORP            COM    05493710     499,129,500  13,899,457  13,853,930      40758      4769  12,763,129      121497  1,014,831
GUIDANT CORP         COM    40169810     488,013,259  10,416,505  10,390,825      24760       920   9,221,127      161898  1,033,480
HCA INC              COM    40411910     482,207,532  13,082,136  12,791,138     249976     41022  11,860,562      129922  1,091,652
FOREST LABS INC      COM    34583810     477,526,074   9,281,362   9,220,247      28270     32845   8,293,282      159933     828147
GENERAL MLS INC      COM    37033410     469,912,142   9,983,262   9,554,119     201461    227682   8,717,317      357964     907981
GENERAL DYNAMICS COR COM    36955010     460,206,164   5,895,544   5,705,530     158233     31781   5,314,510       66231     514803
COMPUTER ASSOC INTL  COM    20491210     456,828,131  17,496,290  17,433,039      62451       800  15,523,836      140195  1,832,259
SLM CORP             COM    78442P10     451,382,612  11,585,796  11,553,838      31298       660  10,337,283      142609  1,105,904
SUNTRUST BKS INC     COM    86791410     448,017,119   7,421,188   7,383,008      36194      1986   6,607,660       60453     753075
OCCIDENTAL PETE CORP COM    67459910     438,724,051  12,453,138  12,399,527      47802      5809  11,216,731      108834  1,127,573
KOHLS CORP           COM    50025510     438,240,328   8,191,408   8,167,005      23448       955   7,365,718      107016     718674
ANALOG DEVICES INC   COM    03265410     437,156,887  11,498,077  10,955,985     398437    143655  10,210,914      288018     999145
TRAVELERS PPTY CAS C CL B   89420G40     436,688,153  27,499,254  25,051,009  2,444,698      3547  22,865,437   2,560,644  2,073,173
NEWMONT MINING CORP  COM    65163910     429,750,886  10,993,883  10,943,127      22745     28011   9,979,927       98211     915745
ALLTEL CORP          COM    02003910     429,402,102   9,266,338   8,324,762     772218    169358   8,409,360      236230     620748
ENTERGY CORP NEW     COM    29364G10     427,061,122   7,886,632   7,720,374     148170     18088   7,170,784       75028     640820
BECTON DICKINSON & C COM    07588710     426,085,317  11,796,382  11,764,464      23850      8068   6,496,417   4,594,767     705198
CAPITAL ONE FINL COR COM    14040H10     424,239,392   7,437,577   7,341,939      78258     17380   6,644,228      120016     673333
BERKSHIRE HATHAWAY I CL B   08467020     421,719,168      168958      164951       1545      2462        2476      166384         98
SARA LEE CORP        COM    80311110     416,946,915  22,709,527  22,574,880      76901     57746  20,498,685      330957  1,879,885
AVON PRODS INC       COM    05430310     415,890,032   6,441,915   6,389,106      42404     10405   5,749,063       83893     608959
HARLEY DAVIDSON INC  COM    41282210     408,797,503   8,481,276   8,140,759     294205     46312   7,575,229      140735     765312
STRYKER CORP         COM    86366710     407,735,720   5,414,098   4,824,150     443385    146563   4,761,000      208468     444630
PROGRESSIVE CORP OHI COM    74331510     405,496,566   5,867,408   5,840,659      13449     13300   5,226,690       81487     559231
GAP INC DEL          COM    36476010     405,337,040  23,676,229  23,614,784      61045       400  21,130,827      301781  2,243,621
DEERE & CO           COM    24419910     403,269,039   7,564,604   7,537,326      24798      2480   6,670,473       51330     842801
Page Total                            26,382,558,036


                                                                    Page 3 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
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                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
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UNION PAC CORP       COM    90781810     398,514,817   6,850,865   6,734,210      58328     58327   6,177,816      102627     570422
VERITAS SOFTWARE CO  COM    92343610     398,360,193  12,638,331  12,591,083      44458      2790  11,402,452      200242  1,035,637
BEST BUY INC         COM    08651610     397,582,875   8,366,643   8,326,951      34834      4858   7,477,850      115423     773370
SCHWAB CHARLES CORP  COM    80851310     394,255,765  33,102,919  32,956,486      70745     75688  29,552,760      310088  3,240,071
FPL GROUP INC        COM    30257110     390,680,027   6,181,646   5,983,190     142762     55694   5,666,829       94816     420001
WELLPOINT HEALTH NET COM    94973H10     390,567,289   5,067,038   5,050,867      11520      4651   4,577,227       40589     449222
SPRINT CORP          COM
                     FON GR 85206110     388,128,633  25,703,883  25,575,815     121812      6256  23,268,547      225774  2,209,562
KROGER CO            COM    50104410     382,263,513  21,391,355  21,303,870      74885     12600  19,203,991      176023  2,011,341
OMNICOM GROUP INC    COM    68191910     381,926,003   5,315,602   5,199,222      99155     17225   4,727,316       76253     512033
PNC FINL SVCS GROUP  COM    69347510     381,720,732   8,022,714   7,928,562      60255     33897   7,144,314       83197     795203
RAYTHEON CO          COM
                     NEW    75511150     381,217,956  13,614,927  13,485,143     112891     16893  10,050,439   2,772,227     792261
COSTCO WHSL CORP NEW COM    22160K10     375,603,242  12,057,889  12,008,769      46210      2910  10,832,921       82460  1,142,508
EQUITY OFFICE PROPER COM    29474110     372,983,239  13,548,247  13,546,472       1775            12,267,950       97325  1,182,972
NIKE INC             CL B   65410610     370,108,432   6,085,308   6,071,188      12495      1625   5,542,867       86274     456167
CARNIVAL CORP        PAIRED
                     CTF    14365830     369,786,052  11,243,115  11,200,806      38409      3900   9,947,966      112900  1,182,249
MCGRAW HILL COS INC  COM    58064510     367,515,165   5,915,261   5,603,820     183591    127850   5,197,562      193582     524117
AMERICAN ELEC PWR IN COM    02553710     367,437,270  12,247,909  12,200,529      41410      5970  11,262,486       75050     910373
BURLINGTON NORTHN SA COM    12189T10     363,450,983  12,589,227  12,287,473     246631     55123  11,332,081      153084  1,104,062
ELECTRONIC ARTS INC  COM    28551210     363,070,564   3,938,713   3,927,203       9020      2490   3,501,381       47864     389468
CHUBB CORP           COM    17123210     359,943,145   5,547,829   5,481,626      46715     19488   4,956,575       76388     514866
HEINZ H J CO         COM    42307410     358,363,737  10,454,018  10,355,431      57719     40868   9,381,100      164351     908567
WEYERHAEUSER CO      COM    96216610     353,567,323   6,049,056   6,017,000      20046     12010   5,508,792       58765     481499
TRIBUNE CO NEW       COM    89604710     351,986,674   7,668,555   7,523,310      80744     64501   6,749,101      136686     782768
GOLDEN WEST FINL COR COM    38131710     348,319,303   3,891,401   3,881,515       9786       100   3,448,179       36665     406557
STAPLES INC          COM    85503010     347,815,634  14,589,582  14,342,477     148975     98130  13,119,616      201634  1,268,332
FEDERATED DEPT STORE COM    31410H10     346,189,867   8,262,288   8,236,328      25820       140   7,350,821      111956     799511
MELLON FINL CORP     COM    58551A10     345,616,766  11,467,046  11,334,035     102168     30843  10,312,065      105743  1,049,238
CVS CORP             COM    12665010     337,236,031  10,857,567  10,702,402      88490     66675   9,715,610      135725  1,006,232
KELLOGG CO           COM    48783610     334,635,033  10,034,034  10,000,474      28125      5435   8,963,178      142439     928417
ZIMMER HLDGS INC     COM    98956P10     332,318,073   6,031,181   5,890,451      76939     63791   5,334,058      141923     555200
MAXIM INTEGRATED PRO COM    57772K10     330,662,151   8,394,571   8,348,358      40177      6036   7,578,071      107302     709198
PAYCHEX INC          COM    70432610     328,196,848   9,624,541   9,442,481      96728     85332   8,516,049      202732     905760
LIBERTY MEDIA CORP N COM
                     SER A  53071810     327,963,768  32,895,062  29,812,749  3,021,165     61148  30,758,387      168668  1,968,007
LINEAR TECHNOLOGY CO COM    53567810     327,357,547   9,110,981   8,413,095     518203    179683   8,092,800      277520     740661
YUM BRANDS INC       COM    98849810     326,681,675  11,029,091  10,984,666      39205      5220   6,985,942   3,405,572     637577
MASCO CORP           COM    57459910     322,937,197  13,191,879  13,134,150      37345     20384  11,795,205      122277  1,274,397
CORNING INC          COM    21935010     322,487,774  34,234,371  34,085,055     120641     28675  31,228,984      266725  2,738,662
HALLIBURTON CO       COM    40621610     314,234,676  12,958,131  12,920,663      36285      1183  11,615,498       79231  1,263,402
PUBLIC SVC ENTERPRIS COM    74457310     314,004,138   7,476,289   7,449,206      26248       835   6,785,405       60517     630367
KEYCORP NEW          COM    49326710     313,906,013  12,276,340  12,217,041      39397     19902  11,088,498      110371  1,077,471
DANAHER CORP DEL     COM    23585110     313,077,472   4,238,796   4,195,086      40060      3650   3,838,091       38545     362160
APACHE CORP          COM    03741110     309,316,032   4,460,860   4,335,018      96271     29571   4,009,463       57828     393569
DEVON ENERGY CORP NE COM    25179M10     306,800,044   6,366,467   6,333,479      26165      6823   5,749,833       55280     561354
PRINCIPAL FINANCIAL  COM    74251V10     302,388,953   9,757,630   9,726,980      29450      1200   8,816,652      167250     773728
STARBUCKS CORP       COM    85524410     301,846,464  10,480,780  10,414,899      55411     10470   9,281,084      132620  1,067,076
BED BATH & BEYOND IN COM    07589610     300,504,956   7,852,233   7,806,668      35170     10395   7,064,271      114169     673793
ANADARKO PETE CORP   COM    03251110     300,315,661   7,191,467   6,804,910     228658    157899   6,383,623      201210     606634
WRIGLEY WM JR CO     COM    98252610     294,591,118   5,327,145   5,305,761      18184      3200   4,779,124       73261     474760
MARRIOTT INTL INC NE CL A   57190320     294,443,145   6,842,741   5,674,599  1,167,477       665   5,173,718   1,171,592     497431
PRAXAIR INC          COM    74005P10     293,227,625   4,733,295   4,717,613      15412       270   4,227,230       50883     455182
KLA-TENCOR CORP      COM    48248010     292,858,586   5,675,554   5,656,907      18407       240   5,106,641       67202     501711
NORTHERN TR CORP     COM    66585910     292,714,010   6,911,783   5,580,907  1,009,449    321427   6,028,133      359627     524023
Page Total                            17,881,680,189


                                                                    Page 4 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
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                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
MARATHON OIL CORP    COM    56584910     292,142,043  10,250,598  10,208,793      31665     10140   9,307,012      101384     842202
ANTHEM INC           COM    03674B10     290,909,632   4,078,363   3,944,810     132498      1055   3,569,686      154074     354603
SUN MICROSYSTEMS INC COM    86681010     290,031,401  87,622,780  87,096,454     447106     79220  78,780,196      772441  8,070,143
TJX COS INC NEW      COM    87254010     288,990,806  14,881,092  14,359,505     468967     52620  13,481,547      213432  1,186,113
HANCOCK JOHN FINL SV COM    41014S10     288,355,371   8,531,224   8,501,555      26929      2740   7,665,552       77440     788232
INTERNATIONAL GAME T COM    45990210     287,421,549  10,210,357  10,192,929      15228      2200   9,258,457      122804     829096
AGILENT TECHNOLOGIES COM    00846U10     286,902,963  12,976,163  12,757,886     123225     95052  11,669,438      177022  1,129,703
XILINX INC           COM    98391910     284,793,232  10,017,349   9,961,929      43500     11920   8,823,357      129896  1,064,096
BAKER HUGHES INC     COM    05722410     284,517,052   9,615,311   9,118,107     447778     49426   8,857,954      108076     649281
FORTUNE BRANDS INC   COM    34963110     282,096,588   4,970,865   4,605,721     316810     48334   4,149,599      405845     415421
FRANKLIN RES INC     COM    35461310     280,949,465   6,354,885   6,040,234     255323     59328   5,619,382      110293     625210
PEPSI BOTTLING GROUP COM    71340910     279,969,846  13,603,977  13,596,387       7390       200   5,694,076   7,454,011     455890
INTUIT               COM    46120210     277,896,602   5,760,709   5,741,372      17769      1568   5,203,246       80490     476973
EASTMAN KODAK CO     COM    27746110     276,412,250  13,200,203  13,165,896      18029     16278  12,345,962       66078     788163
APOLLO GROUP INC     CL A   03760410     275,671,882   4,174,949   4,162,662      11537       750   3,769,884       55442     349623
TXU CORP             COM    87316810     275,470,847  11,692,311  11,660,026      29420      2865  10,727,920       95047     869344
SAFEWAY INC          COM
                     NEW    78651420     275,287,524  12,000,328  11,957,368      42260       700  10,806,335       77600  1,116,393
CONSOLIDATED EDISON  COM    20911510     274,729,696   6,740,179   6,658,232      43589     38358   6,154,537       85739     499903
ST JUDE MED INC      COM    79084910     272,989,429   5,076,984   5,058,524      12032      6428   4,507,173       69548     500263
CAMPBELL SOUP CO     COM    13442910     272,672,518  10,289,529  10,247,677      31660     10192   9,047,915      137479  1,104,135
COUNTRYWIDE FINANCIA COM    22237210     268,613,749   3,431,448   3,420,658      10690       100   3,114,150       22950     294348
BURLINGTON RES INC   COM    12201410     267,425,409   5,548,245   5,470,581      62415     15249   5,013,555       50199     484491
ALLERGAN INC         COM    01849010     266,753,143   3,388,202   3,376,059      11443       700   3,055,147       41450     291605
MCKESSON CORP        COM    58155Q10     266,509,952   8,005,706   7,983,941      21565       200   7,180,037       61399     764270
PPG INDS INC         COM    69350610     266,265,341   5,098,915   5,071,462      22383      5070   4,652,185       41475     405255
ADOBE SYS INC        COM    00724F10     263,885,269   6,699,296   6,680,286      18230       780   6,050,107      128522     520667
MATTEL INC           COM    57708110     263,445,123  13,894,785  13,857,746      35136      1903  12,434,631      155737  1,304,417
AUTOZONE INC         COM    05333210     260,109,449   2,905,277   2,900,011       5166       100   2,548,022       38631     318624
SOUTHTRUST CORP      COM    84473010     260,065,037   8,857,801   8,829,341      28220       240   8,063,156       59940     734705
PITNEY BOWES INC     COM    72447910     259,362,558   6,768,334   6,732,639      24265     11430   6,043,907       93880     630547
GENZYME CORP         COM
                     GENL D 37291710     257,465,585   5,559,611   5,529,747      26177      3687   5,002,822       78987     477802
MONSANTO CO NEW      COM    61166W10     255,859,085  10,687,514  10,643,738      39035      4741   9,533,015      176998     977501
CLOROX CO DEL        COM    18905410     254,711,431   5,552,898   5,537,388      12430      3080   4,883,337       77550     592011
HERSHEY FOODS CORP   COM    42786610     250,402,587   3,445,275   3,382,787      32664     29824   3,039,646       74889     330740
EQUITY RESIDENTIAL   SH BEN
                     INT    29476L10     248,921,724   8,501,425   8,500,530        895             7,770,323       59000     672102
SIMON PPTY GROUP INC COM    82880610     248,438,249   5,700,740   5,699,905        835             5,151,232       50967     498541
HARRAHS ENTMT INC    COM    41361910     246,814,837   5,861,193   5,855,441       5652       100   2,680,194   2,922,395     258604
LEXMARK INTL NEW     CL A   52977110     245,670,571   3,898,914   3,887,764       9050      2100   3,516,146       59114     323654
AETNA INC NEW        COM    00817Y10     244,070,748   3,999,193   3,986,559      12634             3,596,379       32226     370588
ST PAUL COS INC      COM    79286010     243,451,105   6,574,429   6,556,171      15866      2392   5,985,164       42242     547023
PPL CORP             COM    69351T10     241,589,275   5,899,616   5,879,461      17775      2380   5,376,547       49145     473924
SYMANTEC CORP        COM    87150310     240,178,428   3,800,893   3,778,713      16780      5400   3,462,052       51450     287391
UNIVISION COMMUNICAT CL A   91490610     236,092,112   7,394,053   7,157,762     214832     21459   6,699,872      121800     572381
BIOMET INC           COM    09061310     234,838,115   7,010,093   6,983,612      25051      1430   6,331,541       86671     591881
ALTERA CORP          COM    02144110     232,186,028  12,265,506  12,138,781      86825     39900  11,004,824      300726     959956
LUCENT TECHNOLOGIES  COM    54946310     231,828,389 107,327,958 106,671,351     599773     56834  95,549,726   1,493,019 10,285,213
KERR MCGEE CORP      COM    49238610     231,033,516   5,175,482   5,169,126       5317      1039   3,062,323   1,893,348     219811
CHIRON CORP          COM    17004010     230,503,443   4,448,156   4,433,362      13033      1761   3,952,534       63400     432222
PACCAR INC           COM    69371810     228,943,482   3,077,611   3,065,186       9050      3375   2,780,260       27901     269450
COMERICA INC         COM    20034010     226,952,718   4,870,230   4,846,195      16395      7640   4,284,921       38340     546969
MOODYS CORP          COM    61536910     224,697,955   4,087,647   3,815,044     234618     37985   3,642,604       89710     355333
SPDR TR              UNIT
                     SER 1  78462F10     224,459,214   2,245,715   2,241,269       4446             1,900,585       15400     329730
Page Total                            13,559,754,323


                                                                    Page 5 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
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                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            

ARCHER DANIELS MIDLA COM    03948310     224,160,718  17,098,453  17,057,820      32553      8080  15,141,094      143412  1,813,947
JOHNSON CTLS INC     COM    47836610     224,116,197   2,369,093   2,354,818      11075      3200   2,108,359       18950     241784
MBIA INC             COM    55262C10     222,756,305   4,052,325   4,023,436      19364      9525   3,621,534       34675     396116
BLOCK H & R INC      COM    09367110     222,288,907   5,151,539   5,104,802      33250     13487   4,662,208       69527     419804
ACE LTD              ORD    G0070K10     221,900,904   6,708,008   6,707,828        180             6,128,742       46000     533266
OWENS ILL INC        COM
                     NEW    69076840     221,699,566  19,413,272  11,679,470  7,733,802             1,172,183  18,232,089       9000
MEDIMMUNE INC        COM    58469910     221,457,066   6,704,725   6,665,584      29568      9573   5,982,806       87614     634305
UNOCAL CORP          COM    91528910     221,165,722   7,016,679   6,956,049      27050     33580   6,394,730       88751     533198
GENENTECH INC        COM
                     NEW    36871040     220,173,991   2,747,367   2,705,206      31528     10633   2,545,552       19583     182232
STARWOOD HOTELS&RESO PAIRED
                     CTF    85590A20     219,061,441   6,294,869   5,118,886  1,175,983             4,647,820   1,209,583     437466
INGERSOLL-RAND COMPA CL A   G4776G10     217,842,335   4,076,391   3,865,201     190955     20235   3,534,562       49935     491894
MICRON TECHNOLOGY IN COM    59511210     217,376,717  16,197,967  16,156,147      41440       380  14,462,991      130180  1,604,796
KINDER MORGAN INC KA COM    49455P10     217,046,206   4,018,630   4,002,437       8893      7300   3,589,143       32338     397149
SUNGARD DATA SYS INC COM    86736310     213,534,669   8,116,103   7,561,154     476149     78800   7,385,198      128400     602505
SCIENTIFIC ATLANTA I COM    80865510     210,530,296   6,758,597   6,735,387      21790      1420   5,943,954       94720     719923
MAY DEPT STORES CO   COM    57777810     208,822,129   8,478,365   8,289,842     114521     74002   7,598,427      129575     750363
REGIONS FINL CORP    COM    75894010     205,452,495   5,998,613   5,958,643      29590     10380   5,506,917       58467     433229
DOW JONES & CO INC   COM    26056110     204,609,814   4,321,221   1,938,948      46503 2,335,770   1,783,014   2,360,990     177217
AMEREN CORP          COM    02360810     203,976,976   4,753,600   4,745,413       7787       400   4,356,896       28356     368348
ROHM & HAAS CO       COM    77537110     203,724,281   6,090,412   6,072,893      14304      3215   5,547,789       41815     500808
RADIOSHACK CORP      COM    75043810     202,836,462   7,139,615   7,124,683       9692      5240   6,248,845      157275     733495
DOVER CORP           COM    26000310     202,800,261   5,733,680   5,640,991      21349     71340   5,110,722      106540     516418
APPLE COMPUTER INC   COM    03783310     202,656,145   9,780,702   9,752,872      25570      2260   8,754,670       80152     945880
GEORGIA PAC CORP     COM    37329810     201,803,211   8,325,215   8,294,578      28477      2160   7,590,149      113134     621932
XL CAP LTD           CL A   G9825510     201,797,798   2,605,860   2,605,840         20             2,344,260       23700     237900
LIMITED BRANDS INC   COM    53271610     200,670,163  13,307,040  13,267,085      39515       440  11,756,756       91540  1,458,744
MEDCO HEALTH SOLUTIO COM    58405U10     200,029,465   7,714,210   7,379,277     180663    154270   6,840,845      212942     660423
CINERGY CORP         COM    17247410     199,565,425   5,437,750   5,426,414      10364       972   5,016,471       38441     382838
ALBERTSONS INC       COM    01310410     199,255,706   9,686,714   9,657,010      20830      8874   8,642,879       72874     970961
AMBAC FINL GROUP INC COM    02313910     197,593,216   3,087,394   3,073,529       7665      6200   2,750,813       28110     308471
ECOLAB INC           COM    27886510     197,382,987   7,817,148   6,929,754     682856    204538   6,936,224      286138     594786
AMSOUTH BANCORPORATI COM    03216510     197,043,805   9,285,759   9,220,967      44971     19821   8,457,022       95797     732940
COMPUTER SCIENCES CO COM    20536310     195,066,633   5,192,085   5,121,607      32838     37640   4,705,057       70140     416888
BROADCOM CORP        CL A   11132010     194,950,130   7,312,458   7,296,228      15970       260   6,608,549       87660     616249
NORFOLK SOUTHERN COR COM    65584410     194,433,742  10,509,932  10,361,335      98511     50086   9,366,147      134266  1,009,519
SYNOVUS FINL CORP    COM    87161C10     194,002,318   7,763,198   7,747,798      15200       200   7,003,928       53250     706020
CHARTER ONE FINL INC COM    16090310     193,658,740   6,328,717   6,279,234      41754      7729   5,716,472       56181     556064
SEMPRA ENERGY        COM    81685110     193,133,544   6,578,118   6,563,798      14320             6,043,062       43134     491922
FISERV INC           COM    33773810     192,877,358   5,314,890   5,300,865      13725       300   4,807,869       34000     473021
EATON CORP           COM    27805810     192,408,553   2,171,164   2,161,259       9805       100   1,929,532       24349     217283
CINCINNATI FINL CORP COM    17206210     190,962,480   4,774,062   4,755,087       6855     12120   4,292,654       45315     436093
GILEAD SCIENCES INC  COM    37555810     190,830,994   3,405,264   3,337,144      53435     14685   3,220,331       25585     159348
TENET HEALTHCARE COR COM    88033G10     188,516,625  13,019,104  12,989,457      28987       660  11,823,425       88801  1,106,878
BEAR STEARNS COS INC COM    07390210     188,397,712   2,518,686   2,509,908       8678       100   2,292,458       17450     208778
DTE ENERGY CO        COM    23333110     185,464,954   5,027,513   5,014,223      12190      1100   4,623,980       30200     373333
XCEL ENERGY INC      COM    98389B10     185,297,509  11,977,861  11,924,253      51837      1771  11,058,960       71876     847025
CONSTELLATION ENERGY COM    21037110     184,465,292   5,155,542   5,106,131      45995      3416   4,663,885       38711     452946
BIOGEN INC           COM    09059710     182,569,831   4,789,345   4,068,035     720010      1300   4,381,303       47333     360709
INTERACTIVECORP      COM    45840Q10     182,458,412   5,499,048   5,484,125      12773      2150   5,212,382        9911     276755
NETWORK APPLIANCE IN COM    64120L10     181,810,272   8,855,834   8,831,049      24245       540   8,013,996      117291     724547
FIRST TENN NATL CORP COM    33716210     180,939,511   4,261,411   4,251,231       8830      1350   3,725,538       37250     498623
MARSHALL & ILSLEY CO COM    57183410     180,496,001   5,726,396   5,715,506      10290       600   5,281,348       40300     404748
Page Total                            10,497,871,990


                                                                    Page 6 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
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                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
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LINCOLN NATL CORP IN COM    53418710     180,392,678   5,098,719   5,064,354      26714      7651   4,580,595       38951     479173
COCA COLA ENTERPRISE COM    19121910     178,901,067   9,386,205   9,361,359      24466       380   8,593,302       78880     714023
NEW YORK TIMES CO    CL A   65011110     178,321,682   4,103,122   3,934,093     168709       320   3,685,296       47071     370755
CONCORD EFS INC      COM    20619710     177,656,509  12,996,087  12,966,631      28936       520  11,757,317      154585  1,084,185
CIGNA CORP           COM    12550910     177,055,556   3,965,410   3,927,098      24110     14202   3,551,530       38752     375128
FREEPORT-MCMORAN COP CL B   35671D85     176,447,229   5,330,732   5,303,899       7410     19423   4,712,362      114236     504134
FAMILY DLR STORES IN COM    30700010     176,336,537   4,420,570   4,405,970      12000      2600   3,988,064       56081     376425
CSX CORP             COM    12640810     172,626,509   5,901,761   5,869,653      20382     11726   5,388,486       49176     464099
UNION PLANTERS CORP  COM    90806810     171,314,843   5,414,502   5,398,862      15640             4,924,697       42783     447022
JEFFERSON PILOT CORP COM    47507010     171,129,235   3,855,999   3,788,842      17544     49613   3,408,713       74213     373073
PEOPLESOFT INC       COM    71271310     170,745,939   9,345,700   9,314,459      29174      2067   8,480,103       68617     796980
KEYSPAN CORP         COM    49337W10     170,238,469   4,852,864   4,836,431      14913      1520   4,411,869       34570     406425
DOLLAR GEN CORP      COM    25666910     166,569,800   8,328,490   8,309,001      16149      3340   7,377,610      117616     833264
CENTURYTEL INC       COM    15670010     166,254,410   4,905,707   4,758,922     111175     35610   4,447,318      129202     329187
SHERWIN WILLIAMS CO  COM    82434810     165,960,806   5,643,006   5,615,586      20220      7200   4,985,661       55992     601353
PROLOGIS             SH BEN
                     INT    74341010     165,325,264   5,465,298   5,464,005       1293             5,058,020       31000     376278
CITRIX SYS INC       COM    17737610     164,345,125   7,426,350   7,407,515      17715      1120   6,589,970      177154     659226
EOG RES INC          COM    26875P10     162,903,038   3,902,804   3,761,539     121245     20020   3,547,756       40070     314978
NISOURCE INC         COM    65473P10     162,545,112   8,135,391   8,118,914      15677       800   7,390,038       52082     693271
NATIONAL SEMICONDUCT COM    63764010     162,101,579   5,020,179   5,004,566      13168      2445   4,543,359       34145     442675
APPLERA CORP         COM AP
                     BIO    03802010     162,058,345   7,263,933   6,896,696     342267     24970   6,695,662       61270     507001
AVERY DENNISON CORP  COM    05361110     160,040,741   3,167,869   2,931,528     148488     87853   2,779,779      122020     266070
NEWELL RUBBERMAID IN COM    65122910     158,049,039   7,293,449   7,048,862     183887     60700   6,526,465      108400     658584
OFFICE DEPOT INC     COM    67622010     157,646,184  11,220,369  11,169,023      50726       620   7,568,258   2,903,167     748944
JABIL CIRCUIT INC    COM    46631310     157,533,806   6,047,363   5,989,393      35240     22730   5,370,283      162536     514544
SANMINA SCI CORP     COM    80090710     156,733,268  16,224,976  16,163,745      55200      6031  15,065,812       94431  1,064,733
AMERISOURCEBERGEN CO COM    03073E10     156,709,435   2,899,342   2,891,821       7236       285   2,647,115       19425     232802
AMERICAN STD COS INC COM    02971210     155,101,975   1,840,973   1,837,748       2925       300   1,644,949       25084     170940
LOEWS CORP           COM    54042410     153,969,363   3,813,955   3,804,415       8340      1200   3,620,464       31600     161891
ROCKWELL COLLINS INC COM    77434110     153,192,103   6,067,014   6,030,168      19814     17032   5,527,106       80334     459574
CINTAS CORP          COM    17290810     153,115,403   4,137,136   4,093,864      11397     31875   3,686,992       89435     360709
GENUINE PARTS CO     COM    37246010     152,726,598   4,775,691   4,741,744      24247      9700   4,322,851       39900     412940
MYLAN LABS INC       COM    62853010     152,723,774   3,951,456   3,936,031      13550      1875   3,701,353       77600     172503
AMAZON COM INC       COM    02313510     151,870,958   3,135,886   3,126,066       8680      1140   2,875,365        8840     251681
QUEST DIAGNOSTICS IN COM    74834L10     151,034,956   2,490,682   2,484,582       5450       650   2,278,606       18950     193126
TEXTRON INC          COM    88320310     150,824,253   3,823,175   3,802,441      15385      5349   3,447,202       28849     347124
HILTON HOTELS CORP   COM    43284810     150,416,851   9,273,542   9,151,223     118504      3815   8,416,590       69915     787037
MEADWESTVACO CORP    COM    58333410     149,353,729   5,857,009   5,840,610      11895      4504   5,357,604       39306     460099
BJ SVCS CO           COM    05548210     146,758,612   4,294,955   4,285,365       7110      2480   3,879,119       53672     362164
NORTH FORK BANCORPOR COM    65942410     146,492,134   4,215,601   4,189,776      13925     11900   3,788,590       39550     387461
SEALED AIR CORP NEW  COM    81211K10     146,385,087   3,099,409   3,075,778      21024      2607   2,705,397       83350     310662
ITT INDS INC IND     COM    45091110     146,121,321   2,441,867   2,426,321       5425     10121   2,196,111       42273     203483
WILLIAMS COS INC DEL COM    96945710     145,489,592  15,444,755  15,376,031      66809      1915  14,179,049       92709  1,172,997
BARD C R INC         COM    06738310     144,390,286   2,033,666   2,027,851       5015       800   1,792,057       17000     224609
IMS HEALTH INC       COM    44993410     144,192,230   6,833,755   6,814,621      15714      3420   6,013,739       79422     740594
AMERADA HESS CORP    COM    02355110     144,079,784   2,875,844   2,865,099       7470      3275   2,595,632       35975     244237
KNIGHT RIDDER INC    COM    49904010     143,312,020   2,148,606   2,136,251      12175       180   1,947,894       25780     174932
SPRINT CORP          PCS
                     COM SE 85206150     143,244,957  24,999,120  24,877,425     116419      5276  22,570,754      327049  2,101,317
PARKER HANNIFIN CORP COM    70109410     142,425,240   3,186,247   3,128,614      33931     23702   2,890,108       44152     251987
INTERPUBLIC GROUP CO COM    46069010     141,487,483  10,020,360   9,824,852     117637     77871   9,108,565      145821     765974
HEALTH MGMT ASSOC IN CL A   42193310     141,149,805   6,471,793   6,446,039      22749      3005   5,959,754       44755     467284
QWEST COMMUNICATIONS COM    74912110     140,394,408  41,292,473  41,180,611     108231      3631  37,183,958      532705  3,575,810
Page Total                             8,216,195,127


                                                                    Page 7 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
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                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
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QLOGIC CORP          COM    74727710     139,365,657   2,964,596   2,957,640       6756       200   2,674,275       32645     257676
ZIONS BANCORPORATION COM    98970110     138,683,534   2,476,934   2,472,094       4640       200   2,273,548       15900     187486
SUNOCO INC           COM    86764P10     138,453,287   3,442,399   3,431,113      11186       100   3,140,749       23850     277800
MGIC INVT CORP WIS   COM    55284810     135,983,772   2,611,557   2,596,097      11560      3900   2,305,970       21100     284487
TRANSOCEAN INC       ORD    G9007810     135,929,900   6,796,495   6,756,590      16716     23189   6,018,858       78789     698848
WATSON PHARMACEUTICA COM    94268310     134,410,769   3,224,053   3,213,394       9559      1100   2,897,472       19750     306831
TORCHMARK CORP       COM    89102710     134,402,576   3,307,150   3,286,850      14900      5400   3,042,079       30653     234418
V F CORP             COM    91820410     134,385,451   3,453,751   3,443,516       6835      3400   3,145,484       25525     282742
TIFFANY & CO NEW     COM    88654710     134,248,423   3,596,261   3,582,426       9335      4500   3,261,349       50183     284729
AVAYA INC            COM    05349910     133,605,703  12,257,404  12,145,935     104999      6470  11,212,358      162252     882794
NOVELLUS SYS INC     COM    67000810     133,286,160   3,966,850   3,949,590      11290      5970   3,623,262       32066     311522
WHIRLPOOL CORP       COM    96332010     133,246,392   1,966,156   1,922,901      30355     12900   1,720,281       34234     211641
PRICE T ROWE GROUP I COM    74144T10     132,283,576   3,204,544   3,109,776      54838     39930   2,882,527       78230     243787
SOLECTRON CORP       COM    83418210     131,642,731  22,503,031  22,381,776     103870     17385  20,374,566      161285  1,967,180
COX COMMUNICATIONS I CL A   22404410     131,440,893   4,156,891   3,954,529     182614     19748   3,854,508       28498     273885
EL PASO CORP         COM    28336L10     130,503,253  17,877,158  17,818,029      55774      3355  16,452,302      108757  1,316,099
EXPRESS SCRIPTS INC  COM    30218210     129,007,059   2,111,063   2,072,386      36437      2240   1,912,594       27640     170829
MOLEX INC            COM    60855410     128,746,612   4,504,780   4,497,267       6437      1076   4,131,221       34326     339233
SAFECO CORP          COM    78642910     128,520,333   3,635,653   3,616,604      12650      6399   3,265,990       30399     339264
JDS UNIPHASE CORP    COM    46612J10     128,186,391  35,607,331  35,525,217      79886      2228  32,373,649      250328  2,983,354
HUNTINGTON BANCSHARE COM    44615010     128,143,997   6,455,617   6,437,607      17190       820   5,786,331       40980     628306
CENTEX CORP          COM    15231210     127,392,910   1,635,759   1,630,419       4840       500   1,487,457       13666     134636
ROCKWELL AUTOMATION  COM    77390310     125,177,797   4,768,678   4,731,592      17454     19632   4,312,762       52182     403734
UST INC              COM    90291110     125,076,087   3,555,318   3,532,332      18306      4680   3,342,755       55481     157082
CONVERGYS CORP       COM    21248510     125,071,042   6,819,577   6,725,976      25505     68096   6,033,757       93996     691824
AUTONATION INC       COM    05329W10     122,486,678   6,983,277   6,964,567      18070       640   6,384,010       49940     549327
AES CORP             COM    00130H10     122,299,155  16,482,366  16,444,481      37145       740  15,126,037      198240  1,158,089
KRAFT FOODS INC      CL A   50075N10     122,228,382   4,143,335   3,924,291     186787     32257   3,811,361       43357     288617
UNUMPROVIDENT CORP   COM    91529Y10     122,214,172   8,274,487   8,247,859      22868      3760   7,489,586       54110     730791
SIEBEL SYS INC       COM    82617010     121,442,879  12,442,918  12,407,783      30750      4385  11,339,105       89385  1,014,428
PLUM CREEK TIMBER CO COM    72925110     121,072,903   4,759,155   4,756,628       2527             4,335,224       32350     391581
EXPRESSJET HOLDINGS  CL A   30218U10     118,623,447   8,595,902   8,595,902                        8,539,502                  56400
APARTMENT INVT & MGM CL A   03748R10     117,463,543   2,984,338   2,982,798       1540             2,739,366       16300     228672
GRAINGER W W INC     COM    38480210     116,773,955   2,455,814   2,442,153      11661      2000   2,216,689       17900     221225
HASBRO INC           COM    41805610     116,626,357   6,243,381   6,228,524      14857             5,598,068       80550     564763
M & T BK CORP        COM    55261F10     116,122,793   1,330,158   1,290,333       9614     30211   1,222,884       30211      77063
BECKMAN COULTER INC  COM    07581110     115,603,654   2,538,508   2,523,854       1254     13400   2,355,908       72700     109900
UNISYS CORP          COM    90921410     115,095,745   8,506,707   8,481,242      24440      1025   7,559,057      103425     844225
KB HOME              COM    48666K10     112,120,708   1,879,328   1,873,008       6320             1,618,887       16000     244441
PHELPS DODGE CORP    COM    71726510     111,953,134   2,392,161   2,377,371      13916       874   2,193,997       16574     181590
NABORS INDUSTRIES LT SHS    G6359F10     111,841,255   3,001,644   2,996,920       4724             2,728,090       25300     248254
SIGMA ALDRICH CORP   COM    82655210     111,278,295   2,133,812   2,095,200      36147      2465   1,933,018       27402     173392
PROVIDIAN FINL CORP  COM    74406A10     110,818,065   9,399,327   9,358,212      40895       220   8,245,538      306610     847179
NOBLE CORPORATION    SHS    G6542210     110,782,247   3,259,260   3,140,058      99153     20049   2,920,849       43249     295162
VULCAN MATLS CO      COM    92916010     109,595,972   2,746,078   2,738,532       7546             2,514,115       17600     214363
BLACK & DECKER CORP  COM    09179710     109,395,465   2,697,792   2,689,322       8370       100   2,320,063       24550     353179
SONOCO PRODS CO      COM    83549510     108,677,149   4,951,123   1,526,784  3,422,604      1735   1,504,857   3,417,809      28457
SUPERVALU INC        COM    86853610     108,256,160   4,537,140   4,514,980      19950      2210   4,000,596       38560     497984
LEGGETT & PLATT INC  COM    52466010     107,733,384   4,980,739   4,839,000     133809      7930   4,525,250       49718     405771
MERCURY INTERACTIVE  COM    58940510     107,208,883   2,351,072   2,296,615      46563      7894   2,125,091       34555     191426
JONES APPAREL GROUP  COM    48007410     107,177,594   3,580,942   3,575,840       4742       360   3,242,729       22560     315653
COOPER INDS LTD      CL A   G2418210     106,434,576   2,216,002   2,208,465       6437      1100   1,936,327       17300     262375
Page Total                             6,378,520,855


                                                                    Page 8 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
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                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
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DEAN FOODS CO NEW    COM    24237010     106,190,307   3,422,182   3,414,838       5792      1552   3,217,381       40352     164449
ENGELHARD CORP       COM    29284510     106,056,093   3,832,891   3,822,243       8455      2193   3,550,088       24343     258460
INVITROGEN CORP      COM    46185R10     105,959,976   1,828,788   1,631,940     173113     23735   1,685,867       46435      96486
LSI LOGIC CORP       COM    50216110     104,625,053  11,637,937  11,618,097      19600       240  10,247,338      124040  1,266,559
BROWN FORMAN CORP    CL B   11563720     104,140,513   1,316,235   1,313,795       2440             1,204,069       18781      93385
NUCOR CORP           COM    67034610     103,751,793   2,261,373   2,214,157      23211     24005   2,041,517       37805     182051
ECHOSTAR COMMUNICATI CL A   27876210     103,390,951   2,698,798   2,688,748       9950       100   2,505,114         350     193334
BANKNORTH GROUP INC  COM    06646R10     103,203,841   3,657,117   2,680,413     936274     40430   3,472,362       40430     144325
PACTIV CORP          COM    69525710     101,676,031   5,013,611   4,995,711      17650       250   4,532,262       42050     439299
ADVANCED MICRO DEVIC COM    00790310     101,648,678   9,149,296   9,130,436      18620       240   8,236,735       60240     852321
LIZ CLAIBORNE INC    COM    53932010     100,631,676   2,955,409   2,943,489      10120      1800   2,674,669       20700     260040
WATERS CORP          COM    94184810     100,368,591   3,659,081   3,648,551       3130      7400   3,264,509       53132     341440
THERMO ELECTRON CORP COM    88355610      96,852,698   4,463,258   4,446,396      16372       490   4,032,558       28790     401910
AMERICAN PWR CONVERS COM    02906610      96,603,217   5,584,001   5,548,636      31400      3965   4,894,882       58665     630454
PULTE HOMES INC      COM    74586710      96,345,346   1,416,635   1,410,051       6395       189   1,295,538       10889     110208
KING PHARMACEUTICALS COM    49558210      96,066,877   6,341,048   6,327,095      13620       333   5,830,522       42283     468243
BMC SOFTWARE INC     COM    05592110      94,414,879   6,777,809   6,757,525      16414      3870   6,173,040       44270     560499
WENDYS INTL INC      COM    95059010      94,136,089   2,914,430   2,906,860       7570             2,628,094       19700     266636
OLD REP INTL CORP    COM    68022310      93,637,784   2,829,791   2,821,948       7143       700   2,581,348       17800     230643
MCCORMICK & CO INC   COM
                     NON VT 57978020      93,621,010   3,414,333   3,389,613      24120       600   3,149,719       44233     220381
LUBRIZOL CORP        COM    54927110      93,293,944   2,875,006      987263  1,887,543       200      901515   1,883,793      89698
PINNACLE WEST CAP CO COM    72348410      92,276,534   2,599,339   2,584,779       7060      7500   2,417,184       23400     158755
NVR INC              COM    62944T10      91,104,651      195294      194854        440                181743        5900       7651
FIDELITY NATL FINL I COM    31632610      90,882,201   3,023,360   3,012,196       5793      5371   2,816,229       16183     190948
GENERAL GROWTH PPTYS COM    37002110      90,645,362   1,264,231   1,263,306        925             1,195,194         150      68887
HUMANA INC           COM    44485910      89,577,023   4,962,716   4,954,612       7610       494   4,531,800       43944     386972
TERADYNE INC         COM    88077010      89,450,301   4,809,156   4,792,942      16094       120   4,384,328       32570     392258
TEMPLE INLAND INC    COM    87986810      89,103,378   1,835,291   1,451,688     383503       100   1,334,119      390498     110674
CAREMARK RX INC      COM    14170510      88,875,200   3,932,531   3,317,111     607402      8018   3,155,977      610218     166336
GREENPOINT FINL CORP COM    39538410      88,290,675   2,956,821   2,944,896      11475       450   2,635,598       63850     257373
ROBERT HALF INTL INC COM    77032310      88,079,004   4,516,872   4,490,581      24350      1941   4,081,462       54769     380641
EQUIFAX INC          COM    29442910      87,637,215   3,935,214   3,920,554       9660      5000   3,552,003       48597     334614
JANUS CAP GROUP INC  COM    47102X10      85,833,104   6,144,102   6,109,938      28830      5334   5,602,587       47234     494281
GOODRICH CORP        COM    38238810      85,403,725   3,523,256   3,509,068      13628       560   3,212,340       21360     289556
VORNADO RLTY TR      SH BEN
                     INT    92904210      84,392,300   1,756,709   1,755,634       1075             1,647,595                 109114
DARDEN RESTAURANTS I COM    23719410      84,200,419   4,431,601   4,420,745       7306      3550   4,005,276       32650     393675
CITIZENS COMMUNICATI COM    17453B10      83,589,259   7,456,669   7,431,461      25008       200   6,725,901       49950     680818
RLI CORP             COM    74960710      83,193,778   2,527,150      342701  2,184,449                319013   2,183,449      24688
CENTERPOINT ENERGY I COM    15189T10      82,706,339   9,019,230   8,987,424      27414      4392   8,263,180       58242     697808
BALL CORP            COM    05849810      82,664,982   1,530,833   1,526,253       4380       200   1,406,368       22625     101840
FLUOR CORP NEW       COM    34341210      82,638,466   2,213,728   2,206,183       7545             2,031,082       14350     168296
SOVEREIGN BANCORP IN COM    84590510      80,436,732   4,336,212   4,309,438      19780      6994   4,150,937        7794     177481
ENERGIZER HLDGS INC  COM    29266R10      80,105,982   2,178,569   2,171,455       6814       300   2,026,103        3800     148666
NORDSTROM INC        COM    65566410      79,767,176   3,215,122   3,206,792       4250      4080   2,920,673       27580     266869
COACH INC            COM    18975410      79,672,047   1,459,195   1,442,321      11094      5780   1,389,939        9180      60076
INTERNATIONAL FLAVOR COM    45950610      79,462,328   2,402,126   2,392,481       4045      5600   2,174,137       35402     192587
SABRE HLDGS CORP     CL A   78590510      79,387,691   3,694,169   3,675,742      17497       930   3,388,504       26041     279624
AFFILIATED COMPUTER  CL A   00819010      78,503,519   1,612,313   1,608,483       3270       560   1,577,208         560      34545
DONNELLEY R R & SONS COM    25786710      77,657,644   3,122,543   3,112,103       5080      5360   2,805,365       25060     292118
NVIDIA CORP          COM    67066G10      77,451,737   4,849,827   4,836,727      12520       580   4,313,200      157480     379147
NCR CORP NEW         COM    62886E10      77,396,106   2,442,288   2,397,699      44268       321   2,240,332       17071     184885
SANDISK CORP         COM    80004C10      76,778,904   1,204,942   1,195,842       8640       460   1,192,132         460      12350
Page Total                             4,703,779,129


                                                                    Page 9 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
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                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
ALBERTO CULVER CO    CL B
                     CONV   01306810      76,636,754   1,302,903   1,301,133       1770             1,196,187       10200      96516
TELLABS INC          COM    87966410      76,299,679  11,200,775  11,174,645      25270       860  10,169,621       72460     958694
ARCHSTONE SMITH TR   COM    03958310      75,798,893   2,873,347   2,872,868        479             2,697,311         400     175636
REYNOLDS R J TOB HLD COM    76182K10      75,630,846   1,912,768   1,898,520      13968       280   1,832,241       14080      66447
NATIONAL COMMERCE FI COM    63545P10      75,291,880   3,026,201   3,019,071       6340       790   2,886,342        8790     131069
MANOR CARE INC NEW   COM    56405510      75,142,020   2,504,734   2,499,129       5355       250   2,216,913       15850     271971
PRECISION CASTPARTS  COM    74018910      74,990,448   2,136,480   2,126,300       9880       300   1,875,166       89050     172264
HEALTH NET INC       COM    42222G10      74,780,122   2,361,229   2,353,494       7470       265   2,172,238       77065     111926
LENNAR CORP          CL A   52605710      74,683,611      960067      957339       2628       100      900447         200      59420
ASHLAND INC          COM    04420410      74,581,588   2,270,368   2,267,160       2670       538   2,143,631       12538     114199
COMCAST CORP NEW     CL A
                     SPL    20030N20      73,960,188   2,495,283   2,185,388     266869     43026   1,748,168       43026     704089
PUBLIC STORAGE INC   COM    74460D10      73,704,539   1,878,780   1,878,630        150             1,779,409        6950      92421
LEGG MASON INC       COM    52490110      73,544,869   1,018,627   1,011,492       4290      2845      968264        2945      47418
CBRL GROUP INC       COM    12489V10      73,174,905   2,057,787   2,053,377       4210       200   1,855,787       71400     130600
BOISE CASCADE CORP   COM    09738310      73,047,208   2,646,638   1,409,905  1,236,400       333   1,303,797   1,244,703      98138
COMVERSE TECHNOLOGY  COM
                     PAR $0 20586240      72,981,055   4,875,154   4,831,369      40225      3560   4,445,431       36660     393063
TECO ENERGY INC      COM    87237510      72,756,274   5,264,564   5,200,762      26538     37264   4,890,761       68364     305439
MICROCHIP TECHNOLOGY COM    59501710      72,432,469   3,023,058   3,005,943      12090      5025   2,890,646        5225     127187
IDEC PHARMACEUTICALS COM    44937010      72,152,779   2,167,401   2,141,549      10479     15373   2,053,933       15373      98095
MURPHY OIL CORP      COM    62671710      71,847,783   1,222,941   1,195,784      15740     11417   1,182,739       11417      28785
LEAR CORP            COM    52186510      71,768,902   1,363,391   1,351,905       7766      3720   1,259,171        9120      95100
CIENA CORP           COM    17177910      71,441,627  12,191,404  12,163,203      27221       980  11,160,735       83730     946939
SYNOPSYS INC         COM    87160710      71,178,342   2,302,761   2,279,925      12016     10820   2,194,848       10820      97093
SYMBOL TECHNOLOGIES  COM    87150810      70,822,690   5,926,585   5,907,615      15220      3750   5,504,060       44150     378375
FEDERATED INVS INC P CL B   31421110      70,652,506   2,550,632   2,550,382        250             2,335,401       34100     181131
BAUSCH & LOMB INC    COM    07170710      70,446,137   1,595,609   1,593,219       1890       500   1,379,026       52350     164233
PALL CORP            COM    69642930      70,374,465   3,136,117   3,130,007       6110             2,906,533       21500     208084
WASHINGTON POST CO   CL B   93964010      69,820,345      104993       95889       2438      6666       94012        7866       3115
STANLEY WKS          COM    85461610      69,139,293   2,342,117   2,319,113      22244       760   2,117,908       15560     208649
MONSTER WORLDWIDE IN COM    61174210      69,021,238   2,736,766   2,730,104       3862      2800   2,550,796       37900     148070
CIT GROUP INC        COM    12558110      67,986,281   2,363,918   2,357,598       6320             2,220,329                 143589
BOSTON PROPERTIES IN COM    10112110      67,837,934   1,560,569   1,559,319       1250             1,438,269                 122300
SPX CORP             COM    78463510      67,777,684   1,496,857   1,429,139      38280     29438   1,357,343       56238      83276
STORAGE TECHNOLOGY C COM
                     PAR $0 86211120      67,750,165   2,806,552   2,791,052      15100       400   2,555,158       60900     190494
EASTMAN CHEM CO      COM    27743210      67,221,435   2,006,610   2,002,760       2344      1506   1,853,033       15106     138471
MILLENNIUM PHARMACEU COM    59990210      67,096,445   4,342,812   4,303,114      34230      5468   4,108,394        5968     228450
TOYS R US INC        COM    89233510      66,936,808   5,564,157   5,550,197      13820       140   5,022,758       37540     503859
UNIONBANCAL CORP     COM    90890610      66,682,736   1,344,410   1,338,540       5870             1,216,737       62200      65473
VALERO ENERGY CORP N COM    91913Y10      66,373,344   1,734,344   1,728,354       5661       329   1,661,223         329      72792
WILEY JOHN & SONS IN CL A   96822320      66,154,712   2,545,391      487568     228560 1,829,263      711528   1,829,263       4600
XTO ENERGY INC       COM    98385X10      65,906,207   3,139,886   3,131,267       5311      3308   3,025,280        3308     111298
ALLIED WASTE INDS IN COM
                     PAR$.0 01958930      65,696,810   6,083,038   6,038,498      39990      4550   5,683,037       41150     358851
FOX ENTMT GROUP INC  CL A   35138T10      65,572,005   2,342,694   2,336,104       6490       100   2,254,906        6100      81688
ROWAN COS INC        COM    77938210      65,551,173   2,666,850   2,627,330      33860      5660   2,490,828       22060     153962
C D W CORP           COM    12512N10      65,143,872   1,130,970   1,127,735       1810      1425   1,086,865        1425      42680
NAVISTAR INTL CORP N COM    63934E10      64,914,955   1,741,281   1,738,861       2320       100   1,627,801       21325      92155
COMPASS BANCSHARES I COM    20449H10      64,342,683   1,854,256   1,847,946       5910       400   1,775,436         400      78420
BARNES & NOBLE INC   COM    06777410      63,890,802   2,514,396   2,508,766       2930      2700   2,257,948       70700     185748
BRUNSWICK CORP       COM    11704310      63,745,232   2,482,291   2,469,191      13100             2,265,136       15950     201205
DUKE REALTY CORP     COM
                     NEW    26441150      63,633,370   2,179,225   2,178,930        295             2,070,153         500     108572
RADIAN GROUP INC     COM    75023610      63,389,613   1,427,694   1,423,564       3730       400   1,358,053         400      69241
POPULAR INC          COM    73317410      63,165,027   1,587,061   1,586,811        250             1,503,426                  83635
Page Total                             3,634,872,748


                                                                   Page 10 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
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                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
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JUNIPER NETWORKS INC COM    48203R10      62,772,510   4,184,834   4,171,454      13200       180   3,906,856         430     277548
BEMIS INC            COM    08143710      62,218,641   1,404,484   1,387,699       6985      9800   1,285,228       19000     100256
BARR LABS INC        COM    06830610      61,935,703      908015      904443       1335      2237      885712        2237      20066
KIMCO REALTY CORP    COM    49446R10      61,636,824   1,504,438   1,504,438                        1,418,487                  85951
NEW YORK CMNTY BANCO COM    64944510      61,137,970   1,940,272   1,935,340       1332      3600   1,898,466        3600      38206
MINERALS TECHNOLOGIE COM    60315810      61,058,469   1,199,577   1,199,577                           500295      660887      38395
DST SYS INC DEL      COM    23332610      60,956,932   1,621,195   1,567,048       4700     49447   1,508,393       54247      58555
ENSCO INTL INC       COM    26874Q10      60,579,540   2,258,745   2,249,795       8650       300   2,143,267         300     115178
VARIAN MED SYS INC   COM    92220P10      60,532,302   1,053,102   1,048,332       2610      2160      985363        5060      62679
DELUXE CORP          COM    24801910      59,934,117   1,493,127   1,472,737       8800     11590   1,336,799       30097     126231
SMITH INTL INC       COM    83211010      59,909,218   1,665,070   1,649,470      12455      3145   1,598,690        3145      63235
FLEXTRONICS INTL LTD ORD    Y2573F10      59,894,042   4,211,958   3,808,834     403124             3,758,392                 453566
MICHAELS STORES INC  COM    59408710      59,036,661   1,448,397      967277     479464      1656      950307      479590      18500
LAUDER ESTEE COS INC CL A   51843910      59,010,288   1,730,507   1,579,651     138256     12600   1,640,155       12600      77752
DOLLAR TREE STORES I COM    25674710      58,992,005   1,758,331   1,738,003      19028      1300   1,722,788        1450      34093
OXFORD HEALTH PLANS  COM    69147110      58,865,056   1,424,959   1,420,604       4055       300   1,329,946         300      94713
ANDREW CORP          COM    03442510      58,828,198   4,869,884   4,855,742      13892       250   4,366,538       30850     472496
CAREER EDUCATION COR COM    14166510      58,672,054   1,294,903   1,289,623       4280      1000   1,264,703        1000      29200
TYSON FOODS INC      CL A   90249410      58,612,073   4,148,059   4,136,794       9966      1299   3,950,970        1499     195590
MILLIPORE CORP       COM    60107310      58,534,752   1,270,837   1,266,697       1980      2160   1,157,395       16949      96493
MAYTAG CORP          COM    57859210      58,515,372   2,343,427   2,334,947       2040      6440   2,137,557       31189     174681
COVENTRY HEALTH CARE COM    22286210      58,425,741   1,107,807   1,100,583       5409      1815   1,087,616        1815      18376
DANA CORP            COM    23581110      58,425,401   3,786,481   3,777,765       6250      2466   3,376,926       28566     380989
REPUBLIC SVCS INC    COM    76075910      58,279,208   2,574,170   2,563,920       9850       400   2,457,826       11650     104694
HILLENBRAND INDS INC COM    43157310      58,128,115   1,030,275   1,026,005       3220      1050      964028       15750      50497
D R HORTON INC       COM    23331A10      57,390,560   1,755,063   1,747,538       5429      2096   1,669,317        2096      83650
AVALONBAY CMNTYS INC COM    05348410      57,081,960   1,219,700   1,218,630       1070             1,141,285                  78415
ROUSE CO             COM    77927310      56,997,936   1,366,857   1,363,617       3240             1,246,130         350     120377
TEKTRONIX INC        COM    87913110      56,828,747   2,296,111   2,294,161       1850       100   2,086,928       15000     194183
MEREDITH CORP        COM    58943310      56,303,668   1,219,486   1,216,692        990      1804   1,097,835       17240     104411
CABOT CORP           COM    12705510      56,178,869   1,970,497      854128      39230 1,077,139      851007   1,077,139      42351
CADENCE DESIGN SYSTE COM    12738710      56,113,826   4,187,599   4,169,709      16310      1580   3,959,342        1680     226577
PMC-SIERRA INC       COM    69344F10      55,994,781   4,245,245   4,239,085       6040       120   3,965,185       51477     228583
BEA SYS INC          COM    07332510      55,895,182   4,642,457   4,610,572      21395     10490   4,306,135       10490     325832
COMPUWARE CORP       COM    20563810      55,684,364  10,388,874  10,359,574      29060       240   9,378,423       67640     942811
HIBERNIA CORP        CL A   42865610      55,302,810   2,729,655   2,679,615      13340     36700   2,618,675       36700      74280
PEOPLES ENERGY CORP  COM    71103010      54,941,757   1,327,737   1,323,630       4107             1,215,360        6500     105877
GENTEX CORP          COM    37190110      54,454,162   1,563,427   1,228,241     211258    123928   1,418,667      123928      20832
WISCONSIN ENERGY COR COM    97665710      54,451,131   1,781,195   1,752,213      10670     18312   1,706,830       18312      56053
ROSS STORES INC      COM    77829610      54,356,972   1,171,739   1,168,479       2860       400   1,149,216         550      21973
MOHAWK INDS INC      COM    60819010      53,624,152      751881      749300       2381       200      733331         200      18350
GATEWAY INC          COM    36762610      53,621,074   9,473,688   9,468,955       3255      1478   8,620,682       58578     794428
LINCARE HLDGS INC    COM    53279110      53,615,015   1,464,491   1,456,486       4605      3400   1,397,900        3400      63191
DELTA AIR LINES INC  COM    24736110      52,933,401   3,979,955   3,968,435      11420       100   3,580,852       22300     376803
LIBERTY PPTY TR      SH BEN
                     INT    53117210      52,914,571   1,430,897   1,430,497        400             1,367,031                  63866
UNITED STATES STL CO COM    91290910      52,739,682   2,869,406   2,864,506       4800       100   2,508,194       18600     342612
RAYONIER INC         COM    75490710      52,561,166   1,294,610   1,292,545       1765       300   1,222,448       31300      40862
ALLMERICA FINL CORP  COM    01975410      52,514,812   2,205,578   1,260,886     941954      2738   1,192,866      939912      72800
EXPEDITORS INTL WASH COM    30213010      52,058,827   1,513,338   1,507,088       5890       360   1,444,811         360      68167
PERKINELMER INC      COM    71404610      51,859,731   3,387,311   3,378,041       9150       120   3,141,587       22370     223354
BRINKER INTL INC     COM    10964110      51,726,348   1,550,550   1,509,047      30543     10960   1,492,350       15160      43040
LABORATORY CORP AMER COM
                     NEW    50540R40      51,569,996   1,796,864   1,791,024       5760        80   1,707,542          80      89242
Page Total                             2,964,606,692


                                                                   Page 11 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
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                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
RYDER SYS INC        COM    78354910      51,480,701   1,755,822   1,753,952       1870             1,645,204       11250      99368
CONSTELLATION BRANDS CL A   21036P10      51,280,124   1,681,867   1,647,106      25736      9025   1,657,482        9025      15360
DIAL CORP NEW        COM    25247D10      51,106,493   2,372,632   2,370,302       2030       300   2,120,392       15300     236940
CALPINE CORP         COM    13134710      50,895,780  10,408,135  10,369,965      27970     10200   9,852,623       76300     479212
AUTODESK INC         COM    05276910      50,842,977   2,987,249   2,967,799      16750      2700   2,780,428       22400     184421
DIEBOLD INC          COM    25365110      50,702,118   1,001,029      987685       5025      8319      970505        8469      22055
LOUISIANA PAC CORP   COM    54634710      50,671,030   3,677,143   3,670,305       4180      2658   3,344,337       20858     311948
PIONEER NAT RES CO   COM    72378710      50,543,344   1,985,206   1,980,297       4130       779   1,911,143         779      73284
SCANA CORP NEW       COM    80589M10      50,491,966   1,474,218   1,467,032       6586       600   1,442,821         600      30797
CARMAX INC           COM    14313010      50,241,073   1,538,306   1,534,272       3644       390   1,498,529         390      39387
HOST MARRIOTT CORP N COM    44107P10      49,832,609   4,644,232   4,644,232                        4,256,663       49700     337869
DENTSPLY INTL INC NE COM    24903010      49,540,935   1,104,838   1,100,168       4510       160   1,081,828         160      22850
JETBLUE AWYS CORP    COM    47714310      49,088,578      806317      805500        817                782467                  23850
L-3 COMMUNICATIONS H COM    50242410      48,962,633   1,132,084   1,129,704       2180       200   1,085,084         400      46600
MANPOWER INC         COM    56418H10      48,958,273   1,319,630   1,315,710       3720       200   1,271,381         200      48049
PATTERSON DENTAL CO  COM    70341210      48,712,219      845992      842852       2780       360      827158         360      18474
EDWARDS LIFESCIENCES COM    28176E10      48,665,549   1,797,103      829592     967111       400      828355      965548       3200
DUN & BRADSTREET COR COM    26483E10      48,505,759   1,167,688   1,163,116       3847       725   1,123,286        2325      42077
GTECH HLDGS CORP     COM    40051810      48,484,089   1,131,484   1,130,964        280       240   1,074,714       54440       2330
RENT A CTR INC NEW   COM    76009N10      48,338,763   1,500,272   1,488,797      11225       250   1,339,305       45300     115667
CIRCUIT CITY STORE I COM    17273710      48,212,717   5,059,047   5,048,297      10590       160   4,647,866       36660     374521
TRAVELERS PPTY CAS C CL A   89420G10      48,079,479   3,027,675      901084  2,124,821      1770      533757   2,112,452     381466
NOVELL INC           COM    67000610      48,033,057   9,062,841   9,021,718      40883       240   8,424,315       64940     573586
TCF FINL CORP        COM    87227510      47,982,893   1,000,686      994759       3835      2092      976194        2092      22400
A D C TELECOMMUNICAT COM    00088610      47,793,589  20,494,678  20,466,628      27320       730  18,805,381      141656  1,547,641
UNITED DOMINION REAL COM    91019710      47,746,474   2,607,672   2,606,257       1415             2,541,015                  66657
OMNICARE INC         COM    68190410      47,524,303   1,317,923   1,314,483       3040       400   1,289,317         400      28206
COMMERCE BANCORP INC COM    20051910      47,491,362      991262      984300       3207      3755      969179        3755      18328
MERCANTILE BANKSHARE COM    58740510      47,408,600   1,185,215   1,178,018       6897       300   1,162,058         300      22857
PACIFICARE HEALTH SY COM    69511210      47,402,124      971355      963205       7500       650      866176       12050      93129
ADVANCEPCS           COM    00790K10      47,381,817   1,039,759   1,037,889       1650       220   1,036,169         220       3370
MID ATLANTIC MED SVC COM    59523C10      47,094,399      915699      913016        680      2003      860901       46503       8295
MARTIN MARIETTA MATL COM    57328410      46,837,411   1,284,977   1,283,317       1560       100      645680      637229       2068
NICOR INC            COM    65408610      46,694,137   1,328,803   1,327,303       1300       200   1,248,660        7950      72193
SMURFIT-STONE CONTAI COM    83272710      46,487,169   3,111,591   3,098,799      12192       600   2,900,415        1150     210026
ZALE CORP NEW        COM    98885810      46,375,675   1,044,262   1,043,462        600       200      676981      315681      51600
ENERGY EAST CORP     COM    29266M10      46,321,112   2,065,141   2,049,735       8406      7000   2,016,511        7000      41630
TELEPHONE & DATA SYS COM    87943310      46,308,182      819034      810384       8420       230      790154         330      28550
REEBOK INTL LTD      COM    75811010      46,188,024   1,381,634   1,376,294       1890      3450   1,273,572       13850      94212
WESTWOOD ONE INC     COM    96181510      45,904,196   1,520,510   1,508,843       9906      1761   1,485,579        1761      33170
CUMMINS INC          COM    23102110      45,883,527   1,032,715   1,030,945       1770                956733        7300      68682
ADVANCED AUTO PARTS  COM    00751Y10      45,668,249      644122      643022        400       700      594978         700      48444
AGERE SYS INC        CL B   00845V20      45,567,514  15,767,306  15,599,953     163286      4067  15,135,345        4067     627894
AMB PROPERTY CORP    COM    00163T10      45,439,820   1,474,840   1,474,760         80             1,410,431         100      64309
E TRADE GROUP INC    COM    26924610      45,303,012   4,892,334   4,881,294       8300      2740   4,866,590        2740      23004
DEVELOPERS DIVERSIFI COM    25159110      45,157,256   1,511,793   1,510,878        915             1,463,223                  48570
PMI GROUP INC        COM    69344M10      45,000,765   1,333,356   1,328,176       4980       200   1,278,454         200      54702
COORS ADOLPH CO      CL B   21701610      44,899,921      835192      831272       3720       200      780985        6600      47607
CHOICEPOINT INC      COM    17038810      44,662,200   1,333,200   1,328,998       1887      2315   1,276,357        2315      54528
RYLAND GROUP INC     COM    78376410      44,550,894      609368      608268       1100                571541       20450      17377
INTERSIL CORP        CL A   46069S10      44,177,964   1,856,217   1,849,987       5950       280   1,848,263         530       7424
PHARMACEUTICAL RES I COM    71712510      44,130,153      646880      644740       2040       100      623433        7700      15747
Page Total                             2,481,053,008


                                                                   Page 12 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
BIG LOTS INC         COM    08930210      44,093,362   2,788,954   2,784,594       4260       100   2,622,370       20700     145884
PETSMART INC         COM    71676810      43,944,507   1,930,778   1,919,098      11500       180   1,890,468         180      40130
EDWARDS AG INC       COM    28176010      43,465,370   1,131,616   1,126,886       4230       500   1,033,130         500      97986
UNITED ONLINE INC    COM    91126810      43,219,025   1,242,283   1,242,083        200             1,187,833                  54450
BERKLEY W R CORP     COM    08442310      43,145,536   1,259,356   1,259,056        300             1,150,908       10950      97498
ALLEGHENY ENERGY INC COM    01736110      43,104,495   4,716,028   4,689,760      25680       588   4,325,116       23238     367674
WHOLE FOODS MKT INC  COM    96683710      43,051,142      779912      774017       4530      1365      746813        1365      31734
SERVICEMASTER CO     COM    81760N10      43,012,597   4,192,261   4,175,485      16556       220   3,722,297         220     469744
POGO PRODUCING CO    COM    73044810      42,840,721      946129      939129       1760      5240      912951        5240      27938
ARAMARK CORP         CL B   03852110      42,754,719   1,708,139   1,706,959       1180             1,618,102       28700      61337
PARK PL ENTMT CORP   COM    70069010      42,463,661   4,712,948   4,701,248      11700             4,412,776         750     299422
SCHEIN HENRY INC     COM    80640710      42,329,251      746416      745476        840       100      721342         100      24974
DORAL FINL CORP      COM    25811P10      42,325,521      900543      900243        300                872193                  28350
IVAX CORP            COM    46582310      42,219,870   2,154,075   2,144,618       7032      2425   2,068,211        2525      83339
PEPCO HOLDINGS INC   COM    71329110      42,147,388   2,439,085   2,429,496       8203      1386   2,257,129        1386     180570
MACK CALI RLTY CORP  COM    55448910      42,033,768   1,072,290   1,072,010        280             1,040,246                  32044
FISHER SCIENTIFIC IN COM
                     NEW    33803220      41,557,216   1,047,045   1,045,785       1160       100   1,015,678        5300      26067
FOUNDRY NETWORKS INC COM    35063R10      41,151,043   1,914,002   1,905,222       8680       100   1,848,624       28600      36778
OUTBACK STEAKHOUSE I COM    68989910      41,107,165   1,085,481   1,063,971      16685      4825   1,059,856        4825      20800
VISHAY INTERTECHNOLO COM    92829810      41,002,879   2,340,347   2,250,068      73600     16679   2,304,618       17029      18700
SEI INVESTMENTS CO   COM    78411710      40,762,853   1,252,315   1,237,783      13647       885   1,226,920         885      24510
WESTERN DIGITAL CORP COM    95810210      40,252,041   3,122,734   3,112,234      10500             3,110,674                  12060
LAM RESEARCH CORP    COM    51280710      40,216,537   1,809,111   1,803,831       4780       500   1,790,201         850      18060
FAIR ISAAC CORP      COM    30325010      40,158,422      681113      677088       1950      2075      663885        2075      15153
UNITED STATIONERS IN COM    91300410      40,074,231   1,063,259   1,058,039       5220                956609        8500      98150
AMERICAN GREETINGS C CL A   02637510      39,990,359   2,058,176   2,053,916       4260             1,835,527       11500     211149
NEW PLAN EXCEL RLTY  COM    64805310      39,960,432   1,715,040   1,714,990         50             1,659,323                  55717
ARROW ELECTRS INC    COM    04273510      39,920,515   2,170,773   2,148,153      22320       300   1,973,709         300     196764
WINN DIXIE STORES IN COM    97428010      39,813,477   4,125,749   4,122,659       2990       100   3,557,773       42200     525776
UBS AG               NAMEN
                     AKT    H8920M85      39,708,782      706185      147625     558560                169160      533175       3850
BENCHMARK ELECTRS IN COM    08160H10      39,682,653      938790      900515      38275                871640        9500      57650
ISTAR FINL INC       COM    45031U10      39,536,664   1,015,062   1,015,062                           993888                  21174
CHICOS FAS INC       COM    16861510      39,375,004   1,285,085   1,237,649      42541      4895   1,275,553        4895       4637
SNAP ON INC          COM    83303410      39,229,128   1,418,775   1,415,465       3310             1,320,323       10200      88252
HOSPITALITY PPTYS TR COM SH
                     BEN    44106M10      39,127,635   1,115,383   1,115,283        100             1,080,716                  34667
VERISIGN INC         COM    92343E10      38,836,555   2,885,331   2,869,313      15785       233   2,596,440       16333     272558
HERCULES INC         COM    42705610      38,798,395   3,424,395   3,417,255       7140             3,097,303       34400     292692
CERIDIAN CORP NEW    COM    15677910      38,796,687   2,083,603   2,079,233       4070       300   1,931,209         300     152094
ABERCROMBIE & FITCH  CL A   00289620      38,691,583   1,396,304   1,384,293       9861      2150   1,367,090        2150      27064
C H ROBINSON WORLDWI COM    12541W10      38,495,230   1,033,429   1,029,619       3510       300   1,010,331         300      22798
CHELSEA PPTY GROUP I COM    16342110      38,491,577      803582      802997        585                780034                  23548
FASTENAL CO          COM    31190010      38,489,896   1,019,060      994434      10351     14275      964135       14275      40650
AVNET INC            COM    05380710      38,452,546   2,327,636   2,318,000       7964      1672   2,282,564        1972      43100
ONEOK INC NEW        COM    68268010      38,096,309   1,888,761   1,874,591      13970       200   1,848,940         200      39621
QUESTAR CORP         COM    74835610      38,041,784   1,234,722   1,126,598     102024      6100   1,181,612        6350      46760
JEFFERIES GROUP INC  COM    47231910      37,509,147   1,304,666   1,301,786       2880             1,216,266       34200      54200
UTSTARCOM INC        COM    91807610      37,420,395   1,176,742   1,173,882       1610      1250   1,146,538       11850      18354
EQUITABLE RES INC    COM    29454910      37,274,124      906913      899169       3820      3924      869495        3924      33494
DPL INC              COM    23329310      37,155,955   2,166,528   2,157,084       8720       724   2,158,140         724       7664
ITT EDUCATIONAL SERV COM    45068B10      37,038,230      772918      772418        100       400      758254         400      14264
CABOT MICROELECTRONI COM    12709P10      36,964,577      664472      413061      22456    228955      397577      228955      37940
FIRST HEALTH GROUP C COM    32096010      36,935,740   1,406,540   1,401,290       4770       480   1,378,360         480      27700
Page Total                             2,094,266,699


                                                                   Page 13 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
YORK INTL CORP NEW   COM    98667010      36,846,271   1,065,229   1,061,939       3090       200   1,013,129         200      51900
DYNEGY INC NEW       CL A   26816Q10      36,671,076  10,186,410  10,168,615      17635       160   9,663,248       64760     458402
ALLIANT ENERGY CORP  COM    01880210      36,476,858   1,658,039   1,640,189      13250      4600   1,646,574        4600       6865
CELGENE CORP         COM    15102010      36,459,033      842010      838490       3420       100      837877         100       4033
WILLIAMS SONOMA INC  COM    96990410      36,350,666   1,347,319   1,341,749       1940      3630   1,290,165       24830      32324
ASSOCIATED BANC CORP COM    04548710      36,344,088      959200      956580       2422       198      937242         508      21450
CRANE CO             COM    22439910      36,232,967   1,547,756   1,545,206       2550             1,452,550       10400      84806
PROTECTIVE LIFE CORP COM    74367410      36,092,649   1,209,134   1,206,109       1100      1925   1,200,743        1925       6466
ADTRAN INC           COM    00738A10      35,954,145      586432      585332       1000       100      567832        9700       8900
PATINA OIL & GAS COR COM    70322410      35,944,390      991843      991443        400                947094                  44749
CMS ENERGY CORP      COM    12589610      35,908,622   4,872,269   4,871,349        920             4,492,470       25300     354499
BOWATER INC          COM    10218310      35,873,352      852909      849369        540      3000      826516        3000      23393
APPLIED MICRO CIRCUI COM    03822W10      35,840,240   7,374,535   7,348,487      15868     10180   6,919,732       62980     391823
UNIVERSAL HLTH SVCS  CL B   91390310      35,635,944      720646      718836       1490       320      703930         320      16396
NSTAR                COM    67019E10      35,430,867      745913      724962      10581     10370      720743       10370      14800
DILLARDS INC         CL A   25406710      35,324,566   2,526,793   2,523,383       3310       100   2,262,283       15000     249510
GALLAGHER ARTHUR J & COM    36357610      34,793,336   1,230,316   1,211,316       3400     15600   1,188,616       15600      26100
OVERTURE SVCS INC    COM    69039R10      34,764,078   1,320,322   1,319,602        720             1,222,172                  98150
COOPER CAMERON CORP  COM    21664010      34,746,130      751918      751078        840                704376                  47542
COOPER TIRE & RUBR C COM    21683110      34,743,111   2,189,232   2,181,087       7345       800   1,971,468       13700     204064
JACOBS ENGR GROUP IN COM    46981410      34,729,164      770048      767558       2290       200      754640         200      15208
SCRIPPS E W CO OHIO  CL A   81105420      34,703,524      407797      406137       1660                387866                  19931
NORTHEAST UTILS      COM    66439710      34,645,596   1,933,348   1,921,496      10292      1560   1,877,781        1560      54007
CYTYC CORP           COM    23294610      34,638,531   2,307,697   2,297,947       9650       100   2,138,316         100     169281
BELO CORP            COM
                     SER A  08055510      34,277,205   1,413,493   1,410,143       2950       400   1,399,193        4100      10200
ASTORIA FINL CORP    COM    04626510      34,269,614   1,109,049   1,101,449       7000       600   1,082,057         600      26392
COMMERCE BANCSHARES  COM    20052510      34,110,562      779670      734877      42538      2255      759263        2255      18152
GOODYEAR TIRE & RUBR COM    38255010      34,105,704   5,191,127   5,173,297      17830             4,585,312       31600     574215
COMMERCIAL FEDERAL C COM    20164710      34,077,094   1,399,470   1,399,270        100       100   1,323,422         100      75948
AVID TECHNOLOGY INC  COM    05367P10      33,980,579      641143      641043                  100      591943         100      49100
FLAGSTAR BANCORP INC COM    33793010      33,921,867   1,478,077   1,473,127       4950             1,246,477       16100     215500
TITAN CORP           COM    88826610      33,792,372   1,621,515   1,619,715       1700       100   1,504,715         100     116700
DAVITA INC           COM    23918K10      33,780,606   1,061,282   1,055,021       1760      4501   1,040,617        4501      16164
ALLETE INC           COM    01852210      33,635,809   1,228,481   1,220,181       6020      2280   1,183,071       42080       3330
CNF INC              COM    12612W10      33,447,187   1,043,594   1,042,494       1000       100   1,041,222         100       2272
MDU RES GROUP INC    COM    55269010      33,444,969      990082      961652      14880     13550      972432       13550       4100
CORINTHIAN COLLEGES  COM    21886810      33,354,410      584038      581929       1709       400      581281         400       2357
NEUBERGER BERMAN INC COM    64123410      33,156,308      791887      789067       2820                777515                  14372
OGE ENERGY CORP      COM    67083710      33,069,071   1,463,881   1,454,803       7478      1600   1,438,076        1600      24205
HARRIS CORP DEL      COM    41387510      32,908,403      919486      913426       5760       300      885450         300      33736
INTERNATIONAL RECTIF COM    46025410      32,803,467      876161      871436       4165       560      872029         560       3572
BRIGGS & STRATTON CO COM    10904310      32,743,069      557234      556634        600                524084                  33150
BJS WHOLESALE CLUB I COM    05548J10      32,684,976   1,687,402   1,681,384       5918       100   1,587,352         100      99950
RF MICRODEVICES INC  COM    74994110      32,673,674   3,536,112   3,526,572       9440       100   3,282,712         100     253300
VARIAN INC           COM    92220610      32,643,716   1,040,603   1,040,503        100                994853                  45750
CARLISLE COS INC     COM    14233910      32,561,326      746477      745877        600                694177        5900      46400
HARTE-HANKS INC      COM    41619610      32,530,335   1,764,118   1,761,768       2050       300   1,528,578      129000     106540
AFFILIATED MANAGERS  COM    00825210      32,506,661      517622      495307      17550      4765      472557        4765      40300
HARMAN INTL INDS INC COM    41308610      32,397,375      329409      327168       1260       981      318368         981      10060
HORMEL FOODS CORP    COM    44045210      32,324,196   1,406,623   1,402,988       3510       125   1,398,872         125       7626
AUTOLIV INC          COM    05280010      32,280,874   1,069,966   1,042,212      22989      4765   1,055,851        5015       9100
WEINGARTEN RLTY INVS SH BEN
                     INT    94874110      32,231,475      716255      716255                           688103                  28152
Page Total                             1,784,862,108


                                                                   Page 14 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
OFFICEMAX INC        COM    67622M10      32,186,128   3,435,019   3,435,019                        3,252,019                 183000
ANNTAYLOR STORES COR COM    03611510      32,185,349   1,001,411   1,000,471        790       150      933216         150      68045
P F CHANGS CHINA BIS COM    69333Y10      32,132,606      708547      692767      13240      2540      669607        2540      36400
SL GREEN RLTY CORP   COM    78440X10      31,880,652      882876      882021        855                817889                  64987
PUGET ENERGY INC NEW COM    74531010      31,880,005   1,421,311   1,411,556       9380       375   1,365,552         375      55384
ENERGEN CORP         COM    29265N10      31,850,773      880342      878342        500      1500      818792        1500      60050
AMR CORP             COM    00176510      31,840,022   2,780,788   2,777,538       3110       140   2,489,688         140     290960
BLOCKBUSTER INC      CL A   09367910      31,813,845   1,514,945   1,514,845        100             1,338,417       15800     160728
VALSPAR CORP         COM    92035510      31,703,013      679593      677553       1540       500      662953         800      15840
MILLS CORP           COM    60114810      31,661,285      804607      803792        815                780433                  24174
SYBASE INC           COM    87113010      31,645,063   1,860,380   1,855,375       4905       100   1,730,280         100     130000
GEN-PROBE INC NEW    COM    36866T10      31,641,509      584115      583915        200                538579                  45536
GREAT PLAINS ENERGY  COM    39116410      31,497,810   1,038,846   1,035,746       2400       700   1,034,047         700       4099
INAMED CORP          COM    45323510      31,476,039      428362      428342         20                399162                  29200
LANDAMERICA FINL GRO COM    51493610      31,417,681      685377      685277        100                638327                  47050
MGM MIRAGE           COM    55295310      31,314,431      856756      852306       2900      1550      806324        1550      48882
EATON VANCE CORP     COM
                     NON VT 27826510      31,301,054      934918      932038       2840        40      932876          40       2002
CORN PRODS INTL INC  COM    21902310      31,093,403      976245      970313       1640      4292      908803        4292      63150
PAN PACIFIC RETAIL P COM    69806L10      30,922,762      719134      714083       5051                697351                  21783
WEBSTER FINL CORP CO COM    94789010      30,904,048      774926      766017       8655       254      772594         554       1778
COVANCE INC          COM    22281610      30,831,963   1,377,657   1,324,742      44075      8840   1,271,417        8840      97400
SEPRACOR INC         COM    81731510      30,780,943   1,114,444   1,081,164       3380     29900   1,079,771       29900       4773
NBTY INC             COM    62878210      30,758,931   1,317,299   1,317,139                  160   1,237,439         160      79700
WORTHINGTON INDS INC COM    98181110      30,694,303   2,443,814   2,429,839      11975      2000   2,298,800       17100     127914
WASHINGTON FED INC   COM    93882410      30,621,981   1,215,158   1,206,606       3412      5140   1,206,469        5470       3219
HON INDS INC         COM    43809210      30,599,553      827910      824070       3640       200      806154         200      21556
3COM CORP            COM    88553510      30,493,714   5,159,681   5,134,888      14308     10485   4,827,784       77453     254444
AMERITRADE HLDG CORP COM    03074K10      30,493,274   2,665,496   2,664,816        680             2,557,529                 107967
MANDALAY RESORT GROU COM    56256710      30,370,452      766737      736332      26475      3930      746740        3930      16067
TRIAD HOSPITALS INC  COM    89579K10      30,345,132   1,002,151      997506       4543       102      980149         102      21900
MERCURY GENL CORP NE COM    58940010      30,333,972      677400      306960     361840      8600      297726      378120       1554
NETWORKS ASSOCS INC  COM    64093810      30,259,684   2,199,105   2,193,585       5020       500   2,152,005         500      46600
NEW CENTURY FINANCIA COM    64352D10      30,201,737   1,064,566   1,048,196      13370      3000      904916       18450     141200
NOBLE ENERGY INC     COM    65504410      30,201,120      788541      764425       5735     18381      752670       18531      17340
CERTEGY INC          COM    15688010      30,080,391      936792      934207       2325       260      874858         260      61674
CITY NATL CORP       COM    17856610      30,053,354      589744      589444        300                576617                  13127
CENTERPOINT PPTYS TR COM    15189510      30,008,312      440586      440041        545                427858                  12728
VIAD CORP            COM    92552R10      29,999,727   1,256,270   1,233,330       1740     21200   1,193,354       22000      40916
TAKE-TWO INTERACTIVE COM    87405410      29,930,103      876174      874614       1560                813974                  62200
STANCORP FINL GROUP  COM    85289110      29,870,438      519938      519548        390                476193       42500       1245
PATTERSON UTI ENERGY COM    70348110      29,847,950   1,102,621   1,098,394       2825      1402   1,074,795        1402      26424
ALLIED CAP CORP NEW  COM    01903Q10      29,830,301   1,213,107   1,193,370       8960     10777   1,139,461       10777      62869
KRISPY KREME DOUGHNU COM    50101410      29,813,437      774375      771320       2030      1025      769080        1025       4270
DEVRY INC DEL        COM    25189310      29,792,175   1,259,179   1,257,089       1790       300   1,238,145         300      20734
PRIDE INTL INC DEL   COM    74153Q10      29,766,352   1,756,127   1,750,697       4870       560   1,717,271         810      38046
LEVEL 3 COMMUNICATIO COM    52729N10      29,642,017   5,469,007   5,455,827      10460      2720   5,161,810        3520     303677
PACIFIC SUNWEAR CALI COM    69487310      29,554,315   1,430,509   1,423,659       5625      1225   1,324,435        1225     104849
WEBMD CORP           COM    94769M10      29,529,084   3,299,339   3,283,296      12000      4043   3,209,800        4593      84946
ESSEX PPTY TR INC    COM    29717810      29,397,570      468786      468366        420                428146                  40640
NATIONAL FUEL GAS CO COM    63618010      29,359,393   1,284,875   1,267,715      16360       800   1,258,751        1250      24874
DONALDSON INC        COM    25765110      29,322,785      544022      538647       5375                530486                  13536
CYPRESS SEMICONDUCTO COM    23280610      29,268,249   1,655,444   1,645,724       9500       220   1,648,353         220       6871
Page Total                             1,594,400,190


                                                                   Page 15 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
MACERICH CO          COM    55438210      29,182,939      773058      772958        100                740756                  32302
LEE ENTERPRISES INC  COM    52376810      29,035,872      750863      748403       2460                728163                  22700
GRACO INC            COM    38410910      29,032,158      773160      767868       4682       610      756738         610      15812
IDEXX LABS INC       COM    45168D10      29,018,546      681987      673324        700      7963      658527        7963      15497
CEPHALON INC         COM    15670810      28,775,508      627054      619238       6011      1805      610405        1805      14844
HEALTH CARE PPTY INV COM    42191510      28,742,729      615476      615476                           599552                  15924
AMKOR TECHNOLOGY INC COM    03165210      28,732,719   2,022,007   2,018,537        220      3250   1,909,757        3250     109000
AGL RES INC          COM    00120410      28,662,693   1,017,490   1,016,840        650                998370                  19120
GREAT LAKES CHEM COR COM    39056810      28,510,590   1,417,732   1,416,632       1100             1,291,690        8800     117242
FIRSTMERIT CORP      COM    33791510      28,450,455   1,149,978   1,112,158      37420       400   1,144,664         400       4914
PENTAIR INC          COM    70963110      28,410,405      712576      710876       1700                692426                  20150
FIRST AMERN CORP CAL COM    31852230      28,336,473   1,138,011   1,136,911        940       160   1,119,212         160      18639
HIGHWOODS PPTYS INC  COM    43128410      28,317,787   1,186,831   1,186,831                        1,096,108                  90723
PRENTISS PPTYS TR    SH BEN
                     INT    74070610      28,281,858      912318      911838        480                848395                  63923
SMUCKER J M CO       COM
                     NEW    83269640      28,247,579      670009      658321       2426      9262      645561        9285      15163
BORDERS GROUP INC    COM    09970910      28,227,031   1,491,915   1,488,771       2844       300   1,458,195         300      33420
BANTA CORP           COM    06682110      28,196,136      783226      777906       4420       900      739485         900      42841
HILB ROGAL & HAMILTO COM    43129410      28,148,127      906834      889614      14010      3210      850624        3210      53000
DYCOM INDS INC       COM    26747510      28,125,415   1,379,373   1,378,453        920             1,306,623                  72750
INVESTORS FINL SERVI COM    46191510      28,049,278      889324      889004        320                860004                  29320
ADVANCED FIBRE COMMU COM    00754A10      28,010,757   1,337,029   1,331,859       2420      2750   1,303,753        2750      30526
CYMER INC            COM    23257210      28,009,174      680495      679295       1100       100      617966         100      62429
VISTEON CORP         COM    92839U10      27,935,100   4,232,591   4,226,439       6152             3,766,256       23037     443298
WILEY JOHN & SONS IN CL B   96822330      27,919,112   1,077,958                   4000 1,073,958        4000   1,073,958
AIRGAS INC           COM    00936310      27,908,495   1,567,893   1,567,843         50             1,546,543                  21350
KILROY RLTY CORP     COM    49427F10      27,886,526      976761      976461        300                925569                  51192
WEATHERFORD INTERNAT COM    G9508910      27,772,418      735109      728024       6135       950      659170         950      74989
ACTIVISION INC NEW   COM
                     NEW    00493020      27,761,985   2,319,297   2,318,997        300             2,173,497                 145800
VALLEY NATL BANCORP  COM    91979410      27,711,407      995381      988610       6660       111      967800         111      27470
THOMAS & BETTS CORP  COM    88431510      27,590,522   1,740,727   1,737,663       2064      1000   1,577,479       11200     152048
CACI INTL INC        CL A   12719030      27,580,359      643649      643549        100                600849                  42800
AMERUS GROUP CO      COM    03072M10      27,572,980      810970      808910       2060                744380                  66590
WESTAR ENERGY INC    COM    95709T10      27,509,706   1,491,041   1,482,021       8820       200   1,383,320         200     107521
FIRST INDUSTRIAL REA COM    32054K10      27,489,858      857183      857003        180                788187                  68996
SEMTECH CORP         COM    81685010      27,444,795   1,482,701   1,481,191       1410       100   1,397,601         100      85000
CYTEC INDS INC       COM    23282010      27,442,196      751841      750511       1030       300      735337         300      16204
SMITHFIELD FOODS INC COM    83224810      27,421,324   1,428,194   1,425,184       2810       200   1,423,902         200       4092
BANK HAWAII CORP     COM    06254010      27,367,061      814981      808581       6400                811537                   3444
VENTAS INC           COM    92276F10      27,339,219   1,596,917   1,596,797        120             1,488,967                 107950
CONEXANT SYSTEMS INC COM    20714210      27,230,695   4,811,077   4,788,372       9500     13205   4,395,982       13205     401890
AMYLIN PHARMACEUTICA COM    03234610      27,222,950      962622      959736       1900       986      957051         986       4585
VECTREN CORP         COM    92240G10      27,207,689   1,151,892   1,146,592       3000      2300   1,115,660       32500       3732
PNM RES INC          COM    69349H10      27,083,920      965903      965661         40       202      911401         202      54300
ELECTRONICS FOR IMAG COM    28608210      27,073,578   1,160,462   1,154,039       2000      4423   1,072,637        4423      83402
PEDIATRIX MED GROUP  COM    70532410      26,901,212      584174      584174                           547424                  36750
READERS DIGEST ASSN  COM    75526710      26,875,881   1,921,078   1,911,678       7500      1900   1,873,008        1900      46170
APTARGROUP INC       COM    03833610      26,857,263      732005      548585      98550     84870      645035       84870       2100
ALEXANDRIA REAL ESTA COM    01527110      26,796,513      557912      556422       1490                518117                  39795
SILICON LABORATORIES COM    82691910      26,669,318      593707      592907        800                593107                    600
KRONOS INC           COM    50105210      26,641,031      503516      502556        960                470466                  33050
TETRA TECH INC NEW   COM    88162G10      26,468,864   1,324,768   1,324,768                        1,243,418                  81350
REYNOLDS & REYNOLDS  CL A   76169510      26,451,829      960139      958319       1620       200      955939         200       4000
Page Total                             1,445,638,035


                                                                   Page 16 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CAMDEN PPTY TR       SH BEN
                     INT    13313110      26,334,234      685252      684822        430                663592                  21660
OSHKOSH TRUCK CORP   COM    68823920      26,303,812      664070      621920      36210      5940      613130        5940      45000
BRITISH AMERN TOB PL SPON-
                     SORED  11044810      26,293,615   1,213,925       31395  1,182,530                 31395   1,182,530
COLONIAL BANCGROUP I COM    19549330      26,289,752   1,820,620   1,817,810       2810             1,813,191                   7429
GATX CORP            COM    36144810      26,256,075   1,241,422   1,212,612      23035      5775   1,166,647        5775      69000
WILMINGTON TRUST COR COM    97180710      26,232,466      852811      841191       7020      4600      844111        4600       4100
POWER-ONE INC        COM    73930810      26,161,475   2,513,110   2,474,245      38765       100   2,305,668       14500     192942
ENGINEERED SUPPORT S COM    29286610      26,122,359      431418      431318        100                398383                  33035
EMULEX CORP          COM
                     NEW    29247520      26,088,768   1,024,294      954995      60184      9115   1,011,315        9115       3864
HUBBELL INC          CL B   44351020      26,074,294      714560      702992       6640      4928      695172        5078      14310
IMPAC MTG HLDGS INC  COM    45254P10      26,067,179   1,610,079   1,610,079                        1,534,129                  75950
ARDEN RLTY INC       COM    03979310      26,024,985      932127      931887        240                898218                  33909
CHEESECAKE FACTORY I COM    16307210      25,913,916      713882      708672       5060       150      711132         150       2600
ENTERCOM COMMUNICATI CL A   29363910      25,894,665      577748      573818       1685      2245      571103        2245       4400
MAXTOR CORP          COM
                     NEW    57772920      25,847,583   2,123,877   2,115,203       8332       342   2,113,689         342       9846
GREATER BAY BANCORP  COM    39164810      25,841,617   1,241,192   1,174,743      43059     23390   1,130,082       23390      87720
CAPITAL AUTOMOTIVE R COM SH
                     BEN    13973310      25,773,797      849779      849379        400                812729                  37050
ROPER INDS INC NEW   COM    77669610      25,636,622      588671      566796      17935      3940      539381        3940      45350
INDEPENDENCE CMNTY B COM    45341410      25,616,466      729606      729456        150                724806                   4800
RECKSON ASSOCS RLTY  COM    75621K10      25,609,161   1,108,142   1,108,142                        1,024,135                  84007
KENNAMETAL INC       COM    48917010      25,607,480      684692      684132        560                633342                  51350
APPLEBEES INTL INC   COM    03789910      25,594,184      813030      787230      25800                795368         350      17312
INTEGRATED CIRCUIT S COM    45811K20      25,575,425      851379      847259       2120      2000      846919        2000       2460
CHITTENDEN CORP      COM    17022810      25,546,830      858717      806546      15910     36261      755617       36261      66839
REGIS CORP MINN      COM    75893210      25,481,140      793805      793705        100                791400                   2405
BROWN & BROWN INC    COM    11523610      25,446,010      826706      826706                           824306                   2400
MEDIA GEN INC        CL A   58440410      25,406,479      415818      415348        370       100      367768        2100      45950
HUDSON CITY BANCORP  COM    44368310      25,400,611      824160      820340       3820                808424                  15736
APOGENT TECHNOLOGIES COM    03760A10      25,367,303   1,216,074   1,214,244        730      1100   1,210,510        1100       4464
TECH DATA CORP       COM    87823710      25,351,943      821781      816906       4575       300      814147         300       7334
EDUCATION MGMT CORP  COM    28139T10      25,291,855      437424      434329        520      2575      432854        2575       1995
CULLEN FROST BANKERS COM    22989910      25,277,122      678945      677245       1600       100      676567         100       2278
IRON MTN INC PA      COM    46284610      25,216,698      702415      698185       4080       150      678897         150      23368
ZEBRA TECHNOLOGIES C CL A   98920710      25,207,954      489665      488180       1185       300      486965         300       2400
CARRAMERICA RLTY COR COM    14441810      25,200,564      844240      844240                           811832                  32408
WADDELL & REED FINL  CL A   93005910      25,135,896   1,066,436   1,060,370       2890      3176   1,058,526        3176       4734
NEIMAN MARCUS GROUP  CL A   64020420      25,130,880      602659      599237       3122       300      601061         300       1298
RITE AID CORP        COM    76775410      25,122,760   4,868,752   4,849,332      19200       220   4,845,958         220      22574
PARAMETRIC TECHNOLOG COM    69917310      25,112,688   7,972,282   7,936,081      36021       180   7,196,799       46380     729103
PANERA BREAD CO      CL A   69840W10      25,078,230      611515      611515                           571337                  40178
TECHNE CORP          COM    87837710      25,013,611      786839      785979        700       160      722129         160      64550
FOOT LOCKER INC      COM    34484910      24,954,528   1,540,403   1,532,893       5230      2280   1,485,723        2630      52050
COOPER COS INC       COM
                     NEW    21664840      24,858,722      610030      606830       1200      2000      561108        2000      46922
MACROMEDIA INC       COM    55610010      24,842,555   1,015,225   1,013,965       1100       160      927265        9960      78000
PLANTRONICS INC NEW  COM    72749310      24,773,407   1,037,847   1,036,447       1000       400      968897         400      68550
HUNT J B TRANS SVCS  COM    44565810      24,743,997      944788      944708         80                937606                   7182
SAKS INC             COM    79377W10      24,743,875   2,146,043   2,140,373       4470      1200   2,044,284        1550     100209
BORG WARNER INC      COM    09972410      24,740,756      364639      361299       3140       200      362739         200       1700
TIDEWATER INC        COM    88642310      24,668,430      871676      866346       5030       300      869224         300       2152
HOME PPTYS N Y INC   COM    43730610      24,540,454      626032      625732        300                567348                  58684
SILICON VY BANCSHARE COM    82706410      24,539,712      889120      887950       1170                842870                  46250
SICOR INC            COM    82584610      24,513,195   1,269,456   1,267,136       2320             1,265,845         100       3511
Page Total                             1,323,868,135


                                                                   Page 17 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market      Shares               Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
ACCREDO HEALTH INC   COM    00437V10      24,475,463      874436      873536        900                802435                  72001
FEDERAL REALTY INVT  SH BEN
                     INT    31374720      24,461,917      663644      663644                           638077                  25567
ICOS CORP            COM    44929510      24,356,736      635117      600402      29970      4745      626045        4845       4227
TELEFLEX INC         COM    87936910      24,355,457      560798      559848        750       200      558930         200       1668
HCC INS HLDGS INC    COM    40413210      24,353,133      837453      831247       6206                835631                   1822
99 CENTS ONLY STORES COM    65440K10      24,316,187      751892      750472       1300       120      749122         120       2650
ATMEL CORP           COM    04951310      24,302,789   6,049,985   6,048,105       1580       300   5,763,642      244703      41640
MENTOR GRAPHICS CORP COM    58720010      24,301,921   1,381,576   1,377,776       3400       400   1,278,226         400     102950
PIER 1 IMPORTS INC   COM    72027910      24,193,203   1,257,443   1,251,318       4200      1925   1,241,942        1925      13576
NATIONAL INSTRS CORP COM    63651810      24,144,632      602411      581966      20105       340      600373         340       1698
SONUS NETWORKS INC   COM    83591610      24,127,754   3,482,141   3,481,321        600       220   3,180,521         220     301400
MARVEL ENTERPRISES I COM    57383M10      23,993,821   1,078,374   1,076,374       2000             1,065,374                  13000
AMERICREDIT CORP     COM    03060R10      23,965,813   2,326,778   2,314,118      12200       460   2,318,622        1510       6646
SKYWORKS SOLUTIONS I COM    83088M10      23,930,861   2,629,765   2,616,100       9155      4510   2,400,201        4510     225054
MILLER HERMAN INC    COM    60054410      23,910,754   1,050,099   1,049,379        420       300      987679         300      62120
FREDS INC            CL A   35610810      23,891,517      724864      724639                  225      667264         225      57375
RENAL CARE GROUP INC COM    75993010      23,875,016      699122      695552       1950      1620      694702        1620       2800
TUPPERWARE CORP      COM    89989610      23,859,282   1,783,205   1,782,135         70      1000   1,603,257       18825     161123
RPM INTL INC         COM    74968510      23,832,658   1,824,859   1,814,327       7320      3212   1,816,847        3212       4800
STERICYCLE INC       COM    85891210      23,820,993      504148      502308         40      1800      500401        1800       1947
ALEXANDER & BALDWIN  COM    01448210      23,796,478      839086      838986        100                775965                  63121
OSI PHARMACEUTICALS  COM    67104010      23,752,972      727503      707903      19600                658803                  68700
WASHINGTON REAL ESTA SH BEN
                     INT    93965310      23,673,483      816327      816107        220                748205                  68122
UNITRIN INC          COM    91327510      23,630,258      775780      774120        660      1000      753260        1000      21520
UCBH HOLDINGS INC    COM    90262T30      23,586,468      780492      771092       9400                718074                  62418
LANDSTAR SYS INC     COM    51509810      23,497,185      382628      382528        100                358678                  23950
SHURGARD STORAGE CTR COM    82567D10      23,419,361      663438      663338        100                639970                  23468
DIGITAL RIV INC      COM    25388B10      23,393,330      854707      854357        350                816007                  38700
VITESSE SEMICONDUCTO COM    92849710      23,309,035   3,636,355   3,634,975       1240       140   3,306,635         140     329580
BRANDYWINE RLTY TR   SH BEN
                     INT    10536820      23,280,740      906218      906198         20                834693                  71525
MARKEL CORP          COM    57053510      23,270,652       87156       86296        860                 86782                    374
POLYCOM INC          COM    73172K10      23,268,533   1,400,875   1,391,723       5577      3575   1,368,162        3575      29138
BRE PROPERTIES INC   CL A   05564E10      23,237,246      704586      704586                           677850                  26736
PACKAGING CORP AMER  COM    69515610      23,208,531   1,195,084   1,194,644        440             1,192,850                   2234
LAMAR ADVERTISING CO CL A   51281510      23,207,380      787759      785621        950      1188      758821        1188      27750
LYONDELL CHEMICAL CO COM    55207810      23,161,475   1,812,322   1,805,822       6200       300   1,805,760         300       6262
PHILADELPHIA SUBN CO COM
                     PAR $0 71800960      23,155,520      961608      959458       1032      1118      956885        1118       3605
ROSLYN BANCORP INC   COM    77816210      23,116,198      983668      979838       3830                980578                   3090
EXTENDED STAY AMER I COM    30224P10      22,939,959   1,536,501   1,535,211       1210        80   1,439,621          80      96800
TOLL BROTHERS INC    COM    88947810      22,861,694      751535      750795        440       300      747730         300       3505
RUBY TUESDAY INC     COM    78118210      22,858,715      948101      905242      42859                927301                  20800
PERFORMANCE FOOD GRO COM    71375510      22,820,448      560286      557526       2580       180      557406         180       2700
CRESCENT REAL ESTATE COM    22575610      22,750,123   1,568,974   1,568,974                        1,486,472                  82502
COGNIZANT TECHNOLOGY CL A   19244610      22,746,956      623888      623388        500                621180                   2708
AIRTRAN HLDGS INC    COM    00949P10      22,734,808   1,357,302   1,357,052        250             1,250,452                 106850
LEUCADIA NATL CORP   COM    52728810      22,651,143      598445      598245        200                596453                   1992
HYPERION SOLUTIONS C COM    44914M10      22,636,473      780299      780099                  200      725999         200      54100
INVESTMENT TECHNOLOG COM    46145F10      22,561,280   1,176,292   1,176,042        100       150   1,107,142         150      69000
LAFARGE NORTH AMERIC COM    50586210      22,558,230      648225      646305       1920                643049                   5176
NORTHWEST AIRLS CORP CL A   66728010      22,490,293   2,318,587   1,094,564  1,224,023                946121   1,219,596     152870
KEMET CORP           COM    48836010      22,324,798   1,752,339   1,748,629       3610       100   1,621,539         100     130700
STANDARD PAC CORP NE COM    85375C10      22,313,587      588749      588109        640                539809                  48940
Page Total                             1,220,683,259


                                                                   Page 18 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
ABGENIX INC          COM    00339B10      22,279,171   1,537,555   1,532,655        800      4100   1,402,205        4100     131250
ALPHARMA INC         CL A   02081310      22,246,902   1,196,070   1,195,060       1010             1,140,920                  55150
FULTON FINL CORP PA  COM    36027110      22,232,423   1,100,615   1,097,256       3359             1,094,637                   5978
BRINKS CO            COM    10969610      22,198,041   1,278,689   1,277,349       1340             1,201,989                  76700
INTERSTATE BAKERIES  COM    46072H10      22,194,345   1,479,623   1,479,023        600             1,407,779                  71844
ASCENTIAL SOFTWARE C COM
                     NEW    04362P20      22,174,313   1,196,671   1,193,651       2970        50   1,101,571          50      95050
O REILLY AUTOMOTIVE  COM    68609110      22,164,566      602298      599838       2100       360      599738         360       2200
F M C CORP           COM
                     NEW    30249130      22,156,117      879211      878681        530                830611                  48600
INTERNATIONAL SPEEDW CL A   46033520      22,153,301      504746      497360       1560      5826      497184        5826       1736
FAIRCHILD SEMICONDUC COM    30372610      22,105,052   1,333,236   1,324,776       4510      3950   1,322,586        3950       6700
SOUTHWEST BANCORPORA COM    84476R10      22,089,695      605363      578398      22240      4725      557788        4725      42850
HAWAIIAN ELEC INDUST COM    41987010      22,046,943      506477      503157       3220       100      504177         100       2200
IMCLONE SYS INC      COM    45245W10      21,931,918      563397      561089       2230        78      559118          78       4201
SOUTH FINL GROUP INC COM    83784110      21,920,197      875757      874440       1317                804307                  71450
KEANE INC            COM    48666510      21,887,756   1,712,657   1,708,957       2900       800   1,625,007         800      86850
STERIS CORP          COM    85915210      21,887,554      950806      949206       1600                921186                  29620
FMC TECHNOLOGIES INC COM    30249U10      21,872,904   1,021,144   1,019,239       1820        85      988220          85      32839
PROTEIN DESIGN LABS  COM    74369L10      21,864,188   1,556,170   1,555,370        800             1,529,933                  26237
APPLERA CORP         COM CE
                     GEN    03802020      21,838,065   1,868,098   1,864,998       2900       200   1,719,048         200     148850
ATMOS ENERGY CORP    COM    04956010      21,822,339      911543      911093        300       150      838443         150      72950
INTERGRAPH CORP      COM    45868310      21,818,556      929636      928936        700                851186                  78450
WESTAMERICA BANCORPO COM    95709010      21,817,795      490508      489478       1030                488658                   1850
LINENS N THINGS INC  COM    53567910      21,815,890      917405      872160      35425      9820      843313        9820      64272
FREMONT GEN CORP     COM    35728810      21,759,189   1,711,974   1,711,974                        1,622,424                  89550
NEWFIELD EXPL CO     COM    65129010      21,605,101      560153      558918       1160        75      558050          75       2028
IDEX CORP            COM    45167R10      21,571,058      591961      560641      27050      4270      545333        4270      42358
CATELLUS DEV CORP    COM    14911110      21,571,036      882251      874901       7350                878819                   3432
CABLEVISION SYS CORP CL A
                     NY CA  12686C10      21,565,118   1,191,443   1,177,938       9954      3551   1,088,037        3851      99555
FLOWSERVE CORP       COM    34354P10      21,554,905   1,061,818   1,059,063       2755                995218                  66600
CORPORATE EXECUTIVE  COM    21988R10      21,537,385      457658      455358       2300                446745                  10913
MARTEK BIOSCIENCES C COM    57290110      21,536,564      409207      409007        200                368507                  40700
BANKATLANTIC BANCORP CL A   06590850      21,500,385   1,508,799   1,508,799                        1,428,549                  80250
TRANSATLANTIC HLDGS  COM    89352110      21,436,065      301407      298907       2500                284271                  17136
LEGATO SYS INC       COM    52465110      21,424,314   1,895,957   1,871,448      24409       100   1,757,716         100     138141
IDACORP INC          COM    45110710      21,408,652      839555      834827       1610      3118      775187        3368      61000
VARIAN SEMICONDUCTOR COM    92220710      21,392,900      571239      569599       1640                521039                  50200
REGENCY CTRS CORP    COM    75884910      21,304,569      578143      578143                           545790                  32353
ALLIANT TECHSYSTEMS  COM    01880410      21,296,721      443220      441340       1210       670      432000         670      10550
CINCINNATI BELL INC  COM    17187110      21,265,200   4,177,839   4,167,483       8120      2236   3,872,403        2236     303200
COPART INC           COM    21720410      21,231,897   1,955,055   1,954,965         90             1,859,605                  95450
WEIGHT WATCHERS INTL COM    94862610      21,204,851      509732      507467       1040      1225      496681        1225      11826
MGI PHARMA INC       COM    55288010      21,174,341      548416      548116        200       100      498516         100      49800
CHECKFREE CORP NEW   COM    16281310      21,162,497   1,052,337   1,047,032       5045       260   1,048,300         260       3777
PROVIDENT FINL GROUP COM    74386610      21,129,796      755445      753865       1580                699587                  55858
ARCH COAL INC        COM    03938010      21,124,108      951108      950842        159       107      884051         107      66950
CONTINENTAL AIRLS IN CL B   21079530      21,117,017   1,273,644   1,265,934       7710             1,177,694                  95950
TRIZEC PROPERTIES IN COM    89687P10      21,040,121   1,716,160   1,716,160                        1,605,740                 110420
SKY FINL GROUP INC   COM    83080P10      21,027,513      934141      930431       3710                931715                   2426
LANCASTER COLONY COR COM    51384710      21,022,512      526880      526370        510                525080                   1800
PS BUSINESS PKS INC  COM    69360J10      21,013,707      556802      556422        380                514335                  42467
HEALTH CARE REIT INC COM    42217K10      20,999,595      680700      680700                           627223                  53477
CLAIRES STORES INC   COM    17958410      20,958,273      626368      625388        780       200      612468         200      13700
Page Total                             1,124,453,421


                                                                   Page 19 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
POST PPTYS INC       COM    73746410      20,954,084      769522      769522                           702333                  67189
KELLWOOD CO          COM    48804410      20,935,752      625882      625522        360                584960                  40922
NTL INC DEL          COM    62940M10      20,865,502      450951      450151        800                449249                   1702
TORO CO              COM    89109210      20,800,530      462234      461234       1000                420434                  41800
BLACK HILLS CORP     COM    09211310      20,771,310      673082      668492       4490       100      624646         100      48336
VARCO INTL INC DEL   COM    92212210      20,723,543   1,225,520   1,219,799       5661        60   1,221,252          60       4208
AMERICAN EAGLE OUTFI COM    02553E10      20,717,743   1,389,520   1,388,780        700        40   1,312,580          40      76900
COMMUNITY HEALTH SYS COM    20366810      20,717,250      954712      909927      37245      7540      927094        7540      20078
WOLVERINE WORLD WIDE COM    97809710      20,693,456   1,066,673   1,062,167       4506             1,005,323                  61350
CHESAPEAKE ENERGY CO COM    16516710      20,692,673   1,919,543   1,912,163       7380             1,911,604                   7939
SYBRON DENTAL SPECIA COM    87114210      20,676,607      824755      823786        816       153      768962         153      55640
LIFEPOINT HOSPITALS  COM    53219L10      20,618,152      852342      852199         43       100      796342         100      55900
HARSCO CORP          COM    41586410      20,607,224      535670      535030        440       200      532970         200       2500
INSIGHT ENTERPRISES  COM    45765U10      20,600,817   1,353,536   1,351,436       2100             1,284,696                  68840
AMERICAN TOWER CORP  CL A   02991220      20,574,293   2,027,024   1,957,474      53230     16320   2,007,713       16320       2991
YELLOW CORP          COM    98550910      20,506,557      687678      549928     137310       440      633888         440      53350
HSBC HLDGS PLC       SPON
                     ADR N  40428040      20,446,734      309799      286801      22998                303292         267       6240
EAST WEST BANCORP IN COM    27579R10      20,415,690      477560      477360        200                437252                  40308
ETHAN ALLEN INTERIOR COM    29760210      20,402,316      566731      565795        836       100      565159         100       1472
INVACARE CORP        COM    46120310      20,357,724      541717      541257        460                492701                  49016
VISX INC DEL         COM    92844S10      20,327,321   1,067,051   1,066,351        700                995051                  72000
FOREST OIL CORP      COM
                     PAR $0 34609170      20,316,880      848304      847924        280       100      791104         100      57100
NATIONAL-OILWELL INC COM    63707110      20,308,437   1,119,539   1,093,396      14450     11693   1,104,084       11693       3762
CALLAWAY GOLF CO     COM    13119310      20,258,005   1,419,622   1,418,252       1370             1,329,122                  90500
POLARIS INDS INC     COM    73106810      20,246,583      273049      271329       1640        80      269069          80       3900
WESTERN WIRELESS COR CL A   95988E20      20,241,939   1,084,196   1,079,796       4300       100      957546         100     126550
PHOENIX COS INC NEW  COM    71902E10      20,206,644   1,749,493   1,739,815       8903       775   1,611,318         775     137400
CITIZENS BKG CORP MI COM    17442010      20,147,634      762879      760319       2560                704229                  58650
STATEN IS BANCORP IN COM    85755010      20,093,814   1,033,101   1,033,101                           924821                 108280
CLARCOR INC          COM    17989510      20,069,283      514597      513357        800       440      471957         440      42200
OMNIVISION TECHNOLOG COM    68212810      20,058,192      475200      475200                           433100                  42100
HUMAN GENOME SCIENCE COM    44490310      20,033,346   1,459,093   1,454,368       4625       100   1,329,835      117700      11558
PLEXUS CORP          COM    72913210      20,015,209   1,287,980   1,217,550      70330       100   1,222,130         100      65750
CHURCH & DWIGHT INC  COM    17134010      19,966,133      570624      569984        640                543894                  26730
HENRY JACK & ASSOC I COM    42628110      19,936,782   1,146,451   1,145,351        900       200   1,142,857         200       3394
IMATION CORP         COM    45245A10      19,926,588      610309      608079       1430       800      599309         800      10200
APRIA HEALTHCARE GRO COM    03793310      19,877,250      725977      725647        330                723242                   2735
ICN PHARMACEUTICALS  COM    44892410      19,872,584   1,158,076   1,151,684       6292       100   1,151,604         350       6122
CHARLES RIV LABS INT COM    15986410      19,863,028      647215      644225       2790       200      645015         200       2000
BISYS GROUP INC      COM    05547210      19,858,669   1,510,165   1,508,145       1820       200   1,504,665         200       5300
INGRAM MICRO INC     CL A   45715310      19,831,315   1,519,641   1,518,631       1010             1,446,895                  72746
AMERICAN AXLE & MFG  COM    02406110      19,802,360      669451      661951       7300       200      635551       11000      22900
PEPSIAMERICAS INC    COM    71343P20      19,800,048   1,366,463   1,363,643       2420       400   1,199,113       97700      69650
PIXAR                COM    72581110      19,788,984      296909      295129       1720        60      276351          60      20498
FIRSTFED FINL CORP   COM    33790710      19,739,098      499724      499024        700                470134                  29590
EMMIS COMMUNICATIONS CL A   29152510      19,729,850      974795      974395        400                898645         150      76000
SWIFT TRANSN CO      COM    87075610      19,720,491      869127      866497       2430       200      864678         200       4249
RALCORP HLDGS INC NE COM    75102810      19,717,746      711832      711532        300                651982                  59850
SYLVAN LEARNING SYS  COM    87139910      19,690,987      718387      718087        300                669287                  49100
CBL & ASSOC PPTYS IN COM    12483010      19,649,422      393776      393756         20                373863                  19913
GABLES RESIDENTIAL T SH BEN
                     INT    36241810      19,642,415      607748      607648        100                540127                  67621
TRINITY INDS INC     COM    89652210      19,612,136      758690      758390                  300      706390         300      52000
Page Total                             1,051,427,130


                                                                   Page 20 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
COMMONWEALTH TEL ENT COM    20334910      19,591,719      488328      486428       1900                457728                  30600
COMMUNITY FIRST BANK COM    20390210      19,575,655      735374      735374                           678924                  56450
ENDO PHARMACEUTICALS COM    29264F20      19,536,130      955312      954752        560                937212         100      18000
HOT TOPIC INC        COM    44133910      19,520,090      866020      865930         90                794395                  71625
FIRST MIDWEST BANCOR COM    32086710      19,486,937      655905      653500       1745       660      652720         660       2525
BOB EVANS FARMS INC  COM    09676110      19,451,130      728234      726234       2000                657886                  70348
BEAZER HOMES USA INC COM    07556Q10      19,436,898      230295      230195        100                207225                  23070
VERTEX PHARMACEUTICA COM    92532F10      19,387,604   1,576,228   1,575,028        820       380   1,462,348         380     113500
MEDICIS PHARMACEUTIC CL A
                     NEW    58469030      19,346,907      330152      325752       4150       250      328282         250       1620
NATIONWIDE FINL SVCS CL A   63861210      19,292,653      615592      613882        520      1190      613970        1190        432
THOR INDS INC        COM    88516010      19,199,410      355413      355413                           328413                  27000
SOUTHERN UN CO NEW   COM    84403010      19,183,021   1,128,413   1,121,342                 7071   1,044,341        7071      77001
SUSQUEHANNA BANCSHAR COM    86909910      19,148,658      745084      744424                  660      686975         660      57449
UNITED RENTALS INC   COM    91136310      19,124,059   1,188,568   1,187,487       1081             1,112,918                  75650
EVEREST RE GROUP LTD COM    G3223R10      19,083,349      253903      253903                           245293                   8610
CROWN HOLDINGS INC   COM    22836810      18,909,531   2,801,412   2,799,712       1700             2,505,612                 295800
EVERGREEN RES INC    COM NO
                     PAR    29990030      18,904,698      700174      700174                           638044                  62130
MONY GROUP INC       COM    61533710      18,881,408      580074      579081        993                578086                   1988
CLECO CORP NEW       COM    12561W10      18,835,019   1,152,694   1,150,394       2100       200   1,059,044         200      93450
DADE BEHRING HLDGS I COM    23342J20      18,826,591      666428      666428                           606928                  59500
MCDATA CORP          CL A   58003120      18,793,388   1,575,305   1,571,523       3280       502   1,568,956         502       5847
SKYWEST INC          COM    83087910      18,758,477   1,083,053   1,079,453       2950       650      988753        1050      93250
IRWIN FINL CORP      COM    46411910      18,743,051      771319      771319                           743809                  27510
HUDSON UNITED BANCOR COM    44416510      18,737,134      532759      531116       1643                529959         300       2500
ARBITRON INC         COM    03875Q10      18,682,595      529252      527433       1819                479348                  49904
CEC ENTMT INC        COM    12513710      18,661,512      476059      475799        260                444459                  31600
MEDICINES CO         COM    58468810      18,648,811      718644      718644                           656894                  61750
IGEN INC             COM    44953610      18,581,699      322711      322311        400                289961                  32750
PETCO ANIMAL SUPPLIE COM
                     NEW    71601620      18,565,518      594858      594858                           527528                  67330
MPS GROUP INC        COM    55340910      18,552,087   2,061,343   2,051,783       9260       300   1,914,493         300     146550
SENSIENT TECHNOLOGIE COM    81725T10      18,533,004      882524      876724       5800                816371                  66153
ALLIANCE GAMING CORP COM
                     NEW    01859P60      18,456,746      910096      909296                  800      836346         800      72950
SUPERIOR INDS INTL I COM    86816810      18,433,421      454585      454585                           422835                  31750
WASTE CONNECTIONS IN COM    94105310      18,429,338      525202      525102                  100      482582         100      42520
VODAFONE GROUP PLC N SPON-
                     SORED  92857W10      18,416,727      909468      823114      86354                886563                  22905
ALBEMARLE CORP       COM    01265310      18,355,128      668675      667675       1000                627075                  41600
STRAYER ED INC       COM    86323610      18,354,917      189813      189413        300       100      169363         100      20350
CABOT OIL & GAS CORP COM    12709710      18,271,084      702734      677381       6985     18368      607546       18368      76820
SONIC CORP           COM    83545110      18,261,054      724645      724645                           669874                  54771
WGL HLDGS INC        COM    92924F10      18,230,986      661022      657302       3400       320      646752         320      13950
COMMERCE GROUP INC M COM    20064110      18,203,414      479542      443042      36500                443266                  36276
CREE INC             COM    22544710      18,197,326      982577      978817       3660       100      977852         100       4625
ANNALY MTG MGMT INC  COM    03571040      18,191,882   1,107,910   1,106,450       1460             1,046,610       48400      12900
FIRST NIAGARA FINL G COM    33582V10      18,170,789   1,204,161   1,204,161                        1,102,899                 101262
NEW JERSEY RES       COM    64602510      18,028,577      500238      494033       2436      3769      455443        3769      41026
BANCORPSOUTH INC     COM    05969210      18,007,494      822260      821370        890                818910                   3350
CORPORATE OFFICE PPT SH BEN
                     INT    22002T10      18,005,824      972762      971867        895                915036                  57726
TRACTOR SUPPLY CO    COM    89235610      17,989,591      548296      543276       5020                504396                  43900
POTLATCH CORP        COM    73762810      17,972,991      604744      604644        100                524000                  80744
AXCELIS TECHNOLOGIES COM    05454010      17,968,777   2,164,913   2,023,261     141552       100   2,005,252         100     159561
CHARTER COMMUNICATIO CL A   16117M10      17,893,946   4,343,191   4,340,896       2295             3,961,241         950     381000
ALLEGHENY TECHNOLOGI COM    01741R10      17,879,305   2,729,665   2,727,045       2620             2,487,760       14100     227805
Page Total                               971,698,060


                                                                   Page 21 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
NATIONWIDE HEALTH PP COM    63862010      17,860,490   1,021,183   1,021,183                           948983                  72200
ODYSSEY HEALTHCARE I COM    67611V10      17,855,798      598786      598786                           551724                  47062
CHATEAU CMNTYS INC   COM    16172610      17,838,858      599424      599424                           540420                  59004
MENTOR CORP MINN     COM    58718810      17,800,416      780720      780640         80                721720                  59000
AMETEK INC NEW       COM    03110010      17,793,114      415145      413045       2100                413662                   1483
UGI CORP NEW         COM    90268110      17,742,855      613303      611443       1860                610628                   2675
PAYLESS SHOESOURCE I COM    70437910      17,720,048   1,369,401   1,367,346       1755       300   1,265,661         300     103440
DIAMOND OFFSHORE DRI COM    25271C10      17,706,807      927058      925578       1340       140      897333         140      29585
EARTHLINK INC        COM    27032110      17,645,440   2,144,039   2,138,789       5150       100   1,953,439         100     190500
RSA SEC INC          COM    74971910      17,636,408   1,226,454   1,226,434         20             1,155,304                  71150
PACIFIC CAP BANCORP  COM    69404P10      17,619,256      577870      577517        353                529169                  48701
AMERIGROUP CORP      COM    03073T10      17,554,317      393330      393330                           361830                  31500
BROOKS AUTOMATION IN COM    11434010      17,552,551      839835      776455      54830      8550      766835        8550      64450
HRPT PPTYS TR        COM SH
                     BEN    40426W10      17,550,838   1,920,223   1,920,223                        1,906,023                  14200
OLIN CORP            COM
                     PAR $1 68066520      17,515,097   1,107,149   1,106,849        100       200   1,032,599         200      74350
CHOICE HOTELS INTL I COM    16990510      17,500,133      603037      601087       1800       150      557687         150      45200
PETROLEO BRASILEIRO  SPON-
                     SORED  71654V10      17,499,545      823508      823508                           494713      236236      92559
HELMERICH & PAYNE IN COM    42345210      17,497,305      669369      667329       1440       600      653939         600      14830
COGNEX CORP          COM    19242210      17,476,383      665007      650327       2420     12260      595597       12260      57150
DEL MONTE FOODS CO   COM    24522P10      17,442,210   2,002,550   1,976,150      15923     10477   1,901,191       10477      90882
PHOTRONICS INC       COM    71940510      17,435,590      815891      811691       4200                770041                  45850
METRO GOLDWYN MAYER  COM    59161010      17,425,718   1,135,966   1,108,706       5060     22200      982866       22200     130900
INDYMAC BANCORP INC  COM    45660710      17,408,709      751347      751347                           748347                   3000
UNIVERSAL CORP VA    COM    91345610      17,405,714      413143      411793       1350                412693                    450
HOVNANIAN ENTERPRISE CL A   44248720      17,287,464      268564      268264        300                268514                     50
MAF BANCORP INC      COM    55261R10      17,272,053      452148      450968        500       680      414468         680      37000
NPS PHARMACEUTICALS  COM    62936P10      17,269,216      619857      583002      33195      3660      567497        3660      48700
AVOCENT CORP         COM    05389310      17,256,213      569700      567400       2100       200      565100         200       4400
WPS RESOURCES CORP   COM    92931B10      17,245,702      418585      415725       2740       120      416754         120       1711
COUSINS PPTYS INC    COM    22279510      17,207,553      620092      619942        150                593197                  26895
RESPIRONICS INC      COM    76123010      17,118,551      409241      407694       1347       200      407191         200       1850
FURNITURE BRANDS INT COM    36092110      17,094,877      709331      706871       2460                706852                   2479
J2 GLOBAL COMMUNICAT COM
                     NEW    46626E20      17,087,584      451694      451694                           407634                  44060
INTEGRATED DEVICE TE COM    45811810      17,042,127   1,372,152   1,367,312       4000       840   1,365,326        1190       5636
DOCUMENTUM INC       COM    25615910      16,998,357      796176      795976        200                721326                  74850
AGCO CORP            COM    00108410      16,972,387      990221      987841       2380                985784                   4437
SUN COMMUNITIES INC  COM    86667410      16,955,514      430343      430093        250                393395                  36948
MENS WEARHOUSE INC   COM    58711810      16,945,775      660654      660554                  100      600604         100      59950
TRUSTCO BK CORP N Y  COM    89834910      16,828,535   1,361,532   1,355,517       6015             1,247,832                 113700
PANAMSAT CORP NEW    COM    69793310      16,784,926   1,159,180   1,159,080        100             1,081,612       47200      30368
HEARST-ARGYLE TELEVI COM    42231710      16,751,699      692219      691959        260                691819                    400
PERRIGO CO           COM    71429010      16,696,909   1,311,619   1,308,719       2900             1,210,493                 101126
RESMED INC           COM    76115210      16,696,039      379628      378828        700       100      377727         100       1801
CERNER CORP          COM    15678210      16,671,806      540065      539815        250                497115                  42950
NETIQ CORP           COM    64115P10      16,594,414   1,389,817   1,389,417        300       100   1,303,917         100      85800
CSG SYS INTL INC     COM    12634910      16,530,477   1,116,170   1,116,070                  100   1,039,170         100      76900
MACROVISION CORP     COM    55590410      16,521,665      893063      892723        300        40      824873          40      68150
HUTCHINSON TECHNOLOG COM    44840710      16,503,388      501318      499798       1520                457668                  43650
FNB CORP PA          COM    30252010      16,501,695      478310      476325       1985                475027                   3283
VALASSIS COMMUNICATI COM    91886610      16,456,387      623348      622048       1100       200      589982         200      33166
RELIANT RES INC      COM    75952B10      16,444,753   3,211,866   3,154,919      53461      3486   3,189,165        3959      18742
THORNBURG MTG INC    COM    88521810      16,401,073      647496      647096        400                642675                   4821
Page Total                               894,620,739


                                                                   Page 22 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CHRISTOPHER & BANKS  COM    17104610      16,399,049      687303      687303                           632928                  54375
SIRIUS SATELLITE RAD COM    82966U10      16,391,522   9,006,331   8,986,131      15100      5100   8,985,031        5100      16200
RAYMOND JAMES FINANC COM    75473010      16,374,875      450478      449408        670       400      447878         400       2200
KAYDON CORP          COM    48658710      16,372,955      689678      688758        920                647878                  41800
POWER INTEGRATIONS I COM    73927610      16,357,703      492109      487889       4220                451959                  40150
OHIO CAS CORP        COM    67724010      16,345,934   1,129,643   1,125,193       4450             1,052,059                  77584
COLONIAL PPTYS TR    COM SH
                     BEN    19587210      16,342,703      453586      453586                           411594                  41992
FIRST BANCORP P R    COM    31867210      16,295,716      529942      529592        350                529392                    550
ARVINMERITOR INC     COM    04335310      16,295,473      914962      911303       3260       399      910463         399       4100
DELPHI FINL GROUP IN CL A   24713110      16,281,953      349999      335663        300     14036      301802       14036      34161
AMPHENOL CORP NEW    CL A   03209510      16,212,481      311479      308346        500      2633      299064        2633       9782
REALTY INCOME CORP   COM    75610910      16,170,459      407830      407730        100                407830
METTLER TOLEDO INTER COM    59268810      16,166,750      449701      448381       1220       100      448419         100       1182
SIERRA HEALTH SVCS I COM    82632210      16,161,568      786451      786451                           743751                  42700
KNIGHT TRADING GROUP COM    49906310      16,145,320   1,412,539   1,408,239       4200       100   1,277,040         100     135399
BROCADE COMMUNICATIO COM    11162110      16,139,963   3,091,947   2,940,327     129200     22420   2,966,647       22820     102480
FERRO CORP           COM    31540510      16,106,016      754027      753447        580                696852                  57175
HERITAGE PPTY INVT T COM    42725M10      16,102,072      557551      557151        400                515451                  42100
QUIKSILVER INC       COM    74838C10      16,092,449   1,008,931   1,004,331       4600                929931                  79000
BROWN TOM INC        COM
                     NEW    11566020      16,067,768      625205      625105                  100      573030         100      52075
FACTSET RESH SYS INC COM    30307510      16,052,216      361944      346844                15100      344344       15100       2500
MASSEY ENERGY CORP   COM    57620610      16,033,150   1,205,500   1,204,800        700             1,106,650                  98850
CUMULUS MEDIA INC    CL A   23108210      16,008,839      931830      862425      58220     11185      858495       11185      62150
SCP POOL CORP        COM    78402810      15,994,652      574727      570745       3427       555      527641         555      46531
ACXIOM CORP          COM    00512510      15,982,706   1,014,775   1,010,775       3900       100   1,010,577         100       4098
MUELLER INDS INC     COM    62475610      15,975,423      627718      627118        500       100      579227         100      48391
LEXAR MEDIA INC      COM    52886P10      15,974,898      936395      936395                           855370                  81025
TOTAL SYS SVCS INC   COM    89190610      15,956,664      605566      603516       2050                602152                   3414
LA QUINTA CORP       PAIRED
                     CTF    50419U20      15,939,722   2,558,543   2,558,543                        2,293,293                 265250
REPUBLIC BANCORP INC COM    76028210      15,920,663   1,195,245   1,194,772        473             1,121,605                  73640
USF CORP             COM    91729Q10      15,915,547      503816      503616        100       100      462659         100      41057
BROOKLINE BANCORP IN COM    11373M10      15,898,103   1,076,378   1,076,378                           993245                  83133
HEALTHCARE RLTY TR   COM    42194610      15,895,882      497057      497057                           497057
HOLLYWOOD ENTMT CORP COM    43614110      15,895,595      935035      935035                           854280                  80755
ANSYS INC            COM    03662Q10      15,892,386      447169      425339      21830                426219                  20950
TEXAS REGL BANCSHARE CL A
                     VTG    88267310      15,844,502      468911      468597        314                431759                  37152
GLOBALSANTAFE CORP   SHS    G3930E10      15,843,643      661530      638759       8022     14749      483146       14749     163635
R & G FINANCIAL CORP CL B   74913610      15,824,356      541930      541930                           515830                  26100
MICREL INC           COM    59479310      15,818,865   1,297,692   1,285,582      10870      1240   1,217,952        1240      78500
DELTA & PINE LD CO   COM    24735710      15,799,563      686639      686159        480                630439                  56200
ALBANY INTL CORP     CL A   01234810      15,771,853      511409      511205        100       104      474455         104      36850
TAUBMAN CTRS INC     COM    87666410      15,762,202      804194      804194                           729310                  74884
PEABODY ENERGY CORP  COM    70454910      15,759,597      502378      502378                           500828         150       1400
SILICON STORAGE TECH COM    82705710      15,665,562   1,790,350   1,790,350                        1,662,900                 127450
ADAPTEC INC          COM    00651F10      15,641,209   2,068,943   2,065,503       3140       300   1,889,893         300     178750
UNOVA INC            COM    91529B10      15,611,801   1,065,652   1,063,092       2560             1,001,502                  64150
DOWNEY FINL CORP     COM    26101810      15,572,024      333234      332084       1150                328894                   4340
WERNER ENTERPRISES I COM    95075510      15,516,643      675812      675086        126       600      671087         600       4125
CORRECTIONS CORP AME COM
                     NEW    22025Y40      15,492,513      627990      627990                           585440                  42550
SIERRA PAC RES NEW   COM    82642810      15,488,533   3,193,512   3,182,312      11200             2,988,062                 205450
DSP GROUP INC        COM    23332B10      15,485,736      621418      620618        600       200      577168         200      44050
LATTICE SEMICONDUCTO COM    51841510      15,475,901   2,155,418   2,142,838       8280      4300   2,005,318        4300     145800
Page Total                               830,533,678


                                                                   Page 23 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
ADVO INC             COM    00758510      15,424,123      370505      370405        100                340355                  30150
INTER TEL INC        COM    45837210      15,421,843      628181      628081        100                590831                  37350
TIMBERLAND CO        CL A   88710010      15,410,242      361234      360234        780       220      343136         220      17878
GLOBAL PMTS INC      COM    37940X10      15,395,760      427660      426253        460       947      424713         947       2000
WHITNEY HLDG CORP    COM    96661210      15,386,054      452531      449857        406      2268      448913        2268       1350
FLIR SYS INC         COM    30244510      15,372,643      604746      604746                           555646                  49100
PROVINCE HEALTHCARE  COM    74397710      15,331,958   1,183,935   1,132,035      44305      7595   1,102,090        7595      74250
XM SATELLITE RADIO H CL A   98375910      15,317,038      988196      987376        820                988196
TRANSACTION SYS ARCH CL A   89341610      15,258,549      921410      921410                           859560                  61850
COMPANHIA VALE DO RI SPON
                     ADR P  20441210      15,244,275      413124      413124                           243955      121667      47502
ALKERMES INC         COM    01642T10      15,189,370   1,107,097   1,105,397       1600       100   1,020,497         100      86500
STONE ENERGY CORP    COM    86164210      15,172,128      430049      428969        600       480      395487         480      34082
PHARMACEUTICAL PROD  COM    71712410      15,128,094      630600      629920        680                629056                   1544
IMAGISTICS INTERNATI COM    45247T10      15,111,505      521446      519472       1892        82      490378          82      30986
TRIQUINT SEMICONDUCT COM    89674K10      15,105,664   2,673,569   2,662,348      11120       101   2,459,618         101     213850
ADVANCED DIGITAL INF COM    00752510      15,080,370   1,073,336   1,069,736       3500       100      975036         100      98200
GLIMCHER RLTY TR     SH BEN
                     INT    37930210      15,072,129      715336      715316         20                649367                  65969
GRANT PRIDECO INC    COM    38821G10      15,036,343   1,475,598   1,472,378       3120       100   1,469,737         350       5511
OLD NATL BANCORP IND COM    68003310      15,030,799      672519      667188       5331                668765                   3754
SCOTTS CO            CL A   81018610      15,005,468      274323      272603       1620       100      273323         100        900
ENTERASYS NETWORKS I COM    29363710      14,995,728   3,748,932   3,601,681     147131       120   3,355,092         120     393720
R H DONNELLEY CORP   COM
                     NEW    74955W30      14,970,126      370456      369887        569                324956                  45500
OCEANEERING INTL INC COM    67523210      14,956,838      635920      635920                           600190                  35730
CREDENCE SYS CORP    COM    22530210      14,940,765   1,299,197   1,299,097                  100   1,200,797         100      98300
CIMAREX ENERGY CO    COM    17179810      14,897,058      760054      758722       1014       318      701311         318      58425
NORDSON CORP         COM    65566310      14,894,517      575300      575000        300                528150                  47150
TEKELEC              COM    87910110      14,894,438      949295      946195       3100                871270                  78025
COST PLUS INC CALIF  COM    22148510      14,892,167      402491      402451         40                357231                  45260
IKON OFFICE SOLUTION COM    45171310      14,828,481   2,028,520   2,023,700       4620       200   1,873,420       93000      62100
SELECTIVE INS GROUP  COM    81630010      14,790,320      496153      495953        100       100      450954         100      45099
THORATEC CORP        COM
                     NEW    88517530      14,773,671      869551      869351        200                791601                  77950
UMB FINL CORP        COM    90278810      14,750,625      312712      312607                  105      289307         105      23300
EGL INC              COM    26848410      14,722,931      809397      807267       2130                736807                  72590
RAMBUS INC DEL       COM    75091710      14,721,898      874222      871042       3100        80      868299          80       5843
FLOWERS FOODS INC    COM    34349810      14,720,637      645642      644696        811       135      597657         135      47850
SOUTHWEST GAS CORP   COM    84489510      14,690,917      647177      645277       1900                593177                  54000
PSS WORLD MED INC    COM    69366A10      14,644,390   1,667,926   1,667,666        260             1,562,876                 105050
NEUROCRINE BIOSCIENC COM    64125C10      14,635,727      295731      294791        940                293330                   2401
MODINE MFG CO        COM    60782810      14,635,611      611601      611501                  100      554451         100      57050
FEDERAL SIGNAL CORP  COM    31385510      14,549,149      976453      971003       5250       200      903253         200      73000
WILSON GREATBATCH TE COM    97223210      14,545,814      403490      389060      14430                373940                  29550
DIAGNOSTIC PRODS COR COM    25245010      14,533,743      400048      396748       3300                372048                  28000
PROVIDENT FINL SVCS  COM    74386T10      14,520,137      757836      757836                           692036                  65800
ANIXTER INTL INC     COM    03529010      14,474,046      635663      635343        320                582213                  53450
AFFYMETRIX INC       COM    00826T10      14,465,762      689174      687374       1700       100      678962         100      10112
MANUFACTURED HOME CM COM    56468210      14,440,572      368570      368370        200                327628                  40942
HARLAND JOHN H CO    COM    41269310      14,432,317      545233      545113        120                495883                  49350
TEREX CORP NEW       COM    88077910      14,422,603      778338      778318         20                712238                  66100
ENTEGRIS INC         COM    29362U10      14,420,495   1,276,150   1,276,150                        1,201,550                  74600
NORTHWEST NAT GAS CO COM    66765510      14,417,901      497169      495569       1000       600      451619         600      44950
INTEGRA LIFESCIENCES COM
                     NEW    45798520      14,393,131      508771      508671        100                478921                  29850
WINTRUST FINANCIAL C COM    97650W10      14,328,014      379048      352628      22470      3950      351448        3950      23650
Page Total                               773,794,884


                                                                   Page 24 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
OWENS & MINOR INC NE COM    69073210      14,323,401      594332      594052        280                545932                  48400
TOOTSIE ROLL INDS IN COM    89051610      14,282,909      460739      458471       2156       112      449412         112      11215
AMERICAN CAPITAL STR COM    02493710      14,273,791      574167      572267       1900                572138                   2029
ZORAN CORP           COM    98975F10      14,226,176      726938      725368       1570                658517                  68421
HUGHES SUPPLY INC    COM    44448210      14,211,023      437936      437915         21                401359                  36577
AVISTA CORP          COM    05379B10      14,206,280      911828      911628                  200      831078         200      80550
GLOBESPANVIRATA INC  COM    37957V10      14,186,859   1,964,939   1,959,171       5768             1,786,689                 178250
PROVIDENT BANKSHARES COM    74385910      14,153,421      499415      499415                           454565                  44850
CV THERAPEUTICS INC  COM    12666710      14,142,146      642241      612201      26375      3665      543226        3665      95350
ALASKA AIR GROUP INC COM    01165910      14,138,179      508202      508202                           462250                  45952
HEARTLAND EXPRESS IN COM    42234710      14,130,437      588278      588278                           543178                  45100
PHILADELPHIA CONS HL COM    71752810      14,097,296      308205      308205                           279755                  28450
IMC GLOBAL INC       COM    44966910      14,089,109   2,197,989   2,195,422        845      1722   2,040,467        1722     155800
LA Z BOY INC         COM    50533610      14,071,869      633868      631248       2620                629444                   4424
SYCAMORE NETWORKS IN COM    87120610      14,069,624   2,871,352   2,867,902       3350       100   2,598,452         100     272800
ANDRX CORP DEL       ANDRX
                     GROU   03455310      14,056,391      753290      747304       3160      2826      745506        2926       4858
PEP BOYS MANNY MOE & COM    71327810      14,044,466      917939      909031       8908                827289                  90650
UNIT CORP            COM    90921810      14,043,109      745388      744830        558                676838                  68550
NDCHEALTH CORP       COM    63948010      14,020,619      669242      668942        300                617842                  51400
JDA SOFTWARE GROUP I COM    46612K10      14,019,427      946619      944019       2600                901519                  45100
AMERICAN FINL GROUP  COM    02593210      14,018,701      644538      643238       1300                626152                  18386
YANKEE CANDLE INC    COM    98475710      14,001,234      549499      548733        600       166      505183         166      44150
QUANTA SVCS INC      COM    74762E10      13,960,967   1,688,146   1,683,046                 5100   1,576,546        5100     106500
APOGEE ENTERPRISES I COM    03759810      13,950,211   1,349,150   1,349,050                  100      431811      869639      47700
PARK NATL CORP       COM    70065810      13,927,074      124460      124160        300                123590                    870
W HLDG CO INC        COM    92925110      13,924,750      777919      777739        180                716594                  61325
EXTREME NETWORKS INC COM    30226D10      13,893,224   2,198,295   2,031,610     142095     24590   2,005,155       24590     168550
ARIBA INC            COM    04033V10      13,872,036   4,563,170   4,558,250       4800       120   4,144,430         120     418620
GARTNER INC          COM    36665110      13,835,433   1,255,484   1,247,005       5879      2600   1,124,134        2600     128750
RUDDICK CORP         COM    78125810      13,817,810      889177      888977        100       100      828427         100      60650
PIEDMONT NAT GAS INC COM    72018610      13,807,482      354038      353208        630       200      353038         200        800
SERVICE CORP INTL    COM    81756510      13,807,318   3,021,295   3,017,975       3100       220   3,000,245         220      20830
COMMUNITY BK SYS INC COM    20360710      13,791,691      314090      313490        600                290770                  23320
ST MARY LD & EXPL CO COM    79222810      13,781,245      544283      540978       3305                493283                  51000
TRUSTMARK CORP       COM    89840210      13,779,950      507923      504073       3850                505421                   2502
PRIORITY HEALTHCARE  CL B   74264T10      13,760,882      668004      667284        720                619416                  48588
SOUTHWESTERN ENERGY  COM    84546710      13,752,995      759834      759834                           703684                  56150
TECHNITROL INC       COM    87855510      13,745,716      746644      744644       1500       500      685394         500      60750
AEROFLEX INC         COM    00776810      13,735,876   1,560,895   1,560,495        300       100   1,465,445         100      95350
CH ENERGY GROUP INC  COM    12541M10      13,710,224      311596      310000       1486       110      284780         110      26706
MATTHEWS INTL CORP   CL A   57712810      13,709,760      518916      518916                           469966                  48950
DENDRITE INTL INC    COM    24823910      13,699,661      902481      898004       1977      2500      841181        2500      58800
RARE HOSPITALITY INT COM    75382010      13,691,457      549637      544701       4936                507712                  41925
FOREST CITY ENTERPRI CL A   34555010      13,686,443      312833      310243       2590                310533                   2300
COMMSCOPE INC        COM    20337210      13,653,801   1,132,156   1,132,056                  100   1,049,106         100      82950
ACUITY BRANDS INC    COM    00508Y10      13,639,616      755239      755239                           696339                  58900
SIMPSON MANUFACTURIN COM    82907310      13,637,346      333513      333513                           307613                  25900
ACCENTURE LTD BERMUD CL A   G1150G11      13,632,716      610238      610238                           494159                 116079
KANSAS CITY SOUTHERN COM
                     NEW    48517030      13,622,531   1,230,581   1,179,374       2180     49027   1,070,754       49027     110800
DOUBLECLICK INC      COM    25860930      13,537,524   1,255,800   1,251,260       4440       100   1,240,329         400      15071
TRIMBLE NAVIGATION L COM    89623910      13,529,589      586967      586567        400                540167                  46800
VICURON PHARMACEUTIC COM    92647110      13,523,968      764066      763866        100       100      706705         100      57261
Page Total                               723,225,763


                                                                   Page 25 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CROMPTON CORP        COM    22711610      13,487,334   2,321,400   2,317,013       3140      1247   2,136,803        1247     183350
WATSON WYATT & CO HL CL A   94271210      13,487,001      599156      599156                           551006                  48150
MACDERMID INC        COM    55427310      13,384,572      506033      505833        200                465183                  40850
MCCLATCHY CO         CL A   57948910      13,349,988      224445      221425       2920       100      221668         100       2677
ST JOE CO            COM    79014810      13,321,187      415249      413989       1260                400391                  14858
COHERENT INC         COM    19247910      13,305,544      540217      539717        500                485167                  55050
ADVENT SOFTWARE INC  COM    00797410      13,295,683      826846      823249       3597                772346                  54500
DIME CMNTY BANCSHARE COM    25392210      13,287,997      577739      577739                           537139                  40600
CNET NETWORKS INC    COM    12613R10      13,275,546   1,885,731   1,885,531        100       100   1,688,431         100     197200
KEY ENERGY SVCS INC  COM    49291410      13,252,219   1,373,287   1,372,137       1150             1,367,387                   5900
JOY GLOBAL INC       COM    48116510      13,236,910      830421      830421                           763371                  67050
FIRST COMWLTH FINL C COM    31982910      13,212,929   1,004,022   1,004,022                           919522                  84500
JARDEN CORP          COM    47110910      13,187,924      349349      348849        500                328199                  21150
BLACK BOX CORP DEL   COM    09182610      13,181,767      331117      330917        200                300217                  30900
FEI CO               COM    30241L10      13,162,382      563941      563241        600       100      523041         100      40800
RED HAT INC          COM    75657710      13,154,870   1,315,487   1,310,587       4600       300   1,309,687         300       5500
LENNOX INTL INC      COM    52610710      13,144,996      899726      899526        200                840126                  59600
DIONEX CORP          COM    25454610      13,128,409      333547      333407         40       100      297947         100      35500
TRUST CO NJ JERSEY C COM    89830410      13,120,690      410278      316304      93974                289804       93674      26800
LONGS DRUG STORES CO COM    54316210      13,087,459      650147      648347       1800                589360                  60787
DIGITAL INSIGHT CORP COM    25385P10      13,084,269      657501      657251        250                614451                  43050
CSK AUTO CORP        COM    12596510      13,082,975      848442      848362         80                799442                  49000
GRANITE CONSTR INC   COM    38732810      13,073,141      699847      699847                           644122                  55725
BLYTH INC            COM    09643P10      13,044,587      483491      482585        906                483391                    100
UNITED BANKSHARES IN COM    90990710      13,013,933      434522      433422        500       600      432322         600       1600
FULLER H B CO        COM    35969410      13,000,201      535649      534849        600       200      486949         200      48500
CHIQUITA BRANDS INTL COM    17003280      12,985,127      733623      733623                           675023                  58600
INTERNATIONAL BANCSH COM    45904410      12,975,165      311978      311075        903                311378                    600
ADVANCED MEDICAL OPT COM    00763M10      12,963,474      721797      720372       1359        66      678298          66      43433
EQUITY ONE           COM    29475210      12,938,207      761071      760371        700                678244                  82827
S & T BANCORP INC    COM    78385910      12,912,694      453077      452277        800                415477                  37600
ESS TECHNOLOGY INC   COM    26915110      12,907,562   1,197,362   1,197,262        100             1,139,412                  57950
URBAN OUTFITTERS INC COM    91704710      12,893,914      494778      494778                           459978                  34800
CAL DIVE INTL INC    COM    12791410      12,893,339      660858      659858       1000                601908                  58950
WEBSENSE INC         COM    94768410      12,853,891      601211      600711        500                566961                  34250
OPENWAVE SYS INC     COM    68371810      12,853,555   3,053,101   3,052,641        300       160   2,746,541         160     306400
ATMI INC             COM    00207R10      12,829,381      506090      501950       4140                464840                  41250
KROLL INC            COM    50104910      12,824,569      689493      689493                           637293                  52200
CATALINA MARKETING C COM    14886710      12,821,423      844070      843970        100                789170                  54900
PEROT SYS CORP       CL A   71426510      12,812,190   1,281,219   1,277,969       3250             1,177,319                 103900
BORLAND SOFTWARE COR COM    09984910      12,799,652   1,389,756   1,389,756                        1,262,756                 127000
GETTY IMAGES INC     COM    37427610      12,784,527      363610      362710        100       800      360829         800       1981
POLO RALPH LAUREN CO CL A   73157210      12,774,500      476305      475485        720       100      473399         100       2806
AQUILA INC           COM    03840P10      12,749,755   3,772,117   3,767,067       4570       480   3,536,937         480     234700
ADOLOR CORP          COM    00724X10      12,744,056      694499      649415      45084                640799                  53700
WELLCHOICE INC       COM    94947510      12,673,943      420642      419477         40      1125      405917        1125      13600
CRAY INC             COM    22522310      12,668,328   1,156,925   1,156,925                        1,060,725                  96200
FLORIDA ROCK INDS IN COM    34114010      12,666,649      255376      254596        630       150      252626         150       2600
LIGAND PHARMACEUTICA CL B   53220K20      12,628,725      978971      978963                    8      895163           8      83800
BEARINGPOINT INC     COM    07400210      12,618,909   1,581,317   1,573,757       7460       100   1,572,417         100       8800
LINCOLN ELEC HLDGS I COM    53390010      12,617,027      567823      567743         80                509073                  58750
PENNSYLVANIA RL ESTA SH BEN
                     INT    70910210      12,606,134      376865      376765        100                343303                  33562
Page Total                               676,161,209


                                                                   Page 26 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CHARTER MUN MTG ACCE SH BEN
                     INT    16090810      12,596,733      685350      685330                   20      623280          20      62050
GEORGIA GULF CORP    COM
                     PAR $0 37320020      12,558,797      537850      537750        100                489900                  47950
ADVANCED NEUROMODULA COM    00757T10      12,538,934      314259      313809        450                287559                  26700
FILENET CORP         COM    31686910      12,474,769      621563      621163                  400      569263         400      51900
FTI CONSULTING INC   COM    30294110      12,466,582      718535      718385        150                657610                  60925
CATHAY BANCORP INC   COM    14915010      12,465,446      281705      273705                 8000      243405        8000      30300
GREY GLOBAL GROUP IN COM    39787M10      12,442,462       16348       16348                            15148                   1200
SCHOLASTIC CORP      COM    80706610      12,426,771      431635      430935        600       100      419635         100      11900
VCA ANTECH INC       COM    91819410      12,420,811      527423      527323        100                483523                  43900
SELECT MEDICAL CORP  COM    81619610      12,403,785      430687      430687                           394187                  36500
IHOP CORP            COM    44962310      12,392,761      377253      374753       2500                345403                  31850
KNIGHT TRANSN INC    COM    49906410      12,363,387      490416      490216        200                437766                  52650
MANHATTAN ASSOCS INC COM    56275010      12,347,062      476169      476069        100                444019                  32150
PROQUEST COMPANY     COM    74346P10      12,342,590      469300      407800                61500      373650       61500      34150
LTX CORP             COM    50239210      12,317,201   1,091,370   1,041,640      49630       100   1,017,520         100      73750
TELEFONOS DE MEXICO  SPON
                     ADR O  87940378      12,300,835      402646      402646                           191041      174731      36874
PROGRESS SOFTWARE CO COM    74331210      12,291,442      568259      564177       4082                520459                  47800
CHEMICAL FINL CORP   COM    16373110      12,249,050      395769      395369        400                358862                  36907
BROWN SHOE INC NEW   COM    11573610      12,232,079      385870      385710         60       100      359770         100      26000
PETROLEO BRASILEIRO  SPON-
                     SORED  71654V40      12,193,348      531764      531764                           308731      179775      43258
TELEDYNE TECHNOLOGIE COM    87936010      12,183,980      837387      837060        327                794187                  43200
LIBERTY CORP S C     COM    53037010      12,154,634      289741      288141       1600                260241                  29500
SPORTS AUTH INC NEW  COM    84917U10      12,134,373      385708      385338        370                355601                  30107
MID-AMER APT CMNTYS  COM    59522J10      12,127,682      401845      401845                           363124                  38721
STATION CASINOS INC  COM    85768910      12,100,341      395436      395436                           389322                   6114
EL PASO ELEC CO      COM
                     NEW    28367785      12,069,010   1,044,936   1,044,436        400       100      970286         100      74550
SUMMIT PPTYS INC     COM    86623910      12,057,731      530710      530710                           482963                  47747
TOWN & CTRY TR       SH BEN
                     INT    89208110      12,046,823      512849      512349        500                480463                  32386
WAYPOINT FINL CORP   COM    94675610      12,040,746      600536      599906        630                540529                  60007
TECUMSEH PRODS CO    CL A   87889520      12,011,208      321930      321600        230       100      299630         100      22200
K V PHARMACEUTICAL C CL A   48274020      11,993,692      533053      532303        750                483778                  49275
AEROPOSTALE          COM    00786510      11,976,766      442764      442764                           415314                  27450
G & K SVCS INC       CL A   36126810      11,961,346      342732      342537         75       120      308362         120      34250
COMMERCIAL NET LEASE COM    20221810      11,959,760      702276      701656        620                638226                  64050
WESCO FINL CORP      COM    95081710      11,955,724       35167       34367        100       700       32367         700       2100
FOSSIL INC           COM    34988210      11,951,493      491831      491831                           452989                  38842
TESORO PETE CORP     COM    88160910      11,938,125   1,411,126   1,406,426       4700             1,310,626                 100500
THQ INC              COM
                     NEW    87244340      11,906,408      727331      726831        500                665381                  61950
CURTISS WRIGHT CORP  COM    23156110      11,902,082      168537      166837       1700                152336                  16201
FELCOR LODGING TR IN COM    31430F10      11,901,785   1,148,821   1,148,821                        1,021,316                 127505
SCHOOL SPECIALTY INC COM    80786310      11,893,618      421610      421370        240                397710                  23900
EFUNDS CORP          COM    28224R10      11,891,293      961301      956307       1471      3523      884778        3523      73000
UICI                 COM    90273710      11,860,520      945815      945815                           887265                  58550
SOVRAN SELF STORAGE  COM    84610H10      11,847,677      357396      356696        700                320866                  36530
MAVERICK TUBE CORP   COM    57791410      11,840,021      762888      762588        200       100      701588         100      61200
TOTAL S A            SPON-
                     SORED  89151E10      11,827,907      156041      147811       8230                154141                   1900
REGENERON PHARMACEUT COM    75886F10      11,801,492      667883      667283        400       200      608933         200      58750
LASALLE HOTEL PPTYS  COM SH
                     BEN    51794210      11,784,018      679978      679438        540                635019                  44959
CNA FINL CORP        COM    12611710      11,779,292      560385      560185        200                469885       70100      20400
CASEYS GEN STORES IN COM    14752810      11,762,191      838958      837498        720       740      774168         740      64050
UNITED NAT FOODS INC COM    91116310      11,736,448      353614      352814        800                320764                  32850
WRIGHT MED GROUP INC COM    98235T10      11,714,817      464137      462847       1100       190      442947         190      21000
Page Total                               629,937,848


                                                                   Page 27 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
M D C HLDGS INC      COM    55267610      11,713,410      216915      216563        242       110      216050         110        755
BALDOR ELEC CO       COM    05774110      11,710,392      554732      554452         20       260      498122         260      56350
FRIEDMAN BILLINGS RA CL A   35843410      11,691,739      677782      677782                           674934                   2848
PENN NATL GAMING INC COM    70756910      11,685,705      548110      548110                           503610                  44500
AMERICAN NATL INS CO COM    02859110      11,682,893      137365      136595        770                136540                    825
ROADWAY CORP         COM    76974210      11,668,905      239264      239264                           216414                  22850
CARPENTER TECHNOLOGY COM    14428510      11,665,675      544108      542008       2100                503008                  41100
HEADWATERS INC       COM    42210P10      11,656,323      723097      723097                           684147                  38950
HARLEYSVILLE GROUP I COM    41282410      11,648,287      500356      499956                  400      456106         400      43850
NETSCREEN TECHNOLOGI COM    64117V10      11,622,599      522834      522094        740                519331                   3503
NOKIA CORP           SPON-
                     SORED  65490220      11,619,894      744865      651625      93240                729865                  15000
JACK IN THE BOX INC  COM    46636710      11,543,246      648497      647897        600                591955                  56542
ULTRATECH INC        COM    90403410      11,521,266      408266      408266                           365016                  43250
HORACE MANN EDUCATOR COM    44032710      11,514,439      793552      793466         86                739402                  54150
TELIK INC            COM    87959M10      11,512,352      573610      571910       1700                492310                  81300
U S G CORP           COM
                     NEW    90329340      11,490,115      666480      666348                  132      605648         132      60700
PALM INC             COM
                     NEW    69664220      11,483,759      594090      586366       7203       521      472050        6089     115951
NEKTAR THERAPEUTICS  COM    64026810      11,483,072      897115      892815       4100       200      810465         200      86450
SEACOR SMIT INC      COM    81190410      11,468,675      317077      316727        350                290227                  26850
FIRST CTZNS BANCSHAR CL A   31946M10      11,454,920      108372      108372                           100442                   7930
AMSURG CORP          COM    03232P40      11,453,776      346979      346979                           316429                  30550
EXAR CORP            COM    30064510      11,430,357      814128      810128       4000                755278                  58850
CONMED CORP          COM    20741010      11,418,130      553204      552664        540                505904                  47300
VINTAGE PETE INC     COM    92746010      11,413,957   1,049,077   1,049,077                           977477                  71600
MICROS SYS INC       COM    59490110      11,393,388      335890      322650      11175      2065      309875        2065      23950
ASK JEEVES INC       COM    04517410      11,384,102      654635      654535        100                600835                  53800
WESTERN GAS RES INC  COM    95825910      11,380,506      299487      299487                           298387                   1100
ERIE INDTY CO        CL A   29530P10      11,366,035      292186      291386        800                290186                   2000
NII HLDGS INC        CL B
                     NEW    62913F20      11,364,456      191482      191482                           171182                  20300
BANKUNITED FINL CORP CL A   06652B10      11,345,434      535162      535162                           493712                  41450
PRICELINE COM INC    COM
                     NEW    74150340      11,328,562      390102      389786        300        16      349988          16      40098
NBT BANCORP INC      COM    62877810      11,314,242      558728      558328        400                513146                  45582
OTTER TAIL CORP      COM    68964810      11,313,532      434134      431669        465      2000      391506        2000      40628
TEXAS INDS INC       COM    88249110      11,312,408      459854      459854                           428454                  31400
CYBERONICS INC       COM    23251P10      11,305,599      366470      366310        160                329270                  37200
INVERESK RESH GROUP  COM    46123810      11,304,376      569490      569490                           551390                  18100
GROUP 1 AUTOMOTIVE I COM    39890510      11,303,767      327266      327186         80                299416                  27850
KIRBY CORP           COM    49726610      11,290,092      393383      392863        520                365083                  28300
HANCOCK HLDG CO      COM    41012010      11,289,009      228754      228554        200                206454                  22300
AMERICAN ITALIAN PAS CL A   02707010      11,260,917      291055      290935        120                264955                  26100
ACTUANT CORP         CL A
                     NEW    00508X20      11,231,628      200029      199889        140                184229                  15800
REINSURANCE GROUP AM COM    75935110      11,231,433      275618      275278        340                260866                  14752
PRICE COMMUNICATIONS COM
                     NEW    74143730      11,218,156      904690      904140        550                823740                  80950
SENIOR HSG PPTYS TR  SH BEN
                     INT    81721M10      11,202,103      777384      777324         60                710167                  67217
HARBOR FLA BANCSHARE COM    41190110      11,196,373      419969      419689        280                391470                  28499
GENESIS HEALTH VENTU COM    37183F10      11,185,431      462017      461652                  365      415152         365      46500
ESPERION THERAPEUTIC COM    29664R10      11,184,247      574140      573340        800                529190                  44950
GEMSTAR-TV GUIDE INT COM    36866W10      11,175,296   2,362,642   2,351,642      11000             2,354,398         900       7344
CUNO INC             COM    12658310      11,162,566      284832      284792         40                256282                  28550
ARMOR HOLDINGS INC   COM    04226010      11,152,719      665834      665834                           629034                  36800
WINNEBAGO INDS INC   COM    97463710      11,117,761      249389      248889        500                230934                  18455
HANOVER COMPRESSOR C COM    41076810      11,092,197   1,120,424   1,120,324                  100   1,042,824         100      77500
Page Total                               592,960,221


                                                                   Page 28 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
BRADY CORP           CL A   10467410      11,051,875      347434      343994       3340       100      313284         100      34050
UNISOURCE ENERGY COR COM    90920510      11,043,259      580613      580273        100       240      537673         240      42700
DOLLAR THRIFTY AUTOM COM    25674310      11,038,307      485841      485601        240                367911                 117930
RELIANCE STEEL & ALU COM    75950910      11,029,872      497065      495265       1800                460865                  36200
MANITOWOC INC        COM    56357110      11,003,922      507327      506327        900       100      464877         100      42350
PAPA JOHNS INTL INC  COM    69881310      10,973,587      442305      440961       1344                417606                  24699
STEWART INFORMATION  COM    86037210      10,957,317      388007      388007                           361537                  26470
MAXIMUS INC          COM    57793310      10,956,856      318051      318051                           289551                  28500
SONIC AUTOMOTIVE INC CL A   83545G10      10,949,657      455098      455038         60                415298                  39800
ILEX ONCOLOGY INC    COM    45192310      10,930,904      651813      651813                           601263                  50550
GREY WOLF INC        COM    39788810      10,912,319   3,135,724   3,010,434     125290             2,878,024                 257700
MB FINANCIAL INC NEW COM    55264U10      10,909,124      245701      239801       5900                230201                  15500
SOTHEBYS HLDGS INC   CL A   83589810      10,887,603   1,006,248   1,003,248       3000                922948                  83300
SELECT COMFORT CORP  COM    81616X10      10,874,473      409739      408939        800                380539                  29200
ERESEARCHTECHNOLOGY  COM    29481V10      10,861,833      313292      312792        500                286242                  27050
TAIWAN SEMICONDUCTOR SPON-
                     SORED  87403910      10,855,829   1,002,385      937780      64605                924851                  77534
NEWPORT CORP         COM    65182410      10,853,390      769744      768924        800        20      701674          20      68050
ABM INDS INC         COM    00095710      10,851,252      766873      766673        200                715923                  50950
OVERSEAS SHIPHOLDING COM    69036810      10,841,179      419388      418788        600                378188                  41200
MERCURY COMPUTER SYS COM    58937810      10,829,496      507712      507712                           458272                  49440
SPINNAKER EXPL CO    COM    84855W10      10,825,464      451061      450661        400                407911                  43150
ARGOSY GAMING CO     COM    04022810      10,824,864      443642      443542        100                406842                  36800
NETBANK INC          COM    64093310      10,824,600      865968      861968       4000                781168                  84800
ELECTRO SCIENTIFIC I COM    28522910      10,819,531      513992      513992                           465142                  48850
PROASSURANCE CORP    COM    74267C10      10,808,718      418456      418456                           381556                  36900
AMCORE FINL INC      COM    02391210      10,793,111      428979      428579        400                393129                  35850
ARKANSAS BEST CORP D COM    04079010      10,766,893      391951      391951                           359451                  32500
BARRA INC            COM    06831310      10,759,085      286756      286206        550                261006                  25750
ARROW INTL INC       COM    04276410      10,743,852      466921      462921       4000                431749                  35172
CITY HLDG CO         COM    17783510      10,740,777      323810      323510        300                299585                  24225
CHARMING SHOPPES INC COM    16113310      10,695,149   1,873,056   1,873,056                        1,653,106                 219950
WABASH NATL CORP     COM    92956610      10,691,380      670306      670306                           624806                  45500
EMCOR GROUP INC      COM    29084Q10      10,676,858      250925      250925                           225709                  25216
WASHINGTON GROUP INT COM
                     NEW    93886220      10,662,408      394904      394904                           360104                  34800
LEXINGTON CORP PPTYS COM    52904310      10,649,607      555825      555825                           510275                  45550
COMPANHIA DE BEBIDAS SPON
                     ADR P  20441W20      10,645,802      491723      491723                           276741      164105      50877
WAUSAU-MOSINEE PAPER COM    94331510      10,644,250      871765      870865        900                804065                  67700
MILLENNIUM CHEMICALS COM    59990310      10,636,102   1,113,728   1,113,728                        1,020,478                  93250
CVB FINL CORP        COM    12660010      10,625,354      558935      558935                           512450                  46485
BIO RAD LABS INC     CL A   09057220      10,586,274      207574      207574                           207474                    100
KT CORP              SPON-
                     SORED  48268K10      10,548,669      529286      529286                           423075       80188      26023
HOLLINGER INTL INC   CL A   43556910      10,545,776      853909      853709        200                771459                  82450
SPARTECH CORP        COM
                     NEW    84722020      10,522,157      493998      452498      36695      4805      457293        4805      31900
GENTA INC            COM
                     NEW    37245M20      10,517,202      830087      830087                           761437                  68650
KOPIN CORP           COM    50060010      10,496,226   1,523,400   1,316,300       1000    206100   1,207,600      206100     109700
PACIFIC NORTHWEST BA COM    69466M10      10,474,576      293817      293817                           261767                  32050
WESTPORT RES CORP NE COM    96141810      10,470,144      444781      443921        860                398044       17200      29537
TALBOTS INC          COM    87416110      10,454,895      299997      299417        180       400      298449         400       1148
IOMEGA CORP          COM
                     NEW    46203030      10,442,201      937361      935061       2300                856811                  80550
STEEL DYNAMICS INC   COM    85811910      10,413,815      684669      681599       3070                632919                  51750
JO-ANN STORES INC    CL A   47758P10      10,411,889      373186      373186                           351286                  21900
REMEC INC            COM    75954310      10,399,552   1,019,564   1,015,064       4500                906864                 112700
Page Total                               558,729,235


                                                                   Page 29 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
VIASYS HEALTHCARE IN COM
                     NEW    92553Q20      10,397,889      514747      513483       1229        35      468766         129      45852
NATIONAL PENN BANCSH COM    63713810      10,358,381      374625      374310        315                338672                  35953
KELLY SVCS INC       CL A   48815220      10,355,780      415561      411638       3923                376486                  39075
CORUS BANKSHARES INC COM    22087310      10,349,877      193528      193528                           177778                  15750
EASTGROUP PPTY INC   COM    27727610      10,336,549      372086      372086                           336284                  35802
INTERNET SEC SYS INC COM    46060X10      10,325,375      826030      823450       2580                766931                  59099
MOVIE GALLERY INC    COM    62458110      10,324,625      521973      521973                           486323                  35650
COMMERCIAL METALS CO COM    20172310      10,293,684      560353      560353                           513743                  46610
AMERICAN MGMT SYS IN COM    02735210      10,291,374      803386      801386       2000                732486                  70900
UNITED NATL BANCORP  COM    91090910      10,287,660      309776      309476        300                278476                  31300
LABRANCHE & CO INC   COM    50544710      10,243,360      701600      701500                  100      699802         100       1698
LONGVIEW FIBRE CO    COM    54321310      10,218,726   1,045,929   1,045,929                           968279                  77650
MOOG INC             CL A   61539420      10,213,011      260536      260536                           237536                  23000
ENZON PHARMACEUTICAL COM    29390410      10,208,093      876984      854604      22380                806484                  70500
FRONTIER OIL CORP    COM    35914P10      10,180,249      692534      692534                           647084                  45450
JONES LANG LASALLE I COM    48020Q10      10,172,391      549859      549859                           501959                  47900
CONNECTICUT BANCSHAR COM    20754010      10,169,178      198423      198323        100                181523                  16900
COLUMBIA SPORTSWEAR  COM    19851610      10,165,030      192702      191802        550       350      190952         350       1400
RYANS FAMILY STEAK H COM    78351910      10,102,258      789856      784336       4080      1440      720391        1440      68025
BEVERLY ENTERPRISES  COM
                     NEW    08785130      10,101,899   1,706,402   1,706,402                        1,537,002                 169400
HECLA MNG CO         COM    42270410      10,091,197   1,925,801   1,925,801                        1,726,601                 199200
CHECKPOINT SYS INC   COM    16282510      10,078,835      637901      636901       1000                586951                  50950
AZTAR CORP           COM    05480210      10,071,057      568665      567795         20       850      518215         850      49600
RADIO ONE INC        CL D
                     NON V  75040P40      10,037,410      698984      685624      12760       600      695882         600       2502
NOVASTAR FINL INC    COM    66994740      10,028,285      174496      173846        650                160346                  14150
MKS INSTRUMENT INC   COM    55306N10      10,024,161      462796      462496        300                418896                  43900
CENTENE CORP DEL     COM    15135B10       9,998,310      329000      329000                           306350                  22650
MGE ENERGY INC       COM    55277P10       9,998,290      330522      327272       2800       450      295023         450      35049
ECLIPSYS CORP        COM    27885610       9,995,337      620867      618827                 2040      546467        2040      72360
AMERICAN HEALTHWAYS  COM    02649V10       9,981,830      238173      238173                           219223                  18950
ISLE OF CAPRI CASINO COM    46459210       9,966,331      503096      502716        380                473146                  29950
ATHEROGENICS INC     COM    04743910       9,953,786      597825      597825                           544175                  53650
KULICKE & SOFFA INDS COM    50124210       9,951,956      917231      917231                           831881                  85350
WMS INDS INC         COM    92929710       9,951,614      439171      439171                           397921                  41250
WFS FINL INC         COM    92923B10       9,944,776      268560      268560                           251560                  17000
ALIGN TECHNOLOGY INC COM    01625510       9,929,825      793751      760638       6600     26513      698038       26513      69200
TIMKEN CO            COM    88738910       9,928,006      651444      650374       1070                622454                  28990
ESPEED INC           CL A   29664310       9,919,029      438701      438701                           403001                  35700
FINANCIAL FED CORP   COM    31749210       9,914,621      324963      324963                           302763                  22200
FIRST CHARTER CORP   COM    31943910       9,900,646      505135      505135                           461585                  43550
ANTEON INTL CORP     COM    03674E10       9,887,869      323133      323133                           297133                  26000
SCHULMAN A INC       COM    80819410       9,871,060      621995      621495        500                568095                  53900
US ONCOLOGY INC      COM    90338W10       9,868,697   1,350,027   1,349,927                  100   1,235,777         100     114150
ENTERTAINMENT PPTYS  COM SH
                     BEN    29380T10       9,861,570      328719      328719                           301069                  27650
QUANEX CORP          COM    74762010       9,858,374      293404      293404                           268204                  25200
LOEWS CORP           CARO-
                     LNA GP 54042420       9,846,852      428124      414304      13820                409795                  18329
PFF BANCORP INC      COM    69331W10       9,837,434      308577      308577                           281417                  27160
ACTEL CORP           COM    00493410       9,834,795      410296      410296                           375846                  34450
KINDRED HEALTHCARE I COM    49458010       9,827,251      262480      261380       1100                243180                  19300
HUDSON RIV BANCORP I COM    44412810       9,805,142      305076      302976       2100                280026                  25050
SIX FLAGS INC        COM    83001P10       9,803,509   1,863,785   1,858,565       5120       100   1,732,385         100     131300
ASYST TECHNOLOGY COR COM    04648X10       9,795,770      696712      696712                           596982                  99730
Page Total                               522,859,014


                                                                   Page 30 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
NATIONAL HEALTH INVS COM    63633D10       9,793,502      537219      537219                           505969                  31250
REDWOOD TR INC       COM    75807540       9,768,875      230398      229598        800                212812                  17586
IDT CORP             COM    44894710       9,748,592      551391      547911       3480                547590         100       3701
ONYX PHARMACEUTICALS COM    68339910       9,745,627      451814      451814                           417214                  34600
SEACOAST FINL SVCS C COM    81170Q10       9,722,714      466765      461289       2876      2600      429865        2600      34300
LAWSON SOFTWARE INC  COM    52078010       9,716,703   1,370,480   1,370,480                        1,301,380                  69100
GENLYTE GROUP INC    COM    37230210       9,688,671      217381      217081        300                196031                  21350
LACLEDE GROUP INC    COM    50559710       9,674,441      358180      355080       3100                330280                  27900
WD-40 CO             COM    92923610       9,670,857      304115      303815        300                277065                  27050
AVX CORP NEW         COM    00244410       9,645,193      704543      698768        900      4875      698644        4875       1024
WESTELL TECHNOLOGIES CL A   95754110       9,636,881   1,286,633   1,286,633                        1,218,933                  67700
AMLI RESIDENTIAL PPT SH BEN
                     INT    00173510       9,630,229      367566      367566                           328400                  39166
CMGI INC             COM    12575010       9,625,479   6,218,010   6,215,980       1825       205   5,668,505         205     549300
DIGENE CORP          COM    25375210       9,596,624      234866      234866                           212366                  22500
AMERICA MOVIL S A DE SPON
                     ADR L  02364W10       9,560,352      413689      413689                           213584      162992      37113
JOURNAL REGISTER CO  COM    48113810       9,548,493      509253      506773       2480                467253                  42000
KOMAG INC            COM
                     NEW    50045320       9,546,174      544873      544873                           515373                  29500
CROWN CASTLE INTL CO COM    22822710       9,542,436   1,014,074   1,008,758       5216       100   1,008,821         100       5153
WESBANCO INC         COM    95081010       9,525,490      405340      401940       3400                375790                  29550
DRS TECHNOLOGIES INC COM    23330X10       9,488,977      393244      392644        500       100      359244         100      33900
M/I SCHOTTENSTEIN HO COM    55305B10       9,484,501      239085      239085                           189010                  50075
VALUECLICK INC       COM    92046N10       9,463,809   1,126,644   1,126,544        100             1,024,344                 102300
TUESDAY MORNING CORP COM
                     NEW    89903550       9,455,520      339516      339516                           319366                  20150
PEOPLES BK BRIDGEPOR COM    71019810       9,447,990      314933      303243       5440      6250      307743        6250        940
HARLEYSVILLE NATL CO COM    41285010       9,433,491      403313      403313                           367942                  35371
VEECO INSTRS INC DEL COM    92241710       9,429,786      472671      468456       4215                431272                  41399
APOLLO GROUP INC     COM
                     UNV PH 03760420       9,428,804      141425      140692        733                139592                   1833
INFOSPACE INC        COM
                     NEW    45678T20       9,423,766      461723      461705                   18      422805          18      38900
LIN TV CORP          CL A   53277410       9,420,624      443115      443115                           406015                  37100
PINNACLE SYS INC     COM    72348110       9,377,321   1,120,349   1,120,249        100             1,021,549                  98800
NEWCASTLE INVT CORP  COM    65105M10       9,359,366      407106      407106                           377506                  29600
SMITH A O            COM    83186520       9,357,244      334068      334048         20                304219                  29849
ANCHOR BANCORP WIS I COM    03283910       9,346,965      398082      397962        120                356732                  41350
TANOX INC            COM    87588Q10       9,331,818      467526      465426       2100                417554                  49972
CONNETICS CORP       COM    20819210       9,326,940      516728      516628        100                474228                  42500
POLYMEDICA CORP      COM    73173810       9,326,410      351940      350540       1400                321340                  30600
WEBEX COMMUNICATIONS COM    94767L10       9,319,545      493620      493620                           453720                  39900
TALK AMERICA HLDGS I COM
                     NEW    87426R20       9,303,170      811795      811795                           771529                  40266
ALLIANCE DATA SYSTEM COM    01858110       9,285,355      351718      351418        300                335018                  16700
GLOBAL IMAGING SYSTE COM    37934A10       9,277,157      376967      376467        500                357567                  19400
QUANTUM CORP         COM
                     DSSG   74790620       9,272,497   3,010,551   3,010,551                        2,769,201                 241350
SCIENTIFIC GAMES COR CL A   80874P10       9,260,733      812345      812345                           740945                  71400
CAPITOL FED FINL     COM    14057C10       9,249,151      315563      312063       3500                315563
BANDAG INC           COM    05981510       9,247,956      274176      273976                  200      250676         200      23300
WESTCORP INC         COM    95790710       9,240,535      264393      264393                           242583                  21810
VENTANA MED SYS INC  COM    92276H10       9,232,624      229325      229325                           211375                  17950
COX RADIO INC        CL A   22405110       9,224,088      421769      417049       4720                418755                   3014
AAIPHARMA INC        COM    00252W10       9,218,553      537525      537525                           503850                  33675
BEDFORD PPTY INVS IN COM
                     PAR $0 07644630       9,204,542      354703      354703                           313005                  41698
WABTEC CORP          COM    92974010       9,199,815      580430      580430                           529780                  50650
CANON INC            ADR    13800630       9,198,336      188800      163364      25436                183594                   5206
USEC INC             COM    90333E10       9,198,125   1,408,595   1,408,595                        1,294,045                 114550
Page Total                               491,222,847


                                                                   Page 31 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
BOWNE & CO INC       COM    10304310       9,192,814      614904      614744        160                570404                  44500
ESCO TECHNOLOGIES IN COM    29631510       9,177,496      202728      202727          1                183528                  19200
UMPQUA HLDGS CORP    COM    90421410       9,120,807      479790      479490        300                438205                  41585
PLANAR SYS INC       COM    72690010       9,113,493      428467      428267        200                406417                  22050
SHOPKO STORES INC    COM    82491110       9,110,040      607336      607336                           561736                  45600
BURLINGTON COAT FACT COM    12157910       9,109,555      487142      477176       9966                461892                  25250
FIRST FINL BANKSHARE COM    32020R10       9,102,656      246284      246284                           223559                  22725
SOHU COM INC         COM    83408W10       9,096,889      291754      291654        100                263054                  28700
REGAL ENTMT GROUP    CL A   75876610       9,081,877      488273      488273                           428273                  60000
WARNACO GROUP INC    CL A
                     NEW    93439040       9,057,536      581730      581730                           534030                  47700
LNR PPTY CORP        COM    50194010       9,045,936      220902      220902                           220802                    100
CONSOLIDATED GRAPHIC COM    20934110       9,044,052      355645      209496     146149                187446      146149      22050
TOO INC              COM    89033310       9,043,085      613923      613755        168                563073                  50850
WOODWARD GOVERNOR CO COM    98074510       9,016,442      207800      207780         20                195600                  12200
BOSTON PRIVATE FINL  COM    10111910       9,012,807      382547      362897        150     19500      335197       19500      27850
UNITED DEFENSE INDS  COM    91018B10       8,988,756      316617      316457        160                294167       22000        450
CORNERSTONE RLTY INC COM    21922V10       8,988,321   1,112,416   1,112,416                        1,010,016                 102400
CUBIC CORP           COM    22966910       8,977,059      357367      356467        900                329667                  27700
AARON RENTS INC      COM    00253520       8,967,291      428033      427883        150                396758                  31275
QUEST SOFTWARE INC   COM    74834T10       8,965,835      737322      736422        900                677322                  60000
PHOTON DYNAMICS INC  COM    71936410       8,957,833      308147      306462       1685                277097                  31050
ENZO BIOCHEM INC     COM    29410010       8,956,124      459053      459053                           424823                  34230
SHUFFLE MASTER INC   COM    82554910       8,948,473      329109      329109                           299659                  29450
PRIME HOSPITALITY CO COM    74191710       8,942,818   1,029,093   1,028,493        600                847693                 181400
CAMBREX CORP         COM    13201110       8,938,942      393786      391846       1840       100      355386         100      38300
JLG INDS INC         COM    46621010       8,938,920      775948      775948                           710748                  65200
WIND RIVER SYSTEMS I COM    97314910       8,932,839   1,569,919   1,569,819                  100   1,313,619         100     256200
ROGERS CORP          COM    77513310       8,919,614      287544      287544                           265194                  22350
INDEPENDENT BANK COR COM    45383810       8,910,372      304316      304316                           278326                  25990
HOUSTON EXPL CO      COM    44212010       8,904,027      253676      253476        200                235725                  17951
BLACKROCK INC        CL A   09247X10       8,898,792      181608      181408        200                180916                    692
RAMCO-GERSHENSON PPT COM SH
                     BEN    75145220       8,896,607      349572      349117        455                335872                  13700
MICROSEMI CORP       COM    59513710       8,896,142      587592      587592                           534992                  52600
EMPIRE DIST ELEC CO  COM    29164110       8,891,146      404143      403923        120       100      357743         100      46300
GYMBOREE CORP        COM    40377710       8,884,519      630555      630555                           587755                  42800
NCO GROUP INC        COM    62885810       8,872,859      379994      379294        700                338294                  41700
PAXAR CORP           COM    70422710       8,851,558      691528      691468         60                644328                  47200
GLENBOROUGH RLTY TR  COM    37803P10       8,846,056      469038      468538        500                430457                  38581
NAVIGANT CONSULTING  COM    63935N10       8,832,806      717531      716231       1300                655381                  62150
ELKCORP              COM    28745610       8,813,960      374107      374107                           341007                  33100
REGAL BELOIT CORP    COM    75875010       8,813,779      432048      431948        100                393598                  38450
CARAUSTAR INDS INC   COM    14090910       8,810,829   1,022,138      511494     510644                975888                  46250
POWERWAVE TECHNOLOGI COM    73936310       8,807,920   1,326,494   1,326,494                        1,220,094                 106400
HAIN CELESTIAL GROUP COM    40521710       8,805,795      485703      481748       1955      2000      410423        2000      73280
FRONTIER AIRLINES IN COM    35906510       8,805,609      535621      535421        200                489821                  45800
RUSSELL CORP         COM    78235210       8,805,015      540185      540085        100                492805                  47380
OM GROUP INC         COM    67087210       8,794,687      600730      597590       2700       440      561490         440      38800
ROLLINS INC          COM    77571110       8,789,072      492661      492601         60                457761                  34900
BOYD GAMING CORP     COM    10330410       8,782,954      575554      575554                           529954                  45600
INTERMUNE INC        COM    45884X10       8,751,152      457457      457457                           405487                  51970
BRADLEY PHARMACEUTIC COM    10457610       8,738,775      320689      320689                           307789                  12900
COHU INC             COM    19257610       8,735,143      446582      442462       4120                391422                  55160
Page Total                               464,687,884


                                                                   Page 32 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
FIRST FINL BANCORP O COM    32020910       8,733,814      592123      588868       3255                541173                  50950
ALLEGHANY CORP DEL   COM    01717510       8,719,474       44658       42510       2148                 43168        1326        164
KOGER EQUITY INC     COM    50022810       8,715,905      463612      463612                           402566                  61046
PLAINS EXPL & PRODTN COM    72650510       8,709,085      698403      697818        400       185      630543         185      67675
SPS TECHNOLOGIES INC COM    78462610       8,699,085      193313      192413        300       600      175763         600      16950
MAGNUM HUNTER RES IN COM
                     PAR $0 55972F20       8,671,666   1,085,315   1,085,315                        1,009,916                  75399
CROWN AMERN RLTY TR  SH BEN
                     INT    22818610       8,663,426      728019      728019                           642563                  85456
STERLING BANCSHARES  COM    85890710       8,661,335      726013      726013                           665863                  60150
SUNRISE SENIOR LIVIN COM    86768K10       8,656,791      330034      329734        300                302784                  27250
INTERDIGITAL COMMUNI COM    45866A10       8,649,855      575506      574706        700       100      572252         100       3154
VIGNETTE CORP        COM    92673410       8,646,656   3,759,416   3,759,156        100       160   3,376,706         160     382550
SYMYX TECHNOLOGIES   COM    87155S10       8,637,733      401009      401009                           363909                  37100
MID-STATE BANCSHARES COM    59544010       8,621,415      383174      383174                           351674                  31500
FLORIDA EAST COAST I CL A   34063210       8,613,960      299616      295073        543      4000      264016        4000      31600
ANWORTH MORTGAGE ASS COM    03734710       8,608,940      602867      600467        600      1800      564167        1800      36900
POSCO                SPON-
                     SORED  69348310       8,608,600      301000      301000                           301000
BRIGHT HORIZON FAMIL COM    10919510       8,579,422      214754      205729       9025                192304                  22450
BIOMARIN PHARMACEUTI COM    09061G10       8,572,528   1,119,129   1,119,129                        1,025,329                  93800
GRIFFON CORP         COM    39843310       8,570,709      477211      477211                           439261                  37950
SOURCECORP           COM    83616710       8,569,573      368267      368167                  100      346017         100      22150
UNITED SURGICAL PART COM    91301630       8,560,887      302398      302398                           277848                  24550
MICROMUSE INC        COM    59509410       8,557,891   1,046,197   1,041,207       4930        60      930597          60     115540
KOS PHARMACEUTICALS  COM    50064810       8,551,439      247796      247796                           227196                  20600
LONE STAR STEAKHOUSE COM    54230710       8,508,787      407119      399619                 7500      366353        7500      33266
CARBO CERAMICS INC   COM    14078110       8,508,448      235300      234500        800                212050                  23250
MFA MTG INVTS INC    COM    55272X10       8,504,901      893372      893372                           832422                  60950
ADVISORY BRD CO      COM    00762W10       8,498,104      186977      186977                           172227                  14750
COEUR D ALENE MINES  COM    19210810       8,497,667   2,732,369   2,731,941        400        28   2,523,141          28     209200
MICROSTRATEGY INC    CL A
                     NEW    59497240       8,458,388      183918      183918                           162218                  21700
INSIGHT COMMUNICATIO CL A   45768V10       8,425,901      884145      881645       2500                816308                  67837
TREDEGAR CORP        COM    89465010       8,424,658      559778      559478        300                518778                  41000
UIL HLDG CORP        COM    90274810       8,415,444      240510      239710        700       100      217084         100      23326
PARKWAY PPTYS INC    COM    70159Q10       8,409,802      192444      192444                           173481                  18963
C&D TECHNOLOGIES INC COM    12466110       8,392,722      443590      443590                           404490                  39100
K-SWISS INC          CL A   48268610       8,382,934      232924      232824        100                215224                  17700
URS CORP NEW         COM    90323610       8,382,177      432071      432071                           393421                  38650
ALFA CORP            COM    01538510       8,366,025      662918      662718        200                586218                  76700
LANDRYS RESTAURANTS  COM    51508L10       8,365,886      406111      405991         20       100      371511         100      34500
AMERICAN MED SYS HLD COM    02744M10       8,364,790      383706      382906        800                355506                  28200
WATSCO INC           COM    94262220       8,358,847      437407      437407                           409307                  28100
AKAMAI TECHNOLOGIES  COM    00971T10       8,358,284   1,948,318   1,823,693         25    124600   1,629,768      124600     193950
LITTELFUSE INC       COM    53700810       8,338,512      362544      362544                           327995                  34549
LEAPFROG ENTERPRISES CL A   52186N10       8,335,300      219350      219250        100                218650                    700
PREMCOR INC          COM    74045Q10       8,303,062      358354      356344        560      1450      356904        1450
LITHIA MTRS INC      CL A   53679710       8,302,587      415753      214262     201491                196062      201491      18200
FORWARD AIR CORP     COM    34985310       8,294,433      299222      262147      37075                279772                  19450
SUPERIOR ENERGY SVCS COM    86815710       8,286,203      845531      845011                  520      775811         520      69200
ITRON INC            COM    46574110       8,234,208      410479      410479                           378429                  32050
SERENA SOFTWARE INC  COM    81749210       8,234,161      446296      446196        100                413146                  33150
INSPIRE PHARMACEUTIC COM    45773310       8,233,100      476177      476177                           433377                  42800
ALABAMA NATL BANCORP COM    01031710       8,230,847      173281      173081        200                155431                  17850
UNITED CMNTY BKS BLA CAP
                     STK    90984P10       8,220,254      296653      296653                           272303                  24350
Page Total                               441,216,621


                                                                   Page 33 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SOUTH JERSEY INDS IN COM    83851810       8,218,635      217137      215637       1500                192109                  25028
COMSTOCK RES INC     COM
                     NEW    20576820       8,217,228      615062      614962        100                576412                  38650
TIBCO SOFTWARE INC   COM    88632Q10       8,215,759   1,535,656   1,524,258      11298       100   1,407,756         100     127800
GLACIER BANCORP INC  COM    37637Q10       8,199,457      298923      298923                           271643                  27280
IMMUCOR INC          COM    45252610       8,198,216      304201      301601                 2600      283851        2600      17750
FIRST CMNTY BANCORP  COM    31983B10       8,135,910      242863      242863                           224363                  18500
TETRA TECHNOLOGIES I COM    88162F10       8,125,146      394042      394042                           358342                  35700
MERISTAR HOSPITALITY COM    58984Y10       8,115,329   1,146,233   1,145,903        330             1,026,850                 119383
SUREWEST COMMUNICATI COM    86873310       8,108,478      243864      242764       1100                224364                  19500
ASTRAZENECA PLC      SPON-
                     SORED  04635310       8,098,049      186591      185961        630                186591
LANDAUER INC         COM    51476K10       8,061,742      227540      187003      40537                171595       40537      15408
GRAFTECH INTL LTD    COM    38431310       8,061,584   1,007,698   1,007,598        100                910948                  96750
MEDAREX INC          COM    58391610       8,059,630   1,366,039   1,365,939                  100   1,186,109         100     179830
BANK MUT CORP        COM    06374810       8,049,241      189617      189117        500                173817                  15800
SAXON CAPITAL INC    COM    80556P30       8,047,504      469516      469516                           428866                  40650
METHODE ELECTRS INC  CL A   59152020       8,036,987      682257      680657       1600                635107                  47150
COMTECH TELECOMMUNIC COM
                     NEW    20582620       8,028,368      335915      335615        300                318365                  17550
ELECTRONICS BOUTIQUE COM    28604510       8,019,313      280690      280290        400                262090                  18600
FINISH LINE INC      CL A   31792310       8,016,134      304796      304796                           278796                  26000
CELL GENESYS INC     COM    15092110       8,008,629      636616      636516                  100      542866         100      93650
IDENTIX INC          COM    45190610       8,006,426   1,519,246   1,519,246                        1,319,780                 199466
FUELCELL ENERGY INC  COM    35952H10       8,001,349      683876      629676        200     54000      541456       54000      88420
MID-ATLANTIC RLTY TR SH BEN
                     INT    59523210       7,993,524      380644      380644                           342378                  38266
AGERE SYS INC        CL A   00845V10       7,990,313   2,602,708   2,571,731       5813     25164   2,384,382       25164     193162
MINDSPEED TECHNOLOGI COM    60268210       7,986,562   1,481,737   1,475,305       3032      3400   1,342,099        3400     136238
GERON CORP           COM    37416310       7,986,417      583376      583376                           541276                  42100
SPEEDWAY MOTORSPORTS COM    84778810       7,978,618      270370      270270        100                250170                  20200
NUVEEN INVTS INC     CL A   67090F10       7,971,067      289857      289377        480                288327         150       1380
FRONTIER FINL CORP W COM    35907K10       7,965,449      266403      266403                           242653                  23750
MONACO COACH CORP    COM    60886R10       7,958,961      480904      480894         10                443704                  37200
SANDY SPRING BANCORP COM    80036310       7,951,557      242944      242944                           221544                  21400
STEWART & STEVENSON  COM    86034210       7,949,965      529292      528082       1210                485842                  43450
PACER INTL INC TENN  COM    69373H10       7,948,140      397407      397407                           366007                  31400
F5 NETWORKS INC      COM    31561610       7,942,483      412811      410586        100      2125      372486        2125      38200
HELIX TECHNOLOGY COR COM    42331910       7,933,683      484944      484844                  100      444594         100      40250
GUITAR CTR MGMT INC  COM    40204010       7,926,416      246315      246215        100                221515                  24800
TULARIK INC          COM    89916510       7,899,420      789942      783962       5900        80      716187          80      73675
BELDEN INC           COM    07745910       7,897,488      452060      452060                           414760                  37300
SHAW GROUP INC       COM    82028010       7,896,930      751373      751073        300                661783                  89590
RIO TINTO PLC        SPON-
                     SORED  76720410       7,896,622       89990       82665       7325                 88970                   1020
MYKROLIS CORP        COM    62852P10       7,863,697      647751      641505       5029      1217      581261        1217      65273
FRANKLIN ELEC INC    COM    35351410       7,860,178      141167      141167                           129817                  11350
WILTEL COMMUNICATNS  COM    97248710       7,855,399      489433      489433                           419683                  69750
RESOURCES CONNECTION COM    76122Q10       7,831,514      325094      325094                           296144                  28950
JACUZZI BRANDS INC   COM    46986510       7,826,297   1,262,306   1,261,806                  500   1,152,276         500     109530
PER-SE TECHNOLOGIES  COM
                     NEW    71356930       7,823,288      490181      478884      11297                446981                  43200
PRIMUS TELECOMMUNICA COM    74192910       7,822,332   1,158,864   1,158,864                           980944                 177920
MAGMA DESIGN AUTOMAT COM    55918110       7,817,460      398850      398850                           368600                  30250
ARCH CHEMICALS INC   COM    03937R10       7,811,835      375569      375469                  100      346269         100      29200
ANTHRACITE CAP INC   COM    03702310       7,810,082      809335      801835       7500                720568                  88767
INFORMATICA CORP     COM    45666Q10       7,799,143   1,048,272   1,048,172                  100      954447         100      93725
ATLANTIC COAST AIRLI COM    04839610       7,788,828      915256      915256                           849156                  66100
Page Total                               415,012,782


                                                                   Page 34 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
RENAISSANCE LEARNING COM    75968L10       7,785,569      329897      329897                           312997                  16900
BOK FINL CORP        COM
                     NEW    05561Q20       7,782,254      205066      204739        327                205066
CASH AMER INTL INC   COM    14754D10       7,779,504      474360      474360                           438960                  35400
TRIUMPH GROUP INC NE COM    89681810       7,757,476      260318      260118        200                236657                  23661
NCI BUILDING SYS INC COM    62885210       7,750,731      389484      389384        100                363684                  25800
RAYOVAC CORP         COM    75508110       7,738,919      530063      530063                           473513                  56550
GLATFELTER           COM    37731610       7,731,755      656346      655426        920                619347                  36999
NETFLIX COM INC      COM    64110L10       7,726,149      230219      230219                           199449                  30770
PHILLIPS VAN HEUSEN  COM    71859210       7,726,127      514732      514732                           459182                  55550
TANGER FACTORY OUTLE COM    87546510       7,725,291      210212      210212                           194018                  16194
NACCO INDS INC       CL A   62957910       7,724,359      108033       95536      12297       200       95693         200      12140
NU SKIN ENTERPRISES  CL A   67018T10       7,721,578      605614      605614                           541264                  64350
IONICS INC           COM    46221810       7,713,534      315353      313803        550      1000      284353        1000      30000
DICKS SPORTING GOODS COM    25339310       7,703,615      206310      206310                           188810                  17500
INVISION TECHNOLOGIE COM    46185110       7,691,147      315988      315888        100                292238                  23750
INTERNATIONAL MULTIF COM    46004310       7,676,686      328766      328166        600                296116                  32650
UNIZAN FINANCIAL COR COM    91528W10       7,671,313      384527      384527                           355227                  29300
DATASCOPE CORP       COM    23811310       7,654,321      249002      249002                           228102                  20900
MERITAGE CORP        COM    59001A10       7,649,869      161902      161902                           147402                  14500
TBC CORP             COM    87218010       7,646,312      305242      305242                           280442                  24800
HANDLEMAN CO DEL     COM    41025210       7,602,735      450399      450399                           406199                  44200
W-H ENERGY SVCS INC  COM    92925E10       7,598,268      426869      419469       7400                393869                  33000
GRAY TELEVISION INC  COM    38937510       7,594,943      650252      640752       9500                594152                  56100
CIBER INC            COM    17163B10       7,579,115      997252      995752        500      1000      911852        1000      84400
RAIT INVT TR         COM    74922710       7,578,476      330073      330073                           300123                  29950
CTS CORP             COM    12650110       7,565,270      614563      614563                           562263                  52300
GOLD BANC CORP INC   COM    37990710       7,559,614      622703      619403       3300                570300                  52403
SOLUTIA INC          COM    83437610       7,549,068   1,891,997   1,890,220       1377       400   1,693,497         400     198100
MERIT MED SYS INC    COM    58988910       7,528,718      340666      340666                           317200                  23466
TIERONE CORP         COM    88650R10       7,525,989      356513      356513                           325113                  31400
CIMA LABS INC        COM    17179610       7,510,696      268719      268599        100        20      243849          20      24850
CATO CORP NEW        CL A   14920510       7,499,407      371810      371810                           349010                  22800
MYRIAD GENETICS INC  COM    62855J10       7,490,692      658812      610252      48560                536522                 122290
HAEMONETICS CORP     COM    40502410       7,479,718      316803      316603        200                289103                  27700
ANALOGIC CORP        COM
                     PAR $0 03265720       7,465,255      155332      154932        400                141582                  13750
UNIVERSAL FST PRODS  COM    91354310       7,458,101      304040      303290        750                282290                  21750
STERLING FINL CORP W COM    85931910       7,453,866      264791      264791                           243561                  21230
DENBURY RES INC      COM
                     NEW    24791620       7,450,954      602828      602828                           557128                  45700
FIRST MERCHANTS CORP COM    32081710       7,448,839      291084      291084                           266913                  24171
ROYAL CARIBBEAN CRUI COM    V7780T10       7,428,264      264257      264257                           219257                  45000
SPHERION CORP        COM    84842010       7,424,141   1,066,687   1,065,487       1200                961537                 105150
RETEK INC            COM    76128Q10       7,423,940   1,099,843   1,099,743                  100   1,014,393         100      85350
LABOR READY INC      COM
                     NEW    50540120       7,414,809      737792      737792                           679102                  58690
STRIDE RITE CORP     COM    86331410       7,413,282      686415      686415                           620715                  65700
AMC ENTMT INC        COM    00166910       7,385,316      551143      551143                           508893                  42250
OXFORD INDS INC      COM    69149730       7,363,804      114701      114441        100       160      101191         160      13350
INSITUFORM TECHNOLOG CL A   45766710       7,326,951      412786      412786                           378536                  34250
HAVERTY FURNITURE IN COM    41959610       7,276,555      398061      398061                           375011                  23050
ARRIS GROUP INC      COM    04269Q10       7,259,145   1,262,460   1,262,460                        1,150,910                 111550
SAFEGUARD SCIENTIFIC COM    78644910       7,246,906   2,131,443   2,131,343                  100   1,929,594         100     201749
OFFSHORE LOGISTICS I COM    67625510       7,244,481      356871      355551       1320                326671                  30200
TRIMERIS INC         COM    89626310       7,227,079      288276      288176        100                235716                  52560
Page Total                               392,730,906


                                                                   Page 35 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
FREEMARKETS INC      COM    35660210       7,219,748      927869      724612      18189    185068      676301      185068      66500
AQUANTIVE INC        COM    03839G10       7,215,850      783480      783480                           718180                  65300
ORTHODONTIC CTRS AME COM    68750P10       7,202,729      914052      909052                 5000      850752        5000      58300
AGILE SOFTWARE CORP  COM    00846X10       7,200,566      756362      753462       2900                689912                  66450
SINCLAIR BROADCAST G CL A   82922610       7,184,150      702263      702263                           642763                  59500
ATRIX LABS INC       COM    04962L10       7,183,240      348701      348701                           316751                  31950
ESTERLINE TECHNOLOGI COM    29742510       7,182,920      372365      372365                           344065                  28300
CENTRAL VT PUB SVC C COM    15577110       7,175,318      323504      322864                  640      296664         640      26200
REMINGTON OIL & GAS  COM    75959430       7,173,823      395252      395252                           366950                  28302
FIRST SENTINEL BANCO COM    33640T10       7,171,685      401101      401101                           368301                  32800
WEIS MKTS INC        COM    94884910       7,162,097      210588      206928        360      3300      186627        3300      20661
STAGE STORES INC     COM
                     NEW    85254C30       7,157,466      281790      281790                           252890                  28900
ACTION PERFORMANCE C COM    00493310       7,155,909      292795      292595        200                268545                  24250
ORBITAL SCIENCES COR COM    68556410       7,128,645      768173      766673       1500                698073                  70100
PAREXEL INTL CORP    COM    69946210       7,100,773      465930      465930                           428230                  37700
UNITED STATES CELLUL COM    91168410       7,099,905      243983      241973       1610       400      243273         500        210
CENTRAL PAC FINL COR COM    15476010       7,096,866      289668      289668                           265168                  24500
STERLING FINL CORP   COM    85931710       7,090,079      279137      279137                           255587                  23550
HOOPER HOLMES INC    COM    43910410       7,085,714   1,065,521   1,065,521                           979671                  85850
UNIVERSAL COMPRESSIO COM    91343110       7,083,781      329172      329172                           295122                  34050
C D I CORP           COM    12507110       7,069,939      261559      261559                           237459                  24100
INSTINET GROUP INC   COM    45775010       7,030,804   1,483,292   1,459,552      23740             1,480,742        1050       1500
VIASAT INC           COM    92552V10       7,027,889      393940      393840        100                364490                  29450
OCULAR SCIENCES INC  COM    67574410       7,019,944      315645      315605         40                290245                  25400
EXELIXIS INC         COM    30161Q10       7,019,605      983138      979338       3700       100      798567      113121      71450
POLYONE CORP         COM    73179P10       6,996,861   1,780,372   1,780,372                        1,643,972                 136400
PRIMEDIA INC         COM    74157K10       6,989,157   2,452,336   2,449,916       2300       120   2,233,166         120     219050
LIBBEY INC           COM    52989810       6,989,014      251313      250913        400                230740                  20573
BOMBAY CO INC        COM    09792410       6,987,649      709406      709406                           651506                  57900
FIRST FINL CORP IND  COM    32021810       6,977,837      115279      115279                           102979                  12300
CENTRAL GARDEN & PET COM    15352710       6,969,547      267545      267345        200                242545                  25000
PRACTICEWORKS INC    COM    73941910       6,963,056      324618      324618                           293818                  30800
SEROLOGICALS CORP    COM    81752310       6,958,559      529168      466078      63090                493368                  35800
PARK ELECTROCHEMICAL COM    70041620       6,958,201      305855      305705        150                280205                  25650
WEBMETHODS INC       COM    94768C10       6,958,176      867603      867603                           733043                 134560
STANDARD MICROSYSTEM COM    85362610       6,954,202      257754      257754                           234154                  23600
IDX SYS CORP         COM    44949110       6,939,537      300153      298153       2000                276803                  23350
MINE SAFETY APPLIANC COM    60272010       6,937,996      127023      126923        100                115623                  11400
HARMONIC INC         COM    41316010       6,934,195   1,107,699   1,107,599        100                990824                 116875
GETTY RLTY CORP NEW  COM    37429710       6,930,756      282888      282888                           257338                  25550
VERITY INC           COM    92343C10       6,920,611      527888      527888                           490438                  37450
ROCK-TENN CO         CL A   77273920       6,912,480      474107      470807       3300                431857                  42250
WEST COAST BANCORP O COM    95214510       6,911,534      354256      354256                           332906                  21350
VALMONT INDS INC     COM    92025310       6,902,969      348811      348811                           326161                  22650
SURMODICS INC        COM    86887310       6,895,041      256990      256790        200                236990                  20000
NEXTEL PARTNERS INC  CL A   65333F10       6,891,036      877839      871379       6460                874439                   3400
TRIAD GTY INC        COM    89592510       6,888,279      140348      140348                           128648                  11700
POZEN INC            COM    73941U10       6,879,584      387364      387364                           349273                  38091
SAUL CTRS INC        COM    80439510       6,877,777      259050      259050                           232380                  26670
SILICONIX INC        COM
                     NEW    82707920       6,864,492      136634      136634                           128334                   8300
21ST CENTY INS GROUP COM    90130N10       6,847,102      496887      496397        490                472587                  24300
UNITED THERAPEUTICS  COM    91307C10       6,826,788      302204      302204                           276542                  25662
Page Total                               365,301,881


                                                                   Page 36 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
UNITED AUTO GROUP IN COM    90944010       6,814,831      296297      295737        560                268747                  27550
INTERMAGNETICS GEN C COM    45877110       6,809,961      304560      304560                           281610                  22950
TRAMMELL CROW CO     COM    89288R10       6,805,431      546621      546621                           503221                  43400
ISHARES TR           RUSSE-
                     LL100  46428759       6,801,543      132300      132300                           132300
PRE PAID LEGAL SVCS  COM    74006510       6,801,074      290396      290396                           269746                  20650
RUSS BERRIE & CO     COM    78223310       6,797,462      201765      200565       1200                180670                  21095
STUDENT LN CORP      COM    86390210       6,793,695       56932       56582        350                 56832                    100
CABLE DESIGN TECHNOL COM    12692410       6,791,640      848955      848955                           775705                  73250
CORVIS CORP          COM    22100910       6,778,675   5,254,787   5,254,207        400       180   4,815,107         180     439500
GAYLORD ENTMT CO NEW COM    36790510       6,772,559      275868      275618        150       100      228968         100      46800
CONSECO INC          COM
                     NEW    20846488       6,746,313      373550      262316               111234      262316      111234
TIME WARNER TELECOM  CL A   88731910       6,729,732      726753      726113        540       100      653453         100      73200
CALIFORNIA WTR SVC G COM    13078810       6,728,047      260676      257276       3400                231176                  29500
MTS SYS CORP         COM    55377710       6,726,448      441368      441368                           411960                  29408
PTEK HLDGS INC       COM    69366M10       6,726,373      817200      722200      95000                750000                  67200
CELL THERAPEUTICS IN COM    15093410       6,721,578      593779      593779                           533129                  60650
CORIXA CORP          COM    21887F10       6,708,250      830229      830129                  100      727829         100     102300
CIRRUS LOGIC INC     COM    17275510       6,693,005   1,212,501   1,211,431                 1070   1,069,324        1070     142107
FIDELITY BANKSHARES  COM    31604Q10       6,675,473      251241      251241                           225241                  26000
K2 INC               COM    48273210       6,634,504      446768      446768                           413518                  33250
WYNN RESORTS LTD     COM    98313410       6,621,319      364209      364209                           277889                  86320
FIDELITY NATIONAL SO COM    31620P10       6,617,778      266309      266166        143                241105                  25204
ALBANY MOLECULAR RES COM    01242310       6,614,146      446600      446500        100                408600                  38000
ARTHROCARE CORP      COM    04313610       6,597,343      371263      371263                           333513                  37750
AT RD INC            COM    04648K10       6,596,849      494146      494146                           452946                  41200
LONE STAR TECHNOLOGI COM    54231210       6,596,583      488998      488798        100       100      446348         100      42550
ALDERWOODS GROUP INC COM    01438310       6,593,113      845271      845271                           773521                  71750
EQUITY INNS INC      COM    29470310       6,590,873      875282      875282                           795829                  79453
PMA CAP CORP         CL A   69341920       6,588,236      525797      525797                           479547                  46250
TALX CORP            COM    87491810       6,587,903      265963      265963                           242263                  23700
GENERAL COMMUNICATIO CL A   36938510       6,570,220      789690      789690                           725240                  64450
SOLA INTL INC        COM    83409210       6,566,528      410408      410408                           376858                  33550
APPLIED INDL TECHNOL COM    03820C10       6,563,378      330316      327516       2800                305166                  25150
BERRY PETE CO        CL A   08578910       6,556,652      358679      358479        200                329329                  29350
NAUTILUS GROUP INC   COM    63910B10       6,544,971      518619      517936        683                472269                  46350
VISTACARE INC        CL A   92839Y10       6,517,364      206311      206311                           189911                  16400
PRESIDENTIAL LIFE CO COM    74088410       6,507,613      427851      426791        620       440      389162         440      38249
DOT HILL SYS CORP    COM    25848T10       6,507,509      472586      472586                           433786                  38800
ADVANCED ENERGY INDS COM    00797310       6,506,206      344791      344791                           316191                  28600
KYPHON INC           COM    50157710       6,506,134      334162      333912        250                309862                  24300
FIRST FINL HLDGS INC COM    32023910       6,502,709      215179      215179                           198829                  16350
7-ELEVEN INC         COM
                     NEW    81782620       6,490,322      472711      472711                           420961                  51750
IMPAX LABORATORIES I COM    45256B10       6,490,037      518788      518788                           463473                  55315
SCANSOURCE INC       COM    80603710       6,475,194      177354      177354                           161054                  16300
WIRELESS FACILITIES  COM    97653A10       6,467,553      542580      539400       3180                499080                  43500
STEWART ENTERPRISES  CL A   86037010       6,451,727   1,697,823   1,697,823                        1,536,733                 161090
WEST PHARMACEUTICAL  COM    95530610       6,442,001      205749      205729         20                179671                  26078
KRAMONT RLTY TR      COM SH
                     BEN    50075Q10       6,438,389      379846      379846                           334046                  45800
MEDIACOM COMMUNICATI CL A   58446K10       6,438,151      959486      959486                           829056                 130430
INTERACTIVE DATA COR COM    45840J10       6,420,282      406347      403897        450      2000      403347        2000       1000
BAY VIEW CAP CORP DE COM    07262L10       6,417,683   1,057,279   1,057,079        200                976029                  81250
COLUMBIA LABS INC    COM    19777910       6,409,358      530576      530576                           477576                  53000
Page Total                               343,850,718


                                                                   Page 37 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
MCG CAPITAL CORP     COM    58047P10       6,408,760      410818      410818                           377918                  32900
KIMBALL INTL INC     CL B   49427410       6,407,653      435007      435007                           382457                  52550
TERAYON COMMUNICATIO COM    88077510       6,407,349   1,112,387   1,112,387                           973487                 138900
NUEVO ENERGY CO      COM    67050910       6,396,330      352027      352027                           325677                  26350
SAFENET INC          COM    78645R10       6,389,554      176849      176849                           160949                  15900
AMERICAN STS WTR CO  COM    02989910       6,386,998      270980      270980                           250780                  20200
SECURE COMPUTING COR COM    81370510       6,380,760      546298      546298                           489748                  56550
MULTIMEDIA GAMES INC COM    62545310       6,370,979      175075      175075                           157975                  17100
THOMAS INDS INC      COM    88442510       6,367,175      223253      223253                           191953                  31300
OAKLEY INC           COM    67366210       6,363,560      636356      636356                           594356                  42000
DUANE READE INC      COM    26357810       6,347,956      397991      396491       1400       100      362791         100      35100
SWIFT ENERGY CO      COM    87073810       6,335,742      449025      449025                           409375                  39650
BIOSITE INC          COM    09094510       6,333,964      223815      222815       1000                204515                  19300
CROSS CTRY HEALTHCAR COM    22748310       6,318,116      451294      451294                           392044                  59250
POPE & TALBOT INC    COM    73282710       6,317,287      417810      417810                           386910                  30900
BARNES GROUP INC     COM    06780610       6,316,872      243331      242331       1000                224381                  18950
POSSIS MEDICAL INC   COM    73740710       6,312,614      405695      405695                           382095                  23600
CTI MOLECULAR IMAGIN COM    22943D10       6,307,631      427057      427057                           393257                  33800
IDINE REWARDS NETWOR COM    45168A10       6,291,138      387147      387147                           352497                  34650
STERLING BANCORP     COM    85915810       6,285,826      233587      233587                           206937                  26650
REALNETWORKS INC     COM    75605L10       6,274,344      968263      963763       4400       100      967163         100       1000
SILGAN HOLDINGS INC  COM    82704810       6,257,760      195555      195555                           180205                  15350
FIRST FED CAP CORP   COM    31996010       6,257,536      304503      304503                           275353                  29150
REHABCARE GROUP INC  COM    75914810       6,236,821      365796      365496        300                340796                  25000
ROYAL DUTCH PETE CO  NY REG
                     EUR    78025780       6,235,957      141085      131753       9332                139275                   1810
MESA AIR GROUP INC   COM    59047910       6,229,524      560209      560209                           507759                  52450
GBC BANCORP CALIF    COM    36147510       6,212,278      162540      153940        100      8500      143290        8500      10750
PEGASUS SOLUTIONS IN COM    70590610       6,202,305      449117      449077         40                411867                  37250
STARTEK INC          COM    85569C10       6,201,920      193810      193760         50                178260                  15550
ROTO ROOTER INC NEW  COM    77878710       6,196,258      174297      172797       1500                155797                  18500
OPSWARE INC          COM    68383A10       6,171,806      845453      845153        300                768553                  76900
CHAMPION ENTERPRISES COM    15849610       6,167,354      971237      971137                  100      844837         100     126300
COMPUCREDIT CORP     COM    20478N10       6,162,765      352158      352158                           316058                  36100
SUFFOLK BANCORP      COM    86473910       6,141,817      188979      188979                           173979                  15000
FIRST REP BK SAN FRA COM    33615810       6,129,959      198831      197971        800        60      182321          60      16450
MEMBERWORKS INC      COM    58600210       6,119,529      193106      193106                           176556                  16550
CHESAPEAKE CORP      COM    16515910       6,100,631      270658      269978        600        80      250978          80      19600
STATE AUTO FINL CORP COM    85570710       6,099,154      241838      241738        100                222013                  19825
PENN VA CORP         COM    70788210       6,092,483      137839      137439        400                121842                  15997
INFINITY PPTY & CAS  COM    45665Q10       6,087,023      216543      216543                           199943                  16600
IBERIABANK CORP      COM    45082810       6,085,818      115656      115556        100                101706                  13950
COSTAR GROUP INC     COM    22160N10       6,078,720      232367      232217        150                208467                  23900
RADISYS CORP         COM    75045910       6,054,221      335786      335786                           294036                  41750
SPECTRALINK CORP     COM    84758010       6,050,607      323735      323585        150                289585                  34150
COMMUNITY TR BANCORP COM    20414910       6,046,647      208003      208003                           191283                  16720
UNIFIRST CORP MASS   COM    90470810       6,040,823      255534      216434      39100                233134                  22400
FIRST ESSEX BANCORP  COM    32010310       6,037,827      118668      115568       3100                105518                  13150
APPLIED FILMS CORP   COM    03819710       6,037,390      202597      202497        100                184447                  18150
VERITAS DGC INC      COM    92343P10       6,036,925      756507      756482         25                704657                  51850
GENESCO INC          COM    37153210       6,035,540      375812      375812                           343512                  32300
S1 CORPORATION       COM    78463B10       6,033,770   1,194,806   1,189,099       5607       100   1,084,006         100     110700
INTRADO INC          COM    46117A10       6,029,387      264679      264679                           240129                  24550
Page Total                               323,191,163


                                                                   Page 38 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
TOMPKINSTRUSTCO INC  COM    89011010       6,026,418      131725      131725                           120665                  11060
INVESTORS REAL ESTAT SH BEN
                     INT    46173010       6,025,598      614857      607157       7700                545307                  69550
SYSTEMS & COMPUTER T COM    87187310       6,018,472      576482      576482                           522082                  54400
STEAK N SHAKE CO     COM    85787310       5,988,727      401928      401928                           362478                  39450
PRAECIS PHARMACEUTIC COM    73942110       5,969,465      883057      875757       7200       100      789557         100      93400
RANGE RES CORP       COM    75281A10       5,967,523      872445      868445                 4000      796095        4000      72350
MANUGISTICS GROUP IN COM    56501110       5,961,235   1,083,861   1,083,801                   60      973401          60     110400
ROYAL GOLD INC       COM    78028710       5,954,357      325909      325309        600                248749                  77160
AMERICAN PHARMACEUTI COM    02886P10       5,948,396      189681      188816        865                189681
INCYTE CORP          COM    45337C10       5,939,146   1,282,753   1,282,463        190       100   1,155,403         100     127250
NABI BIOPHARMACEUTIC COM    62951910       5,936,456      704206      704206                           631706                  72500
FLEETWOOD ENTERPRISE COM    33909910       5,910,440      637588      637588                           564538                  73050
HANGER ORTHOPEDIC GR COM
                     NEW    41043F20       5,910,149      385026      385026                           355876                  29150
ASPECT COMMUNICATION COM    04523Q10       5,901,163      708423      708423                           599498                 108925
LIFELINE SYS INC     COM    53219210       5,899,935      187062       72753     114309                 63153      114309       9600
AMN HEALTHCARE SERVI COM    00174410       5,896,922      363111      362011       1100                342211                  20900
GRUPO TELEVISA SA DE SP ADR
                     REP    40049J20       5,883,452      160794      160794                            94447       49327      17020
KEYSTONE PPTY TR COR COM    49359610       5,879,978      290226      290226                           268326                  21900
CUBIST PHARMACEUTICA COM    22967810       5,867,148      540751      540751                           453381                  87370
NOVARTIS A G         SPON-
                     SORED  66987V10       5,853,265      150702      122820      27882                145222                   5480
GARDNER DENVER INC   COM    36555810       5,844,330      278169      278094         75                257269                  20900
OLD DOMINION FGHT LI COM    67958010       5,812,675      197912      197912                           181112                  16800
INTEGRATED ELECTRICA COM    45811E10       5,810,172      842054      838454       3600                785654                  56400
WALTER INDS INC      COM    93317Q10       5,810,134      541485      541485                           466195                  75290
GREIF INC            CL A   39762410       5,798,442      223017      222917        100                204467                  18550
GOLDEN TELECOM INC   COM    38122G10       5,790,311      211789      211789                           186789                  25000
KORN FERRY INTL      COM
                     NEW    50064320       5,779,941      700599      700589         10                646449                  54150
ECHELON CORP         COM    27874N10       5,776,914      485455      484785        670                440205                  45250
NUI CORP             COM    62943110       5,776,381      386380      386380                           350681                  35699
ORIENTAL FINL GROUP  COM    68618W10       5,751,851      237092      237092                           211380                  25712
GLOBAL INDS LTD      COM    37933610       5,750,324   1,261,036   1,256,611       4425             1,148,436                 112600
MSC INDL DIRECT INC  CL A   55353010       5,744,925      275536      273436       2100                274336                   1200
MARCUS CORP          COM    56633010       5,739,438      376110      376110                           344260                  31850
PALM HARBOR HOMES    COM    69663910       5,739,294      334848      334848                           307998                  26850
TOPPS INC            COM    89078610       5,737,728      588485      587385       1100                540185                  48300
GAMESTOP CORP        CL A   36466R10       5,725,081      360068      360068                           330368                  29700
NORTH PITTSBURGH SYS COM    66156210       5,724,549      333793      331833       1960                309844                  23949
SCHWEITZER-MAUDUIT I COM    80854110       5,722,079      226617      226477        100        40      226577          40
FIRSTFED AMER BANCOR COM    33792910       5,717,270      258700      258700                           235100                  23600
WEST CORP            COM    95235510       5,714,107      239084      238934        150                238830                    254
AVIALL INC NEW       COM    05366B10       5,712,169      461403      461403                           426353                  35050
TRIARC COS INC       CL B
                     SER 1  89592730       5,697,744      547860      545260       1600      1000      496298        1000      50562
INDEPENDENT BANK COR COM    45383610       5,690,193      222013      218592       3421                204413                  17600
EXULT INC DEL        COM    30228410       5,678,692      706305      706105        100       100      625006         100      81199
GENESIS MICROCHIP IN COM    37184C10       5,674,199      504822      504822                           455372                  49450
EPICOR SOFTWARE CORP COM    29426L10       5,673,506      629690      629690                           570590                  59100
COMPANHIA VALE DO RI SPON-
                     SORED  20441220       5,650,263      138419      138419                           135500                   2919
CASCADE CORP         COM    14719510       5,646,012      256055      255755        300                241355                  14700
PULITZER INC         COM    74576910       5,636,438      108185      107085       1000       100       91935         100      16150
SIMMONS 1ST NATL COR CL A
                     $5 PA  82873020       5,635,575      245025      245025                           219025                  26000
CHICAGO MERCANTILE H CL A   16776010       5,631,754       81845       81695        150                 79779                   2066
TRANSKARYOTIC THERAP COM    89373510       5,627,225      536949      532249       4700                462899                  74050
Page Total                               301,957,961


                                                                   Page 39 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
LOCAL FINL CORP      COM    53955310       5,621,789      314242      314242                           288692                  25550
RIGHT MGMT CONSULTAN COM    76657310       5,611,417      310366      310366                           288266                  22100
COMPUTER NETWORK TEC COM    20492510       5,609,632      646271      641931       4340                596671                  49600
NEW ENGLAND BUSINESS COM    64387210       5,604,894      210552      206032                 4520      185182        4520      20850
SWS GROUP INC        COM    78503N10       5,603,710      284308      284308                           256758                  27550
DRESS BARN INC       COM    26157010       5,602,121      408914      408834         80                369164                  39750
NATIONAL WESTN LIFE  CL A   63852210       5,601,419       41006       41006                            38156                   2850
AMERICA WEST HLDG CO CL B   02365720       5,600,763      575618      575618                           475928                  99690
TENNANT CO           COM    88034510       5,566,560      151101      151101                           130701                  20400
KADANT INC           COM    48282T10       5,563,604      290376      289909        453        14      260772          53      29551
VERSO TECHNOLOGIES I COM    92531710       5,560,023   1,502,709   1,502,709                        1,404,409                  98300
BOCA RESORTS INC     CL A   09688T10       5,559,308      428959      428459        500                390759                  38200
INTUITIVE SURGICAL I COM
                     NEW    46120E60       5,558,094      333419      330838         81      2500      306744        2500      24175
CAPITAL CITY BK GROU COM    13967410       5,557,240      145630      145630                           130943                  14687
NEWPARK RES INC      COM
                     PAR $. 65171850       5,553,187   1,291,439   1,291,439                        1,167,139                 124300
MANTECH INTL CORP    CL A   56456310       5,547,551      223062      223062                           204562                  18500
TOYOTA MOTOR CORP    SP ADR
                     REP    89233130       5,541,306       93053       82274      10779                 90423                   2630
PIXELWORKS INC       COM    72581M10       5,526,668      636713      636713                           586563                  50150
TOLLGRADE COMMUNICAT COM    88954210       5,521,844      343612      343612                           322012                  21600
ORASURE TECHNOLOGIES COM    68554V10       5,500,498      579610      579610                           530710                  48900
IMMUNOMEDICS INC     COM    45290710       5,493,967      744440      744440                           672890                  71550
SRA INTL INC         CL A   78464R10       5,478,217      146359      146259        100                132709                  13650
ARCTIC CAT INC       COM    03967010       5,472,448      287132      287112         20                256033                  31099
MAXYGEN INC          COM    57777610       5,462,906      533487      533180        307                470037                  63450
HEIDRICK & STRUGGLES COM    42281910       5,455,878      320934      319934       1000                288334                  32600
EDO CORP             COM    28134710       5,448,586      269066      269066                           246166                  22900
STRATEX NETWORKS INC COM    86279T10       5,444,047   1,413,671   1,413,571                  100   1,263,004         100     150567
U S RESTAURANT PPTYS COM    90297110       5,437,705      334628      334628                           301228                  33400
ALEXION PHARMACEUTIC COM    01535110       5,434,225      320982      318382       2600                279852                  41130
MAIN STR BKS INC NEW COM    56034R10       5,430,916      217063      217063                           197213                  19850
COINSTAR INC         COM    19259P30       5,424,487      403008      402968         40                366658                  36350
E PIPHANY INC        COM    26881V10       5,422,433   1,086,660   1,086,560                  100      947825         100     138735
D & K HEALTHCARE RES COM    23286110       5,419,497      385455      385255        200                363055                  22400
CLEVELAND CLIFFS INC COM    18589610       5,412,403      211422      210822        600                186822                  24600
SAVIENT PHARMACEUTIC COM    80517Q10       5,411,080   1,071,501   1,071,501                           978801                  92700
WORLD FUEL SVCS CORP COM    98147510       5,396,176      192240      191790        300       150      173640         150      18450
THERASENSE INC       COM    88338110       5,389,232      430794      430794                           392094                  38700
OIL STS INTL INC     COM    67802610       5,378,174      423812      423812                           390962                  32850
VALHI INC NEW        COM    91890510       5,370,085      476917      476917                           446017                  30900
FIRST ST BANCORPORAT COM    33645310       5,367,019      181257      181257                           170357                  10900
JAKKS PAC INC        COM    47012E10       5,365,703      436591      436591                           394841                  41750
INTEGRA BK CORP      COM    45814P10       5,361,146      279081      279081                           258231                  20850
TEVA PHARMACEUTICAL  ADR    88162420       5,353,634       93595       93595                            58326       29028       6241
STEELCASE INC        CL A   85815520       5,349,168      454089      453789        300                440579                  13510
FOOTSTAR INC         COM    34491210       5,344,199      790562      787862       2700                745862                  44700
EON LABS INC         COM    29412E10       5,343,599      139374      139354         20                139374
UNION BANKSHARES COR COM    90539910       5,343,388      175943      175943                           164543                  11400
ANTIGENICS INC DEL   COM    03703210       5,338,731      441948      441498        450                371198                  70750
FINISAR              COM    31787A10       5,327,295   2,326,330   2,321,230                 5100   2,137,030        5100     184200
SALIX PHARMACEUTICAL COM    79543510       5,323,059      276379      270579       5300       500      246229         500      29650
ICU MED INC          COM    44930G10       5,323,022      196132      196032        100                181282                  14850
J & J SNACK FOODS CO COM    46603210       5,321,380      148725      148725                           139825                   8900
Page Total                               284,055,433


                                                                   Page 40 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
RIGGS NATL CORP WASH COM    76657010       5,293,580      331678      331558                  120      304408         120      27150
CENTEX CONSTRUCTION  COM    15231R10       5,288,481      118390      118090        300                107790                  10600
TELE NORTE LESTE PAR SPON
                     ADR P  87924610       5,285,601      379168      379168                           235780      107077      36311
SONICWALL INC        COM    83547010       5,277,394      913044      909244       3800                824594                  88450
TRANSMETA CORP DEL   COM    89376R10       5,269,337   1,836,006   1,836,006                        1,597,456                 238550
SILICON IMAGE INC    COM    82705T10       5,268,375   1,170,750   1,170,730         20             1,068,850                 101900
HYDRIL CO            COM    44877410       5,256,761      257306      257106        200                237006                  20300
SCICLONE PHARMACEUTI COM    80862K10       5,249,320      656165      655965        200                599565                  56600
CHIPPAC INC          CL A   16965710       5,243,248      890195      890195                           798795                  91400
OLD SECOND BANCORP I COM    68027710       5,239,335      121845      121845                           109845                  12000
PLAINS RES INC       COM
                     PAR $0 72654050       5,238,312      420748      420248        400       100      371998         100      48650
CENTURY BUSINESS SVC COM    15649010       5,223,383   1,231,930   1,181,930      50000             1,127,980                 103950
CURAGEN CORP         COM    23126R10       5,219,188   1,037,612      712901     324411       300      640351      324711      72550
FIRST CMNTY BANCSHAR COM    31983A10       5,205,239      147499      147499                           129789                  17710
PENWEST PHARMACEUTIC COM    70975410       5,199,856      238964      238964                           215565                  23399
EPIQ SYS INC         COM    26882D10       5,195,915      305822      305822                           287822                  18000
ISIS PHARMACEUTICALS COM    46433010       5,192,254      796358      796358                           696208                 100150
VALUEVISION MEDIA IN CL A   92047K10       5,181,382      326695      326695                           289395                  37300
VECTOR GROUP LTD     COM    92240M10       5,177,678      359561      338834      20726         1      358143           1       1417
WSFS FINL CORP       COM    92932810       5,176,463      122898      122898                           112798                  10100
AUTOBYTEL INC        COM    05275N10       5,175,243      543618      543618                           498118                  45500
HAWTHORNE FINL CORP  COM    42054210       5,166,142      128511      123031                 5480      111731        5480      11300
ALARIS MEDICAL SYSTE COM    01163710       5,161,504      310934      310934                           288334                  22600
STANDARD REGISTER CO COM    85388710       5,159,512      310814      310764         50                270164                  40650
UNIVERSAL HEALTH RLT SH BEN
                     INT    91359E10       5,148,535      189633      188733        900                171483                  18150
PEOPLES HLDG CO      COM    71114810       5,142,149      112915      112915                           104915                   8000
SEQUA CORPORATION    CL A   81732010       5,135,830      119968      119948         20                109018                  10950
CENTILLIUM COMMUNICA COM    15231910       5,135,061      726317      726317                           673117                  53200
GENCORP INC          COM    36868210       5,134,838      573725      573625        100                516725                  57000
SPANISH BROADCASTING CL A   84642588       5,120,582      603131      602931        200                544431                  58700
WASHINGTON TR BANCOR COM    94061010       5,117,683      213148      213148                           188648                  24500
MEDQUIST INC         COM    58494910       5,114,871      264882      263973        909                252732                  12150
ZENITH NATL INS CORP COM    98939010       5,112,231      183761      183661        100                163392                  20369
FBL FINL GROUP INC   CL A   30239F10       5,087,716      206482      206482                           180332                  26150
VAIL RESORTS INC     COM    91879Q10       5,083,206      355469      355469                           331169                  24300
AVANEX CORP          COM    05348W10       5,073,822   1,046,149   1,045,961        188                962149                  84000
O CHARLEYS INC       COM    67082310       5,071,168      343808      343808                           316335                  27473
ARTISAN COMPONENTS I COM    04292310       5,052,448      300741      300241        500                273891                  26850
HARRIS INTERACTIVE I COM    41454910       5,047,778      717014      717014                           643764                  73250
CKE RESTAURANTS INC  COM    12561E10       5,039,443      781309      781309                           702909                  78400
BROOKFIELD HOMES COR COM    11272310       5,038,807      271927      271927                           251527                  20400
SCANSOFT INC         COM    80603P10       5,037,643   1,199,439   1,196,409       3030             1,071,843                 127596
DELTIC TIMBER CORP   COM    24785010       5,033,699      174056      173556                  500      158406         500      15150
UNITED CMNTY FINL CO COM    90983910       5,019,715      507042      507042                           462342                  44700
QUICKSILVER RESOURCE COM    74837R10       5,016,065      205324      205324                           170084                  35240
SAPIENT CORP         COM    80306210       5,012,910   1,396,354   1,353,408      37846      5100   1,194,914        5100     196340
STANDEX INTL CORP    COM    85423110       5,004,196      205934      205934                           185634                  20300
PACKETEER INC        COM    69521010       5,003,135      415198      412913       2285                377048                  38150
ALLIANCE CAP MGMT HL UNIT
                     LTD P  01855A10       4,999,320      149278      132188      10400      6690      142088        6690        500
ODYSSEY RE HLDGS COR COM    67612W10       4,989,538      242446      242446                           242446
COLE KENNETH PRODTNS CL A   19329410       4,988,733      191066      190966        100                176666                  14400
KAMAN CORP           CL A   48354810       4,986,748      384780      384780                           347683                  37097
Page Total                               267,091,373


                                                                   Page 41 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
WCI CMNTYS INC       COM    92923C10       4,979,914      301813      301813                           279713                  22100
DUPONT PHOTOMASKS IN COM    26613X10       4,979,008      219243      219143        100                199643                  19600
HANMI FINL CORP      COM    41049510       4,965,552      249902      233902                16000      222102       16000      11800
CONSOL ENERGY INC    COM    20854P10       4,961,956      267059      267059                           266859                    200
SEACHANGE INTL INC   COM    81169910       4,959,803      397102      397102                           361702                  35400
INTERVOICE INC NEW   COM    46114210       4,959,418      557238      557238                           505338                  51900
ROBBINS & MYERS INC  COM    77019610       4,951,535      222641      222641                           202491                  20150
MONDAVI ROBERT CORP  CL A   60920010       4,948,094      159719      159719                           144519                  15200
U S I HLDGS          COM    90333H10       4,946,167      380182      380182                           351182                  29000
BALLY TOTAL FITNESS  COM    05873K10       4,945,334      571715      571715                           517915                  53800
PORTFOLIO RECOVERY A COM    73640Q10       4,942,054      194416      194416                           178916                  15500
BANNER CORP          COM    06652V10       4,936,897      237009      237009                           220409                  16600
INVERNESS MED INNOVA COM    46126P10       4,930,165      194101      192052       2049                175201                  18900
TENNECO AUTOMOTIVE I COM    88034910       4,918,182      781905      781835         20        50      615945          50     165910
GENTIVA HEALTH SERVI COM    37247A10       4,898,540      425960      425960                           381743                  44217
HONDA MOTOR LTD      AMERN
                     SHS    43812830       4,895,049      242810      216544      26266                238710                   4100
NETEGRITY INC        COM    64110P10       4,892,315      490212      490192                   20      425602          20      64590
UNITEDGLOBALCOM      CL A   91324750       4,879,800      798658      798458        100       100      797658         100        900
SYNAPTICS INC        COM    87157D10       4,858,462      451530      451530                           429330                  22200
ACTIVCARD CORP       COM    00506J10       4,853,756      594095      594095                           543195                  50900
AKSYS LTD            COM    01019610       4,853,530      485353      485353                           439415                  45938
PHARMACOPEIA INC     COM    71713B10       4,850,447      381925      381925                           345275                  36650
INNKEEPERS USA TR    COM    4576J010       4,836,121      555876      555876                           532367                  23509
CIPHERGEN BIOSYSTEMS COM    17252Y10       4,828,220      390949      390419        530                355549                  35400
SONOSITE INC         COM    83568G10       4,825,131      241136      241036                  100      218286         100      22750
STILLWATER MNG CO    COM    86074Q10       4,817,484      764680      764580                  100      658945         100     105635
1ST SOURCE CORP      COM    33690110       4,809,685      251816      251816                           234466                  17350
IXIA                 COM    45071R10       4,809,338      444486      444486                           391336                  53150
INFORMATION HLDGS IN COM    45672710       4,794,100      239346      239246        100                222646                  16700
SAGA COMMUNICATIONS  CL A   78659810       4,779,295      246992      246892        100                220692                  26300
MRV COMMUNICATIONS I COM    55347710       4,772,267   1,735,370   1,735,270                  100   1,537,170         100     198100
INTERPORE INTL       COM    46062W10       4,769,064      310486      310086        400                278086                  32400
BEI TECHNOLOGIES INC COM    05538P10       4,759,107      305071      305071                           282071                  23000
ARGONAUT GROUP INC   COM    04015710       4,756,089      365853      365853                           326653                  39200
WHITE ELECTR DESIGNS COM    96380110       4,754,832      442310      442310                           414810                  27500
CALIFORNIA PIZZA KIT COM    13054D10       4,752,514      273133      273033                  100      248683         100      24350
CASCADE NAT GAS CORP COM    14733910       4,750,922      242394      241594        100       700      223094         700      18600
MRO SOFTWARE INC     COM    55347W10       4,745,777      347676      347676                           311876                  35800
ANAREN INC           COM    03274410       4,730,493      370438      370438                           334488                  35950
TRC COS INC          COM    87262510       4,730,455      287391      287391                           270641                  16750
A C MOORE ARTS & CRA COM    00086T10       4,723,238      212185      212185                           187885                  24300
GREAT LAKES REIT INC COM    39075210       4,713,163      296053      296053                           267555                  28498
CT COMMUNICATIONS IN COM
                     NEW    12642640       4,703,512      418462      418062        400                394662                  23800
TYLER TECHNOLOGIES I COM    90225210       4,693,416      662912      662912                           605025                  57887
TEXAS GENCO HLDGS IN COM    88244310       4,692,765      197175      195432       1547       196      150552         196      46427
MAXWELL SHOE INC     CL A   57776610       4,691,112      326884      326884                           305984                  20900
WILD OATS MARKETS IN COM    96808B10       4,688,106      428921      428751        170                388121                  40800
UNITED FIRE & CAS CO COM    91033110       4,686,459      129068      123131       5937                118368                  10700
ENCYSIVE PHARMACEUTI COM    29256X10       4,683,418      768908      768908                           706808                  62100
SUPPORTSOFT INC      COM    86858710       4,677,129      417974      417974                           378974                  39000
YOUNG BROADCASTING I CL A   98743410       4,671,944      238608      238608                           215408                  23200
UNIFI INC            COM    90467710       4,670,726      973068      972368        700                888118                  84950
Page Total                               250,621,860


                                                                   Page 42 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
OSHKOSH B GOSH INC   CL A   68822220       4,669,828      181423      181423                           159077                  22346
RAINBOW TECHNOLOGIES COM    75086210       4,667,706      510690      510690                           475690                  35000
FOMENTO ECONOMICO ME SPON
                     ADR U  34441910       4,667,042      122334      122334                            65300       41100      15934
WHITE MTNS INS GROUP COM    G9618E10       4,656,367       11728       11708         20                  9528                   2200
CONCUR TECHNOLOGIES  COM    20670810       4,655,403      396542      396542                           361642                  34900
FARMER BROS CO       COM    30767510       4,653,760       14543       14443        100                 13143                   1400
URSTADT BIDDLE PPTYS CL A   91728620       4,652,883      344658      340358       4300                309808                  34850
SCHNITZER STL INDS   CL A   80688210       4,651,082      154521      153621        900                134121                  20400
CONCORD CAMERA CORP  COM    20615610       4,647,649      436399      436399                           397749                  38650
ANGELICA CORP        COM    03466310       4,639,002      244158      243578                  580      223828         580      19750
NEW FOCUS INC        COM    64438310       4,638,511   1,033,076   1,033,076                           912726                 120350
USANA HEALTH SCIENCE COM    90328M10       4,632,464       94598       94598                            85798                   8800
GENERAL CABLE CORP D COM    36930010       4,621,329      580569      580569                           518719                  61850
WPP GROUP PLC        SPON
                     ADR N  92930930       4,610,370      109458      107223       2235                109450                      8
STRATTEC SEC CORP    COM    86311110       4,609,685       97046       97046                            89446                   7600
MOLECULAR DEVICES CO COM    60851C10       4,604,492      264474      264474                           241974                  22500
AMERISTAR CASINOS IN COM    03070Q10       4,598,361      183714      183714                           167564                  16150
HOLOGIC INC          COM    43644010       4,594,882      337859      337859                           309459                  28400
ZOLL MED CORP        COM    98992210       4,590,329      143224      143124        100                131124                  12100
SCS TRANSN INC       COM    81111T10       4,587,636      303817      235042      68555       220      280322         220      23275
FLUSHING FINL CORP   COM    34387310       4,561,396      218877      218877                           198427                  20450
TOWER AUTOMOTIVE INC COM    89170710       4,556,673   1,012,594   1,012,394        200                912444                 100150
ABLE LABORATORIES IN COM
                     NEW    00371N40       4,542,931      240494      240494                           220594                  19900
HIBBETT SPORTING GOO COM    42856510       4,538,256      189094      189094                           168769                  20325
TELETECH HOLDINGS IN COM    87993910       4,515,679      720204      720204                           650304                  69900
MADDEN STEVEN LTD    COM    55626910       4,513,683      237938      237938                           222988                  14950
LANCE INC            COM    51460610       4,505,951      453315      451855        740       720      410170         720      42425
OMEGA FINL CORP      COM    68209210       4,500,474      136378      136378                           119328                  17050
MOBILE MINI INC      COM    60740F10       4,493,052      230768      230468        300                207768                  23000
AAR CORP             COM    00036110       4,481,584      558801      558201        600                497001                  61800
ALLEGIANT BANCORP IN COM    01747610       4,474,098      221490      221490                           201390                  20100
COCA COLA BOTTLING C COM    19109810       4,472,602       89327       89127                  200       82667         200       6460
4 KIDS ENTMT INC     COM    35086510       4,471,490      211919      211919                           194819                  17100
WATTS INDS INC       CL A   94274910       4,469,806      253678      253403        275                236628                  17050
ARTESYN TECHNOLOGIES COM    04312710       4,466,530      589252      589252                           514811                  74441
BUCKEYE TECHNOLOGIES COM    11825510       4,461,390      490802      490802                           436952                  53850
GORMAN RUPP CO       COM    38308210       4,459,935      197255      197255                           179205                  18050
STRATASYS INC        COM    86268510       4,457,284      104582      104582                            94582                  10000
MEMC ELECTR MATLS IN COM    55271510       4,456,069      408439      405589                 2850      405289        2850        300
INTERWOVEN INC       COM    46114T10       4,448,192   1,653,603   1,652,603        900       100   1,458,653         100     194850
WET SEAL INC         CL A   96184010       4,445,225      442311      442311                           401211                  41100
KVH INDS INC         COM    48273810       4,431,296      175358      175358                           160458                  14900
CB BANCSHARES INC HA COM    12478510       4,423,903       72227       72127        100                 65197                   7030
WELLMAN INC          COM    94970210       4,420,528      588619      588619                           532719                  55900
PEOPLES BANCORP INC  COM    70978910       4,417,139      165065      165065                           150365                  14700
COMMUNITY BKS INC MI COM    20362810       4,406,974      133101      133101                           118036                  15065
HANCOCK FABRICS INC  COM    40990010       4,405,665      279193      279193                           257543                  21650
ZYGO CORP            COM    98985510       4,400,422      269139      269139                           231689                  37450
GENESEE & WYO INC    CL A   37155910       4,395,312      185378      185378                           169878                  15500
OPLINK COMMUNICATION COM    68375Q10       4,394,572   1,736,985   1,736,985                        1,606,085                 130900
MATRIXONE INC        COM    57685P30       4,383,993      887448      731473     155975                805448                  82000
CENTRAL PKG CORP     COM    15478510       4,382,278      357737      356937        800                330287                  27450
Page Total                               235,403,163


                                                                   Page 43 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
CHILDRENS PL RETAIL  COM    16890510       4,367,803      253206      253206                           232106                  21100
PC-TEL INC           COM    69325Q10       4,364,245      408255      408255                           373682                  34573
INTERFACE INC        CL A   45866510       4,363,804      811116      811116                           725966                  85150
AMERICAN MED SEC GRO COM    02744P10       4,357,226      214536      180579      33957                164479       33957      16100
HEWITT ASSOCS INC    COM    42822Q10       4,347,449      178540      178540                           178540
TIVO INC             COM    88870610       4,347,298      586680      582880       3800                540680                  46000
MCGRATH RENTCORP     COM    58058910       4,339,356      154977      154977                           136127                  18850
PROSPERITY BANCSHARE COM    74360610       4,337,799      203557      203557                           186057                  17500
SYMMETRICOM INC      COM    87154310       4,323,598      683033      683033                           630433                  52600
TREX INC             COM    89531P10       4,308,808      138770      138670        100                124270                  14500
PRG-SCHULTZ INTERNAT COM    69357C10       4,298,283      756740      756740                           698240                  58500
FIRST PL FINL CORP   COM    33610T10       4,292,393      241825      241825                           216975                  24850
CCBT FINL COS INC    COM    12500Q10       4,285,292      170654      154594      10060      6000      147054        6000      17600
PRIMA ENERGY CORP    COM
                     PAR $0 74190120       4,276,796      168047      168047                           153197                  14850
GULFMARK OFFSHORE IN COM    40262910       4,273,114      301348      301348                           277948                  23400
SOUTHWEST BANCORP IN COM    84476710       4,270,213      254786      254386        400                238586                  16200
BROOKSTONE INC       COM    11453710       4,267,288      216944      216944                           192419                  24525
SJW CORP             COM    78430510       4,262,011       50438       50438                            47938                   2500
LYON WILLIAM HOMES   COM    55207410       4,261,797       84981       84981                            76381                   8600
ENTRAVISION COMMUNIC CL A   29382R10       4,226,208      444864      444864                           444328                    536
RUDOLPH TECHNOLOGIES COM    78127010       4,221,535      218280      218280                           200430                  17850
ATWOOD OCEANICS INC  COM    05009510       4,206,022      175324      175224        100                158724                  16600
NOVEN PHARMACEUTICAL COM    67000910       4,204,340      365913      365913                           331863                  34050
BANK OF GRANITE CORP COM    06240110       4,203,375      224180      224180                           198455                  25725
ALTIRIS INC          COM    02148M10       4,180,307      159432      159032        400                144432                  15000
HARDINGE INC         COM    41232430       4,166,247      508079      508079                             7700      500379
HOMESTORE INC        COM    43785210       4,160,266   1,507,343   1,507,143        100       100   1,381,543         100     125700
ROFIN SINAR TECHNOLO COM    77504310       4,159,605      197888      197888                           181888                  16000
TROY FINL CORP       COM    89732910       4,155,492      118559      118559                           108259                  10300
LIGHTBRIDGE INC      COM    53222610       4,145,541      440032      440032                           393832                  46200
AMERICAN WOODMARK CO COM    03050610       4,140,120       92496       92396                  100       82546         100       9850
RED ROBIN GOURMET BU COM    75689M10       4,139,414      162585      162585                           151185                  11400
ECOLLEGE COM         COM    27887E10       4,131,931      205876      205876                           183676                  22200
CORRECTIONAL PPTYS T COM    22025E10       4,129,948      165529      165529                           153629                  11900
VANS INC             COM    92193010       4,129,673      379217      378017       1200                354717                  24500
MAGUIRE PPTYS INC    COM    55977510       4,127,265      201330      201330                           179030                  22300
INTEGRATED SILICON S COM    45812P10       4,120,344      414105      413890        215                414105
AMERICAN PHYSICIANS  COM    02888410       4,114,335      148693      148693                           131443                  17250
RAILAMERICA INC      COM    75075310       4,110,834      478004      478004                           437154                  40850
BSB BANCORP          COM    05565210       4,107,937      148194      147974        220                129094                  19100
DRUGSTORE COM INC    COM    26224110       4,103,544      536411      536411                           488911                  47500
ALEXANDERS INC       COM    01475210       4,102,578       38887       38887                            33027                   5860
HOLLY CORP           COM
                     PAR $0 43575830       4,102,452      165555      165555                           148505                  17050
TELEFONICA S A       SPON-
                     SORED  87938220       4,101,813      115707       87303      28404                108693                   7014
ALLSTREAM INC        CL B
                     LT VT  02004C20       4,097,282      104924      104924                           104924
ENERGY PARTNERS LTD  COM    29270U10       4,091,859      367973      367973                           340773                  27200
CITY BK LYNNWOOD WAS COM    17770A10       4,083,854      126006      126006                           114806                  11200
ENTERPRISE PRODS PAR COM    29379210       4,083,526      180687      180687                           178287                   2400
KEITHLEY INSTRS INC  COM    48758410       4,079,586      288310      288310                           271710                  16600
STEPAN CO            COM    85858610       4,070,011      178666      178666                           169366                   9300
DISCOVERY LABORATORI COM    25466810       4,069,555      565216      565216                           522316                  42900
REGENT COMMUNICATION COM    75886510       4,067,071      666733      666733                           617633                  49100
Page Total                               218,278,443


                                                                   Page 44 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
NATIONAL PROCESSING  COM    63722910       4,066,802      210497      208797       1700                210497
NEOWARE SYS INC      COM    64065P10       4,066,210      238208      232208       6000                217608                  20600
INFOUSA INC NEW      COM    45681830       4,062,391      540931      540931                           490456                  50475
AMCOL INTL CORP      COM    02341W10       4,061,607      328609      328609                           294809                  33800
ELECTRO RENT CORP    COM    28521810       4,052,937      323175      323175                           323175
WEST BANCORPORATION  CAP
                     STK    95123P10       4,049,739      235040      235040                           210940                  24100
GABELLI ASSET MGMT I CL A   36239Y10       4,047,909      113514      113114        400                 97314                  16200
CONCEPTUS INC        COM    20601610       4,044,677      308754      308754                           273637                  35117
PERICOM SEMICONDUCTO COM    71383110       4,042,508      406691      406691                           331441                  75250
RC2 CORP             COM    74938810       4,041,759      209320      209320                           190420                  18900
OCEANFIRST FINL CORP COM    67523410       4,040,915      161572      161572                           140372                  21200
BEL FUSE INC         CL B   07734730       4,040,630      158394      158394                           145094                  13300
TEJON RANCH CO DEL   COM    87908010       4,038,457      121275      121275                           107575                  13700
CAPITOL BANCORP LTD  COM    14056D10       4,033,712      150793      150793                           136743                  14050
PRESSTEK INC         COM    74111310       4,033,320      547262      547262                           483212                  64050
CHURCHILL DOWNS INC  COM    17148410       4,029,227      107018      106118        900                 95768                  11250
AUDIOVOX CORP        CL A   05075710       4,026,936      320616      320616                           296603                  24013
DIMON INC            COM    25439410       4,014,613      581828      580628       1200                580428                   1400
STONERIDGE INC       COM    86183P10       4,007,106      272407      272307        100                252857                  19550
ENTRUST INC          COM    29384810       3,996,636      813979      813879                  100      735779         100      78100
PEREGRINE PHARMACEUT COM    71366110       3,994,869   1,858,079   1,858,079                        1,700,879                 157200
CORVEL CORP          COM    22100610       3,989,761      112356      112356                           100756                  11600
LABONE INC NEW       COM    50540L10       3,983,125      170803      170303        500                159603                  11200
LINDSAY MFG CO       COM    53555510       3,974,754      197749      197749                           177049                  20700
BLAIR CORP           COM    09282810       3,968,515      190794      190794                           177544                  13250
LOOKSMART LTD        COM    54344210       3,959,577   1,261,012   1,261,012                        1,126,062                 134950
KEYNOTE SYS INC      COM    49330810       3,944,721      352522      352522                           319622                  32900
PEETS COFFEE & TEA I COM    70556010       3,940,314      200321      186431        890     13000      170521       13000      16800
TTM TECHNOLOGIES  IN COM    87305R10       3,930,665      273914      273914                           273914
COLUMBIA BKG SYS INC COM    19723610       3,930,421      222813      222813                           196713                  26100
INTERCEPT INC        COM    45845L10       3,929,501      288298      284698       3500       100      260348         100      27850
MOVADO GROUP INC     COM    62458010       3,920,231      179006      179006                           160506                  18500
NAVIGATORS GROUP INC COM    63890410       3,915,892      120489      120489                           120489
ROXIO INC            COM    78000810       3,908,656      450306      450223         34        49      396749          49      53508
VICOR CORP           COM    92581510       3,907,564      409598      409498                  100      376948         100      32550
AMERON INTL INC      COM    03071010       3,901,418      118189      118089        100                103469                  14720
KEYSTONE AUTOMOTIVE  COM    49338N10       3,881,717      178881      178881                           162831                  16050
SPSS INC             COM    78462K10       3,872,204      229532      229532                           210432                  19100
CHARLES RIVER ASSOCI COM    15985210       3,867,783      135569      135569                           122069                  13500
CASUAL MALE RETAIL G COM    14871110       3,865,332      523049      523049                           477549                  45500
X-RITE INC           COM    98385710       3,857,194      338945      338945                           309845                  29100
STURM RUGER & CO INC COM    86415910       3,856,645      373706      369786       3920                342306                  31400
RTI INTL METALS INC  COM    74973W10       3,856,316      366570      365850        720                330770                  35800
CONCORD COMMUNICATIO COM    20618610       3,841,688      294608      291608       3000                263158                  31450
EXCEL TECHNOLOGY INC COM    30067T10       3,839,925      153597      153497        100                141147                  12450
EMBRAER-EMPRESA BRAS SP ADR
                     PFD    29081M10       3,837,646      181879      181879                           106696       57214      17969
BRYN MAWR BK CORP    COM    11766510       3,836,117       91445       91045        400                 86145                   5300
MBT FINL CORP        COM    57887710       3,829,176      245460      245460                           221260                  24200
HEALTHCARE SVCS GRP  COM    42190610       3,828,528      232032      232032                           215732                  16300
BARCLAYS PLC         ADR    06738E20       3,825,617      123407      110586      12821                119807                   3600
REPUBLIC BANCSHARES  COM    75992910       3,821,949      134718      134718                           124718                  10000
PLAYBOY ENTERPRISES  CL B   72811730       3,813,511      262097      262097                           226147                  35950
Page Total                               205,429,423


                                                                   Page 45 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SUPERGEN INC         COM    86805910       3,813,184      509784      509784                           459884                  49900
CONCURRENT COMPUTER  COM    20671020       3,810,356   1,005,371   1,005,371                           864021                 141350
SKYLINE CORP         COM    83083010       3,807,338      118905      118905                           109705                   9200
BIOLASE TECHNOLOGY I COM    09091110       3,805,371      333512      333512                           304112                  29400
FIRST BUSEY CORP     COM    31938310       3,789,529      146881      146881                           128281                  18600
FRIEDMANS INC        CL A   35843810       3,788,959      271610      271610                           245110                  26500
FISHER COMMUNICATION COM    33775620       3,778,186       80524       80524                            74024                   6500
OMNICELL INC         COM    68213N10       3,767,946      231731      231731                           231731
FINDWHAT COM         COM    31779410       3,754,592      217154      217154                           198854                  18300
MATTSON TECHNOLOGY I COM    57722310       3,753,115      421651      421651                           421651
FIRST IND CORP       COM    32054R10       3,745,461      202348      202348                           178648                  23700
BUNGE LIMITED        COM    G1696210       3,743,932      136143      136143                           110683                  25460
CAMDEN NATL CORP     COM    13303410       3,740,362      126749      126749                           110249                  16500
CIRCOR INTL INC      COM    17273K10       3,728,294      194182      194182                           177632                  16550
ST FRANCIS CAP CORP  COM    78937410       3,727,987      126630      126330        300                117680                   8950
SECOND BANCORP INC   COM    81311410       3,722,618      136660      136660                           123210                  13450
NORTHWEST BANCORP IN COM    66732810       3,717,096      203565      203565                           190465                  13100
ALCAN INC            COM    01371610       3,716,920       97149       97149                            97019                    130
II VI INC            COM    90210410       3,716,520      185919      185919                           165519                  20400
LEXICON GENETICS INC COM    52887210       3,715,788      720114      718414       1700                560924                 159190
EPIX MEDICAL INC     COM    26881Q10       3,715,592      216779      216779                           198279                  18500
MIDWEST BANC HOLDING COM    59825110       3,708,404      166595      166595                           151903                  14692
DAKTRONICS INC       COM    23426410       3,705,312      231582      231082        500                208982                  22600
U S B HLDG INC       COM    90291010       3,698,908      210764      210764                           192704                  18060
I-STAT CORP          COM    45031210       3,696,136      276450      266450      10000                252750                  23700
CENTURY BANCORP INC  CL A
                     NON V  15643210       3,694,346      110279       56279                54000       49079       54000       7200
FALCONSTOR SOFTWARE  COM    30613710       3,684,154      591357      591357                           528557                  62800
GOODYS FAMILY CLOTHI COM    38258810       3,682,493      373478      373478                           325428                  48050
PRIVATEBANCORP INC   COM    74296210       3,681,236      111182      111182                           102132                   9050
J JILL GROUP INC     COM    46618910       3,666,174      316869      316679         40       150      286344         150      30375
BENTLEY PHARMACEUTIC COM    08265710       3,662,912      225410      225410                           201510                  23900
WEST MARINE INC      COM    95423510       3,658,114      192027      191527                  500      173177         500      18350
CORNELL COMPANIES IN COM    21914110       3,657,180      222321      222021        300                194721                  27600
UNIVERSAL AMERN FINL COM    91337710       3,645,412      411911      411911                           373261                  38650
PEC SOLUTIONS INC    COM    70510710       3,638,133      246486      246386        100                232886                  13600
REGENERATION TECH IN COM    75886N10       3,633,660      403740      403740                           368540                  35200
ACCREDITED HOME LEND COM    00437P10       3,633,472      167364      167364                           153464                  13900
POWELL INDS INC      COM    73912810       3,628,206      216351      216351                           202951                  13400
VITAL SIGNS INC      COM    92846910       3,624,215      124672      124572        100                115772                   8900
MYERS INDS INC       COM    62846410       3,620,206      361659      361659                           337897                  23762
STAMPS COM INC       COM    85285710       3,612,279      619602      619402        200                560502                  59100
AFTERMARKET TECHNOLO COM    00831810       3,608,378      316247      316247                           316247
C COR NET CORP       COM    12501010       3,595,693      544802      544802                           489052                  55750
TRIZETTO GROUP INC   COM    89688210       3,595,213      536599      536599                           486787                  49812
LIONBRIDGE TECHNOLOG COM    53625210       3,592,338      479618      479618                           436718                  42900
CARDIAC SCIENCE INC  COM
                     NEW    14141020       3,583,263      863437      863437                           752587                 110850
CCC INFORMATION SVCS COM    12487Q10       3,570,181      213018      213018                           190018                  23000
SHARPER IMAGE CORP   COM    82001310       3,568,711      154156      154156                           139806                  14350
DITECH COMMUNICATION COM    25500M10       3,561,132      406522      403913       2609                406522
ARIAD PHARMACEUTICAL COM    04033A10       3,556,862      590841      590841                           541041                  49800
EXACT SCIENCES CORP  COM    30063P10       3,556,021      263409      263209        200                213429                  49980
ASBURY AUTOMOTIVE GR COM    04343610       3,552,061      213337      213337                           196937                  16400
Page Total                               191,429,951


                                                                   Page 46 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
REED ELSEVIER P L C  SPON-
                     SORED  75820510       3,549,406      112323      105404       6919                 24270       86003       2050
XICOR INC            COM    98490310       3,549,095      382034      381934                  100      336884         100      45050
ELIZABETH ARDEN INC  COM    28660G10       3,544,089      215054      215054                           189054                  26000
OCWEN FINL CORP      COM    67574610       3,540,828      778204      734604       1000     42600      665104       42600      70500
CASELLA WASTE SYS IN CL A   14744810       3,534,625      282770      282750                   20      248650          20      34100
BANK OF THE OZARKS I COM    06390410       3,529,910       79306       79306                            71706                   7600
INTERCHANGE FINL SVC COM    45844710       3,529,517      171920      171920                           156920                  15000
PACIFIC UN BK CALIF  COM    69502510       3,526,229      186573      186573                           170173                  16400
OSI SYSTEMS INC      COM    67104410       3,512,003      203006      203006                           185706                  17300
ENPRO INDS INC       COM    29355X10       3,503,712      363079      361314       1653       112      333627         202      29250
CLOSURE MED CORP     COM    18909310       3,503,089      143805      143805                           128805                  15000
ITLA CAP CORP        COM    45056510       3,499,976       82082       82082                            74882                   7200
GARTNER INC          CL B   36665120       3,490,996      320569      320259        310                320569
NATIONAL PRESTO INDS COM    63721510       3,490,351      101641      100921        400       320       90421         320      10900
INDEVUS PHARMACEUTIC COM    45407210       3,486,150      651617      651117        400       100      589817         100      61700
ARROW FINL CORP      COM    04274410       3,478,863      133751      133751                           120322                  13429
ROYAL BK CDA MONTREA COM    78008710       3,473,761       79147       79147                            55947                  23200
SYNOVIS LIFE TECHNOL COM    87162G10       3,473,318      142058      142058                           126558                  15500
FORRESTER RESH INC   COM    34656310       3,470,268      243016      243016                           215466                  27550
INET TECHNOLOGIES IN COM    45662V10       3,469,155      270394      270394                           249594                  20800
ENNIS BUSINESS FORMS COM    29338910       3,466,324      258488      252988       5500                235088                  23400
WINSTON HOTELS INC   COM    97563A10       3,454,123      379574      379574                           341331                  38243
GREAT SOUTHN BANCORP COM    39090510       3,451,075       88671       88671                            80921                   7750
QUAKER CITY BANCORP  COM    74731K10       3,448,880       86222       86222                            78722                   7500
VIRGINIA FINL CORP   COM    92781010       3,448,096      114669      114669                           104269                  10400
TRANSMONTAIGNE INC   COM    89393410       3,446,852      578331      574831       3500                530351                  47980
ADVANTA CORP         CL B   00794220       3,446,605      322414      322414                           288464                  33950
BIOVAIL CORP         COM    09067J10       3,436,635       92507       92507                            90408                   2099
KCS ENERGY INC       COM    48243420       3,428,770      504231      504231                           453831                  50400
GIBRALTAR STL CORP   COM    37476F10       3,420,310      157618      157618                           145968                  11650
SANDERSON FARMS INC  COM    80001310       3,417,468      108629      108629                           101229                   7400
COVENANT TRANS INC   CL A   22284P10       3,415,328      186732      186732                           174632                  12100
FIRST BANCORP N C    COM    31891010       3,412,766      121841      120941        900                110141                  11700
BIOPURE CORP         CL A   09065H10       3,410,595      527140      519270       5870      2000      477040        2000      48100
BANCFIRST CORP       COM    05945F10       3,405,939       64263       64263                            58906                   5357
U S PHYSICAL THERAPY COM    90337L10       3,403,684      278762      278662        100                261112                  17650
GEVITY HR INC        COM    37439310       3,401,859      230791      230791                           209291                  21500
PILGRIMS PRIDE CORP  CL B   72146710       3,401,462      272117      271717        400                240167                  31950
PATHMARK STORES INC  COM    70322A10       3,401,262      487986      485086       2900                437536                  50450
PENNROCK FINL SVCS C COM    70835210       3,398,523      120515      120515                           108927                  11588
HARVEST NATURAL RESO COM    41754V10       3,396,860      552335      552335                           501485                  50850
NASH FINCH CO        COM    63115810       3,392,066      218843      218843                           202643                  16200
MIDAS GROUP INC      COM    59562610       3,389,529      257563      253663       3900                238063                  19500
BIORELIANCE CORP     COM    09095110       3,381,931      132210      132210                           132210
CONNECTICUT WTR SVC  COM    20779710       3,379,332      125766      125766                           114516                  11250
NEOPHARM INC         COM    64091910       3,375,735      225049      225049                           197852                  27197
DIAGEO P L C         SPON
                     ADR N  25243Q20       3,362,464       76160       61441      14719                 69940                   6220
SUPERTEX INC         COM    86853210       3,354,241      186970      186970                           170520                  16450
NETWORK EQUIP TECHNO COM    64120810       3,349,769      366095      366095                           333895                  32200
INFOCUS CORP         COM    45665B10       3,347,140      690132      690032                  100      622532         100      67500
CASCADE BANCORP      COM    14715410       3,345,617      196801      196801                           177901                  18900
BOYKIN LODGING CO    COM    10343010       3,337,438      405029      404929        100                360622                  44407
Page Total                               179,084,019


                                                                   Page 47 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
FEDERAL AGRIC MTG CO CL C   31314830       3,335,283      123529      123429                  100      112529         100      10900
ADMINISTAFF INC      COM    00709410       3,329,153      374483      374483                           330783                  43700
VOLT INFORMATION SCI COM    92870310       3,329,023      201759      201759                           183309                  18450
ASIAINFO HLDGS INC   COM    04518A10       3,311,207      492007      491807        200                434157                  57850
ENCORE ACQUISITION C COM    29255W10       3,308,248      153515      153315        200                142115                  11400
PEAPACK-GLADSTONE FI COM    70469910       3,287,299      105803      105803                            95683                  10120
CEMEX S A            SPON
                     ADR 5  15129088       3,286,239      131713      131713                            84459       33182      14072
TRIPATH IMAGING INC  COM    89694210       3,283,243      380005      380005                           329805                  50200
LA JOLLA PHARMACEUTI COM    50345910       3,279,724      826127      826127                           765227                  60900
SOUTHERN FINL BANCOR COM    84287010       3,279,259       83548       83548                            75448                   8100
GREAT ATLANTIC & PAC COM    39006410       3,267,664      402918      397118       5800                364368                  38550
DIVERSA CORP         COM    25506410       3,266,795      421522      421515          7                377122                  44400
CERADYNE INC         COM    15671010       3,264,250      126179      126179                           126179
EURONET WORLDWIDE IN COM    29873610       3,258,807      267994      265994                 2000      231294        2000      34700
COURIER CORP         COM    22266010       3,247,650       63792       63792                            57442                   6350
CITIZENS INC         CL A   17474010       3,245,929      403221      403221                           363721                  39500
DOV PHARMACEUTICAL I COM    25985810       3,243,309      181698      181698                           166498                  15200
GRACE W R & CO DEL N COM    38388F10       3,235,466   1,043,699   1,030,500      12999       200      909439         200     134060
CHATTEM INC          COM    16245610       3,231,911      233351      232451        900                212951                  20400
LEARNING TREE INTL I COM    52201510       3,230,421      192631      192631                           170881                  21750
MACATAWA BK CORP     COM    55422510       3,227,438      139354      139354                           125482                  13872
CREDIT ACCEP CORP MI COM    22531010       3,221,313      285072      285072                           259472                  25600
AMERICAN HOME MTG HL COM    02660M10       3,219,386      183232      183232                           165132                  18100
SOUTHERN PERU COPPER COM    84361110       3,215,672      145374      145374                           142779                   2595
MAPICS INC           COM    56491010       3,204,030      326276      326276                           298776                  27500
PALATIN TECHNOLOGIES COM
                     NEW    69607730       3,198,974      666453      666453                           608653                  57800
S Y BANCORP INC      COM    78506010       3,191,287      170202      170202                           156402                  13800
GENENCOR INTL INC    COM    36870910       3,189,090      204560      204560                           204560
SEACOAST BKG CORP FL COM    81170730       3,187,279      183177      183177                           167997                  15180
CALGON CARBON CORP   COM    12960310       3,183,950      565533      565533                           504334                  61199
RYERSON TULL INC NEW COM    78375P10       3,174,896      407038      406738                  300      372588         300      34150
JOS A BANK CLOTHIERS COM    48083810       3,169,101       72222       72222                            65722                   6500
BOSTON COMMUNICATION COM    10058210       3,163,230      316323      316123        200                292073                  24250
DECODE GENETICS INC  COM    24358610       3,159,885      672316      672316                           576366                  95950
CLARK INC            COM    18145710       3,159,805      236867      236867                           213517                  23350
CURATIVE HEALTH SRVC COM    23126W10       3,158,845      177563      177563                           162013                  15550
PENN ENGR & MFG CORP COM
                     NON VT 70738930       3,152,778      204593      204593                           175143                  29450
PARKER DRILLING CO   COM    70108110       3,152,023   1,335,603   1,334,603       1000             1,209,753                 125850
QUAKER CHEM CORP     COM    74731610       3,144,565      135192      134652                  540      118652         540      16000
AETHER SYS INC       COM    00808V10       3,143,049      687757      679657       8100                558267                 129490
STAAR SURGICAL CO    COM
                     PAR $0 85231230       3,115,180      293608      293608                           267908                  25700
SYKES ENTERPRISES IN COM    87123710       3,112,485      470164      470164                           403414                  66750
CRH PLC              ADR    12626K20       3,111,120      172840       31709     141131                 73211       92129       7500
METRIS COS INC       COM    59159810       3,106,962      754117      754017                  100      664917         100      89100
BERKSHIRE HILLS BANC COM    08468010       3,106,925       92221       92221                            80621                  11600
QUIDEL CORP          COM    74838J10       3,096,106      463489      463489                           406839                  56650
AK STL HLDG CORP     COM    00154710       3,095,898   1,547,949   1,547,769        100        80   1,421,169          80     126700
SOUND FED BANCORP IN COM    83607V10       3,093,513      206924      206924                           183824                  23100
PDI INC              COM    69329V10       3,089,093      126034      126034                           122734                   3300
WORLD ACCEP CORP DEL COM    98141910       3,086,953      228494      228494                           208894                  19600
INTERTAN INC         COM    46112010       3,081,198      336743      336743                           286193                  50550
LODGENET ENTMT CORP  COM    54021110       3,080,702      198755      198755                           172405                  26350
Page Total                               166,313,611


                                                                   Page 48 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
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                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
LANNET INC           COM    51601210       3,077,382      175951      175951                           166651                   9300
INPUT/OUTPUT INC     COM    45765210       3,076,083      786722      786722                           703872                  82850
MONRO MUFFLER BRAKE  COM    61023610       3,075,640      104259      104259                            95659                   8600
SHELL TRANS & TRADIN ADR NY
                     SHS    82270360       3,074,117       81412       81412                            81412
BALDWIN & LYONS INC  CL B   05775520       3,072,860      131600      131600                           113877                  17723
VITALWORKS INC       COM    92848310       3,067,737      584331      584331                           527481                  56850
LSI INDS INC         COM    50216C10       3,066,195      217615      217015        600                197865                  19750
LAWSON PRODS INC     COM    52077610       3,066,093      113559      113559                            96160                  17399
BIG 5 SPORTING GOODS COM    08915P10       3,062,570      200430      200430                           180430                  20000
FARMERS CAP BK CORP  COM    30956210       3,057,667       94140       94140                            85390                   8750
CENTRAL EUROPEAN DIS COM    15343510       3,056,854      111768      111468        300                102468                   9300
MASTEC INC           COM    57632310       3,056,256      315078      315078                           301778                  13300
KENSEY NASH CORP     COM    49005710       3,055,327      129793      129793                           118493                  11300
MISSION WEST PPTYS I COM    60520310       3,053,859      247076      247076                           223676                  23400
SILICON GRAPHICS INC COM    82705610       3,052,031   3,179,199   3,178,799        400             2,850,749                 328450
RIVIANA FOODS INC    COM    76953610       3,042,378      107126      107126                            98726                   8400
HERLEY INDS INC DEL  COM    42739810       3,038,542      173631      173631                           155881                  17750
MIDDLESEX WATER CO   COM    59668010       3,034,999      123827      123827                           111827                  12000
MERIDIAN BIOSCIENCE  COM    58958410       3,032,570      302350      301950        400                288150                  14200
STMICROELECTRONICS N NY RE-
                     GISTR  86101210       3,031,358      126044      126044                           126044
SALEM COMMUNICATIONS CL A   79409310       3,029,765      156254      156254                           142204                  14050
CITIZENS FIRST BANCO COM    17461R10       3,025,739      146171      146171                           125934                  20237
BASSETT FURNITURE IN COM    07020310       3,023,484      217846      217206                  640      198306         640      18900
OCTEL CORP           COM    67572710       3,022,119      173685      173685                           157735                  15950
SAP AKTIENGESELLSCHA SPON-
                     SORED  80305420       3,007,670       98904       72259      26645                 93654                   5250
LYDALL INC DEL       COM    55081910       3,005,286      250232      250232                           229132                  21100
PLAYTEX PRODS INC    COM    72813P10       3,005,139      504218      504118                  100      460568         100      43550
FIRST NATL CORP ORAN COM    32094210       2,989,915      112827      112827                           100012                  12815
NTT DOCOMO INC       SPONS
                     ADR    62942M20       2,989,034      122351      102987      19364                113651                   8700
NL INDS INC          COM
                     NEW    62915640       2,987,757      183636      182748                  888      170548         888      12200
ZYMOGENETICS INC     COM    98985T10       2,983,501      203652      203652                           187252                  16400
STANLEY FURNITURE IN COM
                     NEW    85430520       2,982,322       96235       96235                            87835                   8400
ALLOY INC            COM    01985510       2,978,410      531859      531859                           481059                  50800
THERAGENICS CORP     COM    88337510       2,977,092      522297      522297                           476547                  45750
UNIVERSAL DISPLAY CO COM    91347P10       2,975,664      286397      286397                           258397                  28000
PINNACLE ENTMT INC   COM    72345610       2,973,523      424789      424569                  220      383369         220      41200
PUMATECH INC         COM    74588710       2,966,265      623165      623165                           565565                  57600
MTR GAMING GROUP INC COM    55376910       2,962,374      341681      341681                           309431                  32250
CROWN MEDIA HLDGS IN CL A   22841110       2,961,127      361996      361916                   80      314416          80      47500
PROXIM CORP          CL A   74428310       2,957,397   1,971,598   1,971,598                        1,802,898                 168700
SHOE CARNIVAL INC    COM    82488910       2,955,100      206506      206506                           191806                  14700
ENCORE WIRE CORP     COM    29256210       2,938,704      221789      209489      12300                201489                  20300
CENTURY ALUM CO      COM    15643110       2,934,645      273882      273882                           243932                  29950
MONOLITHIC SYS TECHN COM    60984210       2,934,294      348491      348491                           317291                  31200
IMMUNOGEN INC        COM    45253H10       2,932,932      659086      659086                           587929                  71157
UNIBANCO-UNIAO DE BA GDR
                     REP PF 90458E10       2,930,221      147991      147991                            84195       47528      16268
SOUNDVIEW TECHNOLOGY COM
                     NEW    83611Q40       2,926,275      302270      302270                           269996                  32274
SYNTEL INC           COM    87162H10       2,913,064      127766      127766                           127766
D & E COMMUNICATIONS COM    23286010       2,908,856      205138      205138                           186238                  18900
WOODHEAD INDS INC    COM    97943810       2,907,810      193210      193210                           176310                  16900
EMS TECHNOLOGIES INC COM    26873N10       2,907,468      171229      171229                           154779                  16450
NAVIGANT INTL INC    COM    63935R10       2,900,448      207027      207027                           185577                  21450
Page Total                               156,043,918


                                                                   Page 49 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
FINANCIAL INSTNS INC COM    31758540       2,896,464      132138      132138                           117438                  14700
ASTEC INDS INC       COM    04622410       2,895,154      281083      281023                   60      257723          60      23300
COACHMEN INDS INC    COM    18987310       2,895,063      247230      247230                           227330                  19900
ACADIA RLTY TR       COM SH
                     BEN    00423910       2,892,724      263454      263454                           253654                   9800
SONIC SOLUTIONS      COM    83546010       2,891,504      207425      207425                           200825                   6600
SIPEX CORP           COM    82990910       2,887,402      367822      367822                           367822
SUN BANCORP INC      COM    86663B10       2,879,844      130902      130902                           115572                  15330
SIEMENS A G          SPON-
                     SORED  82619750       2,871,938       48341       45231       3110                 46841                   1500
SUPERCONDUCTOR TECHN COM    86793110       2,868,916      745173      745173                           745173
UNITED INDL CORP     COM    91067110       2,848,771      179168      179168                           156168                  23000
ENERGY CONVERSION DE COM    29265910       2,847,149      269872      269872                           244122                  25750
HOLLIS-EDEN PHARMACE COM    43590210       2,843,036      117287      117287                           117287
MSC SOFTWARE CORP    COM    55353110       2,841,379      394636      394636                           352986                  41650
NATURES SUNSHINE PRO COM    63902710       2,837,238      341836      341336        500                332636                   9200
KANSAS CITY LIFE INS COM    48483610       2,836,439       61931       61931                            56631                   5300
SEAGATE TECHNOLOGY   SHS    G7945J10       2,829,480      104025      104025                           100825                   3200
OPEN JT STK CO-VIMPE SPON-
                     SORED  68370R10       2,828,285       46472       46472                            28439       13669       4364
SHORE BANCSHARES INC COM    82510710       2,824,826       81666       81666                            72966                   8700
E-LOAN INC           COM    26861P10       2,824,789      778179      778179                           708879                  69300
HYPERCOM CORP        COM    44913M10       2,823,411      523824      523824                           448424                  75400
MIM CORP             COM    55304410       2,818,425      375790      375790                           344740                  31050
INTEGRAL SYS INC MD  COM    45810H10       2,817,275      155909      155809        100                141559                  14350
RESOURCE AMERICA INC CL A   76119520       2,816,524      237481      237481                           211431                  26050
GSI COMMERCE INC     COM    36238G10       2,814,860      282333      282333                           249043                  33290
WATCHGUARD TECHNOLOG COM    94110510       2,813,158      524843      524843                           476943                  47900
PAXSON COMMUNICATION COM    70423110       2,811,094      566753      566753                           494653                  72100
KIRKLANDS INC        COM    49749810       2,802,586      174616      174616                           158416                  16200
FIRST OAK BROOK BANC COM    33584720       2,799,743      112984      112984                           103834                   9150
OPTION CARE INC      COM    68394810       2,798,508      233209      233209                           201759                  31450
ORTHOLOGIC CORP      COM    68750J10       2,779,790      511932      511632        300                460932                  51000
HORIZON ORGANIC HOLD COM    44043T10       2,776,118      116107      116107                           101807                  14300
MIDLAND CO           COM    59748610       2,771,708      130372      130372                           120272                  10100
QUIXOTE CORP         COM    74905610       2,769,417      110116      110116                           100216                   9900
EXACTECH INC         COM    30064E10       2,768,796      167400      167400                           158100                   9300
LAKELAND BANCORP INC COM    51163710       2,767,484      173510      173510                           156147                  17363
INTEGRATED DEFENSE T COM    45819B10       2,759,739      164466      161066       3400                150066                  14400
MERIDIAN RESOURCE CO COM    58977Q10       2,759,568      640271      640271                           593171                  47100
ABC BANCORP          COM    00040010       2,759,374      176883      176883                           160683                  16200
TORONTO DOMINION BK  COM
                     NEW    89116050       2,758,995       97491       97491                            97491
SS&C TECHNOLOGIES IN COM    85227Q10       2,755,681      137853      137853                           120053                  17800
DEPARTMENT 56 INC    COM    24950910       2,746,387      216251      216251                           190051                  26200
CNA SURETY CORP      COM    12612L10       2,743,459      272981      272981                           250281                  22700
CONSOLIDATED TOMOKA  COM    21022610       2,743,127       94558       94558                            85558                   9000
GROUP 1 SOFTWARE INC COM    39943Y10       2,742,884      152552      151952                  600      137952         600      14000
COLDWATER CREEK INC  COM    19306810       2,741,320      281739      281514        225                281739
DEB SHOPS INC        COM    24272810       2,736,459      149943      149843        100                140643                   9300
INNOVEX INC          COM    45764710       2,736,409      275016      275016                           252516                  22500
VALENCE TECHNOLOGY I COM    91891410       2,734,669      801956      800196                 1760      722996        1760      77200
ETHYL CORP           COM
                     NEW    29765960       2,733,332      217276      217276                           194876                  22400
UNIVERSAL ELECTRS IN COM    91348310       2,731,026      236248      235948        300                211448                  24800
NBC CAP CORP         COM    62872910       2,725,618      112443      112443                            96911                  15532
WILLOW GROVE BANCORP COM    97111W10       2,722,202      169186      168686        500                147986                  21200
Page Total                               145,719,547


                                                                   Page 50 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SBS TECHNOLOGIES INC COM    78387P10       2,721,532      250371      250371                           225271                  25100
ING GROUP N V        SPON-
                     SORED  45683710       2,721,202      147092      103946      43146                138092                   9000
YARDVILLE NATL BANCO COM    98502110       2,714,763      129583      129583                           115483                  14100
HORIZON FINL CORP WA COM    44041F10       2,713,682      168134      168134                           152434                  15700
PDF SOLUTIONS INC    COM    69328210       2,710,800      240960      240960                           220160                  20800
APPLIED SIGNAL TECHN COM    03823710       2,703,703      135524      135524                           122924                  12600
GLADSTONE CAPITAL CO COM    37653510       2,697,053      138666      138666                           125866                  12800
BUILDING MATLS HLDG  COM    12011310       2,696,176      205815      205815                           188665                  17150
MAGNA ENTMT CORP     CL A   55921110       2,695,198      655766      655766                           577566                  78200
REPUBLIC BANCORP KY  CL A   76028120       2,687,889      140580      140580                           124380                  16200
BUCKLE INC           COM    11844010       2,685,460      139432      139332        100                129233                  10199
CSS INDS INC         COM    12590610       2,685,081      104275      102325       1950                 89875                  14400
SANTANDER BANCORP    COM    80280910       2,684,297      143010      143010                           129810                  13200
HUMBOLDT BANCORP     COM    44506910       2,682,552      173628      173628                           153928                  19700
PETROLEUM DEV CORP   COM    71657810       2,679,216      223268      223268                           223268
COLLAGENEX PHARMACEU COM    19419B10       2,672,063      248564      247564       1000                248564
ALLIANCE SEMICONDUCT COM    01877H10       2,662,967      489516      489516                           414766                  74750
RAVEN INDS INC       COM    75421210       2,662,728      108241      108241                            97841                  10400
HUDSON HIGHLAND GROU COM    44379210       2,662,238      138370      137969        394         7      122585          29      15756
DOVER DOWNS GAMING & COM    26009510       2,656,177      323136      322936        200                293536                  29600
TWEETER HOME ENTMT G COM    90116710       2,653,939      345565      345165        400                312065                  33500
AXA                  SPON-
                     SORED  05453610       2,651,918      156087      110840      45247                144264                  11823
LAKELAND FINL CORP   COM    51165610       2,650,345       78459       78459                            69959                   8500
GREEN MTN COFFEE ROA COM    39312210       2,641,933      133431      133431                           131631                   1800
RADIO ONE INC        CL A   75040P10       2,634,901      179245      176025       3120       100      173345         100       5800
CAPITAL CORP OF THE  COM    14006510       2,634,492       82097       82097                            74297                   7800
KOSAN BIOSCIENCES IN COM    50064W10       2,632,260      330686      330686                           290786                  39900
DURA AUTOMOTIVE SYST CL A   26590310       2,632,118      276483      276483                           251083                  25400
COLUMBIA BANCORP     COM    19722710       2,629,095       98064       98064                            88864                   9200
NARA BANCORP INC     COM    63080P10       2,628,504      153355      153355                           138955                  14400
LTC PPTYS INC        COM    50217510       2,626,332      226799      226799                           222699                   4100
CARDIODYNAMICS INTL  COM    14159710       2,622,362      584045      584045                           519845                  64200
SAUER-DANFOSS INC    COM    80413710       2,619,469      185778      185718         60                185778
ADVANCED MARKETING S COM    00753T10       2,616,074      255976      255976                           232176                  23800
TENARIS S A          SPON-
                     SORED  88031M10       2,615,628       99378       99378                            58738       31860       8780
AMERICANWEST BANCORP COM    03058P10       2,599,569      142053      142053                           127653                  14400
FIRSTBANK CORP MICH  COM    33761G10       2,599,241       81995       81995                            72995                   9000
SAFETY INS GROUP INC COM    78648T10       2,595,192      167216      167216                           153116                  14100
ABN AMRO HLDG NV     SPON-
                     SORED  00093710       2,594,831      140489      140489                           140489
HICKORY TECH CORP    COM    42906010       2,588,899      223181      222981        200                204181                  19000
SIGMA DESIGNS INC    COM    82656510       2,585,415      298892      298792        100                273492                  25400
MATERIAL SCIENCES CO COM    57667410       2,573,283      251789      251789                           251789
CPI CORP             COM    12590210       2,572,780      139825      137225       2600                137725                   2100
VASTERA INC          COM    92239N10       2,565,188      499064      499064                           430617                  68447
DATASTREAM SYS INC   COM    23812410       2,553,532      329488      329488                           299388                  30100
LASERSCOPE           COM    51808110       2,551,630      217160      217160                           196460                  20700
BOSTON BEER INC      CL A   10055710       2,539,446      159513      144943      14570                147013                  12500
DOBSON COMMUNICATION CL A   25606910       2,536,517      312379      312379                           288479                  23900
GERBER SCIENTIFIC IN COM    37373010       2,532,144      356640      352622       2018      2000      318340        2000      36300
MATRIA HEALTHCARE IN COM
                     NEW    57681720       2,531,179      146650      146650                           133150                  13500
UNILEVER N V         N Y
                     SHS NE 90478470       2,522,488       42624       42624                            42354                    270
CRAWFORD & CO        CL B   22463310       2,516,915      358535      358535                           318875                  39660
Page Total                               136,842,396


                                                                   Page 51 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
IXYS CORP            COM    46600W10       2,515,316      268186      267986        200                244086                  24100
JNI CORP             COM    46622G10       2,510,020      361154      361154                           361154
NORTEL NETWORKS CORP NOTE
                     4.25   656568AB       2,502,500   2,750,000   2,750,000                        2,750,000
CFS BANCORP INC      COM    12525D10       2,499,948      179594      179594                           154994                  24600
NYFIX INC            COM    67071210       2,499,128      446273      445253                 1020      399253        1020      46000
GERMAN AMERN BANCORP COM    37386510       2,488,919      141738      141738                           126690                  15048
ENCANA CORP          COM    29250510       2,483,626       68269       43339      24930                 64797                   3472
TRICO BANCSHARES     COM    89609510       2,481,936       86781       86781                            78881                   7900
SM&A                 COM    78465D10       2,481,175      215193      215193                           194993                  20200
ARACRUZ CELULOSE S A SPON
                     ADR P  03849620       2,479,822       90836       90836                            53061       28039       9736
ASPEN TECHNOLOGY INC COM    04532710       2,478,874      609060      609060                           529060                  80000
WACKENHUT CORRECTION COM    92979810       2,477,382      145301      145301                           145301
GUILFORD PHARMACEUTI COM    40182910       2,471,437      399263      399263                           354113                  45150
AAON INC             COM
                     PAR $0 00036020       2,466,381      149932      149932                           138332                  11600
L S B BANCSHARES N C COM    50215810       2,464,919      133963      133963                           121113                  12850
MAINSOURCE FINANCIAL COM    56062Y10       2,462,952       95058       95058                            81498                  13560
ENDESA S A           SPON-
                     SORED  29258N10       2,459,574      158172      131184      26988                154092                   4080
HEICO CORP NEW       COM    42280610       2,450,271      180167      180167                           180167
STANDARD COML CORP   COM    85325810       2,445,176      132890      132690        200                132190                    700
VERINT SYS INC       COM    92343X10       2,440,525      113990      113990                           106490                   7500
YOUNG INNOVATIONS IN COM    98752010       2,433,784       76032       75932        100                 66832                   9200
SFBC INTL INC        COM    78412110       2,432,812       85566       85566                            79266                   6300
WAYNE BANCORP INC OH COM    94429310       2,423,013       85018       85018                            77318                   7700
AVATAR HLDGS INC     COM    05349410       2,417,760       75555       75555                            68555                   7000
HEARTLAND FINL USA I COM    42234Q10       2,417,085       86883       86883                            86883
RENT WAY INC         COM    76009U10       2,415,839      449877      449877                           383577                  66300
PARTNERS TRUST FINCL COM    70213A10       2,412,458      109907      109907                            99607                  10300
INFONET SVCS CORP    CL B   45666T10       2,408,762   1,158,059   1,157,259        800             1,034,059                 124000
VITAL IMAGES INC     COM    92846N10       2,407,672      128615      128615                           116215                  12400
MERCANTILE BANK CORP COM    58737610       2,403,680       72400       72400                            64800                   7600
E ON AG              SPON-
                     SORED  26878010       2,402,912       49240       38996      10244                 47470                   1770
CHESAPEAKE UTILS COR COM    16530310       2,400,938      104753       98253       6500                 88353                  16400
1 800 FLOWERS COM    CL A   68243Q10       2,397,240      318782      318782                           291082                  27700
METROLOGIC INSTRS IN COM    59167610       2,397,132       66587       66587                            62987                   3600
APEX MORTGAGE CAPITA COM    03756410       2,387,692      443809      443809                           405759                  38050
PROVIDENT BANCORP IN COM    74383510       2,385,727       56776       56776                            50576                   6200
REED ELSEVIER N V    SPON-
                     SORED  75820410       2,382,036      104567      104567                            22858       81709
FLORIDAFIRST BANCORP COM    34325810       2,378,871       90417       90417                            80317                  10100
AVANT IMMUNOTHERAPEU COM    05349110       2,376,057      985916      985916                           895616                  90300
DARLING INTL INC     COM    23726610       2,372,595      895319      895319                           793819                 101500
RYANAIR HLDGS PLC    SPON-
                     SORED  78351310       2,370,046       58592       56318       2274                 53131                   5461
REPLIGEN CORP        COM    75991610       2,369,918      439688      439688                           393388                  46300
MCMORAN EXPLORATION  COM    58241110       2,368,626      226014      225440                  574      208040         574      17400
QUALITY SYS INC      COM    74758210       2,367,659       58897       58897                            53197                   5700
MATRIX SVC CO        COM    57685310       2,359,550      132336      131936        400                119636                  12700
CHARTER FINL CORP WE COM    16122M10       2,350,739       76199       76199                            76199
OVERLAND STORAGE INC COM    69031010       2,350,332      158485      158485                           147085                  11400
FARGO ELECTRONICS IN COM    30744P10       2,350,216      187867      187867                           170667                  17200
TEEKAY SHIPPING MARS COM    Y8564W10       2,348,073       55510       34000      18760      2750       52760        2750
C & F FINL CORP      COM    12466Q10       2,344,838       52693       52693                            46193                   6500
ULTICOM INC          COM    90384410       2,343,696      223018      223018                           223018
F N B CORP VA        COM    30293010       2,338,163       85647       85647                            75597                  10050
Page Total                               125,875,802


                                                                   Page 52 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
EXCHANGE NATL BANCSH COM    30130910       2,336,761       67439       67439                            58889                   8550
STEIN MART INC       COM    85837510       2,335,348      432472      432472                           396672                  35800
DIGIMARC CORP        COM    25380710       2,328,064      157408      157408                           142308                  15100
ASSOCIATED ESTATES R COM    04560410       2,324,836      356570      356070        500                343538                  13032
SBA COMMUNICATIONS C COM    78388J10       2,320,960      736813      736713                  100      674713         100      62000
PLUG POWER INC       COM    72919P10       2,310,423      450375      450175        200                330295                 120080
ARENA PHARMACEUTICAL COM    04004710       2,309,731      320796      320796                           272546                  48250
COMPANHIA SIDERURGIC SPON-
                     SORED  20440W10       2,304,573       64881       64881                            36793       21874       6214
TRADESTATION GROUP I COM    89267P10       2,302,182      308108      308108                           279908                  28200
SUMMIT BANCSHARES IN COM    86601110       2,296,188       85044       85044                            74744                  10300
STATE BANCORP INC N. COM    85571610       2,293,788      115150      115150                           103600                  11550
DRIL-QUIP INC        COM    26203710       2,290,254      135518      135418        100                125518                  10000
GENE LOGIC INC       COM    36868910       2,289,097      493340      493240        100                442015                  51325
KLAMATH FIRST BANCOR COM    49842P10       2,284,129      106288      106288                            95188                  11100
GULF ISLAND FABRICAT COM    40230710       2,281,128      151570      151220        350                139570                  12000
HEALTHEXTRAS INC     COM    42221110       2,277,982      264574      264574                           235874                  28700
OPNET TECHNOLOGIES I COM    68375710       2,275,028      182148      182148                           182148
GLOBAL POWER EQUIPME COM    37941P10       2,272,302      431177      425477       5700                385627                  45550
SHENANDOAH TELECOMMU COM    82312B10       2,265,120       58758       58758                            52658                   6100
NATIONAL BANKSHARES  COM    63486510       2,260,709       52845       52845                            46245                   6600
MASSBANK CORP READ M COM    57615210       2,260,215       61469       61369        100                 55069                   6400
PENN-AMER GROUP INC  COM    70724710       2,257,006      150668      150668                           130768                  19900
CHEROKEE INC DEL NEW COM    16444H10       2,255,934      106412       94612                11800       84012       11800      10600
CAMCO FINL CORP      COM    13261810       2,240,226      131778      131778                           117578                  14200
MERCHANTS BANCSHARES COM    58844810       2,239,634       79195       60865                18330       60865       18330
SOUTHSIDE BANCSHARES COM    84470P10       2,236,958      133311      133311                           117036                  16275
CNB FINL CORP PA     COM    12612810       2,222,561       52605       52605                            45905                   6700
STELLENT INC         COM    85856W10       2,220,785      286553      286453                  100      286453         100
FIRST LONG IS CORP   COM    32073410       2,218,537       58707       58707                            52857                   5850
SOUTHWEST WTR CO     COM    84533110       2,217,643      157615      157305        310                141715                  15900
PENNFED FINL SVCS IN COM    70816710       2,214,451       76098       76098                            68798                   7300
CRIIMI MAE INC       COM
                     NEW    22660350       2,212,330      213134      213134                           195034                  18100
COASTAL FINL CORP DE COM    19046E10       2,212,084      158119      158119                           141476                  16643
OMNOVA SOLUTIONS INC COM    68212910       2,208,141      629100      629100                           567200                  61900
CEPHEID              COM    15670R10       2,207,110      469598      469598                           399498                  70100
NEOSE TECHNOLOGIES I COM    64052210       2,205,029      235832      235732                  100      204332         100      31400
RESOURCES BANKSHARES COM    76121R10       2,199,454       75453       75453                            66303                   9150
APPLICA INC          COM    03815A10       2,195,853      362951      362951                           316151                  46800
OSTEOTECH INC        COM    68858210       2,193,774      265912      265912                           243612                  22300
TEPPCO PARTNERS L P  UT LTD
                     PAR    87238410       2,188,606       61860       58660        800      2400       58760        2400        700
LLOYDS TSB GROUP PLC SPON-
                     SORED  53943910       2,186,396       79074       78754        320                 79074
BONE CARE INTL INC   COM    09807210       2,182,802      171604      171604                           152604                  19000
BRUSH ENGINEERED MAT COM    11742110       2,179,119      212597      212597                           212597
KMART HLDG CORPORATI COM    49878010       2,168,386       86979       86979                            86979
COLE NATIONAL CORP N CL A   19329010       2,163,330      173622      173622                           172922                    700
PENNS WOODS BANCORP  COM    70843010       2,162,837       49595       49595                            44295                   5300
REGISTER COM INC     COM    75914G10       2,160,145      478968      478968                           438469                  40499
SKECHERS U S A INC   CL A   83056610       2,160,051      291112      291112                           264012                  27100
FIRST UTD CORP       COM    33741H10       2,157,584       95680       95680                            85280                  10400
GLAMIS GOLD LTD      COM    37677510       2,155,652      163307      163307                           156116                   7191
MTC TECHNOLOGIES INC COM    55377A10       2,154,654       93803       93803                            85203                   8600
ON SEMICONDUCTOR COR COM    68218910       2,153,796      538449      538449                           538449
Page Total                               116,349,686


                                                                   Page 53 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SEMITOOL INC         COM    81690910       2,146,886      269371      269371                           236171                  33200
WARWICK VALLEY TEL C COM    93675010       2,140,045       27440       27440                            23990                   3450
FIRST DEFIANCE FINL  COM    32006W10       2,137,099       91721       91721                            81521                  10200
NET2PHONE            COM    64108N10       2,135,840      338485      338485                           338485
BEBE STORES INC      COM    07557110       2,135,317       78794       78794                            78794
LUFKIN INDS INC      COM    54976410       2,130,432       88768       88768                            80868                   7900
SANFILIPPO JOHN B &  COM    80042210       2,126,042       99955       99955                            85655                  14300
KINDER MORGAN MANAGE SHS    49455U10       2,123,282       55627       55627                            55627
ICT GROUP INC        COM    44929Y10       2,122,143      198146      198146                           198146
DAVE & BUSTERS INC   COM    23833N10       2,117,710      205603      205603                           179953                  25650
OMEGA HEALTHCARE INV COM    68193610       2,116,792      275624      275624                           275624
NN INC               COM    62933710       2,116,138      164552      164552                           164552
AMDOCS LTD           ORD    G0260210       2,115,000      112500      110300       2200                 21443                  91057
STATE FINL SVCS CORP CL A   85685510       2,114,427       85328       85328                            76328                   9000
THREE FIVE SYS INC   COM    88554L10       2,113,162      383514      383514                           339614                  43900
CENTRAL COAST BANCOR COM    15314510       2,107,584      124783      124783                           113343                  11440
IPAYMENT INC         COM    46262E10       2,105,347       93571       93571                            93571
SIZELER PPTY INVS IN COM    83013710       2,105,044      200863      200863                           200863
B A S F  A G         SPON-
                     SORED  05526250       2,104,943       48102       48102                            48102
LUMINEX CORP DEL     COM    55027E10       2,104,351      315495      315495                           278495                  37000
GREAT AMERN FINL RES COM    38991510       2,099,860      145018      145018                           145018
KINDER MORGAN ENERGY UT LTD
                     PAR    49455010       2,099,211       49047       19611      18836     10600       36747       10600       1700
NORTEL NETWORKS CORP COM    65656810       2,093,111      510515      510515                           507635                   2880
AO TATNEFT           SPON
                     ADR R  03737P30       2,090,799       96662       96662                            59286       27738       9638
UNITED SEC BANCSHARE SHS    91145910       2,089,625       82366       82366                            74366                   8000
SEEBEYOND TECHNOLOGI COM    81570410       2,089,138      819270      819270                           705870                 113400
IBT BANCORP INC      COM    44923F10       2,080,049       41676       41676                            36176                   5500
OVERSTOCK COM INC DE COM    69037010       2,079,742      139655      139655                           125955                  13700
INTERPOOL INC        COM    46062R10       2,078,227      130624      124519       6105                130624
DUCOMMUN INC DEL     COM    26414710       2,078,021      127486      127486                           112686                  14800
TIER TECHNOLOGIES IN CL B   88650Q10       2,076,858      233093      233093                           208243                  24850
MANULIFE FINL CORP   COM    56501R10       2,073,806       71758       71758                            52458                  19300
CITIZENS SOUTH BKG C COM    17668210       2,070,758      140581      140581                           124381                  16200
WHITEHALL JEWELLERS  COM    96506310       2,058,525      183633      183593         40                163033                  20600
PATRIOT BANK CORP PA COM    70335P10       2,058,111      109474      109474                            96274                  13200
ULTIMATE ELECTRS INC COM    90384910       2,052,913      218395      218395                           194945                  23450
COASTAL BANCORP INC  COM    19041P10       2,052,129       64634       64634                            58234                   6400
AMERICAN MTG ACCEP C SH BEN
                     INT    02756810       2,051,869      124055      123455        600                105555                  18500
GREENE CNTY BANCSHAR COM
                     NEW    39436120       2,044,255       85713       85713                            76413                   9300
CHRONIMED INC        COM    17116410       2,039,019      225306      225306                           204306                  21000
QAD INC              COM    74727D10       2,028,468      187474      187474                           187474
ACETO CORP           COM    00444610       2,024,415      143984      143984                           130184                  13800
PROGENICS PHARMACEUT COM    74318710       2,020,671      117961      117961                           117961
DREXLER TECHNOLOGY C COM    26187610       2,018,809      143995      143045        950                132395                  11600
TRIARC COS INC       CL A   89592710       2,014,735      200073      198773        800       500      174292         500      25281
ENERGYSOUTH INC      COM    29297010       2,014,629       64283       64283                            64283
FFLC BANCORP INC     COM    30242W10       2,010,124       69243       69243                            60943                   8300
MATSUSHITA ELEC INDL ADR    57687920       2,004,328      167586      155116      12470                167586
WORLD WRESTLING ENTM CL A   98156Q10       1,995,723      199174      196774       2400                169324                  29850
BROADVISION INC      COM
                     NEW    11141260       1,989,956      405865      405850                   15      367050          15      38800
A S V INC            COM    00196310       1,985,810      104242      104242                           104242
PARTHUSCEVA INC      COM    70212E10       1,985,612      231154      231088                   66      231088          66
Page Total                               107,966,890


                                                                   Page 54 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SAFLINK CORP         COM
                     NEW    78657830       1,980,838      430617      430517        100                385217                  45400
INSURANCE AUTO AUCTI COM    45787510       1,977,997      175822      175722        100                155622                  20200
NELSON THOMAS INC    COM    64037610       1,976,059      143089      143049                   40      143049          40
AMERICAN NATL BANKSH COM    02774510       1,973,953       79053       79053                            71053                   8000
HEXCEL CORP NEW      COM    42829110       1,973,874      334555      334555                           334555
COMMERCIAL CAP BANCO COM    20162L10       1,966,082      125789      125789                           125789
WILSONS THE LEATHER  COM    97246310       1,965,084      245943      245943                           245943
NS GROUP INC         COM    62891610       1,961,650      303661      303661                           271411                  32250
CAPSTEAD MTG CORP    COM NO
                     PAR    14067E50       1,956,034      157364      157314                   50      142464          50      14850
BLUE RHINO CORP      COM    09581110       1,951,254      176106      172706                 3400      158306        3400      14400
RAINDANCE COMM       COM    75086X10       1,950,000      706522      706522                           630172                  76350
CREDIT SUISSE GROUP  SPON-
                     SORED  22540110       1,938,117       60623       60623                            60623
F N B CORP N C       COM    30251910       1,935,047       77557       77557                            68957                   8600
CEDAR FAIR L P       DEPO-
                     SITRY  15018510       1,928,136       68862       53362       6300      9200       58662        9200       1000
CELESTICA INC        SUB
                     VTG SH 15101Q10       1,927,370      121524      121524                           121524
ROYAL BANCSHARES PA  CL A   78008110       1,922,540       71603       71603                            70003                   1600
VALUE LINE INC       COM    92043710       1,919,079       39906       39906                            32835                   7071
CHICAGO PIZZA & BREW COM    16788910       1,915,156      162992      162992                           162992
PARKVALE FINL CORP   COM    70149210       1,912,056       75725       75225        500                 75725
YADKIN VY BK&TR CO E COM    98430810       1,907,787      108397      108397                            97497                  10900
SPECIALTY LABORATORI COM    84749R10       1,907,166      146143      145748        395                125843                  20300
RPC INC              COM    74966010       1,906,390      190639      190639                           172539                  18100
1-800 CONTACTS INC   COM    68197710       1,900,370       94171       94171                            84171                  10000
VIVUS INC            COM    92855110       1,894,053      541158      541158                           485333                  55825
FIRST M & F CORP     COM    32074410       1,892,729       53092       53092                            47492                   5600
RADIANT SYSTEMS INC  COM    75025N10       1,891,597      310098      310098                           282848                  27250
DIGITAS INC          COM    25388K10       1,890,162      260353      235429      23189      1735      258618        1735
CRYOLIFE INC         COM    22890310       1,883,038      305688      300088       5600                279088                  26600
CENTER BANCORP INC   COM    15140810       1,879,595      116963      116963                           102763                  14200
NASB FINL INC        COM    62896810       1,873,131       56065       56065                            49165                   6900
SONY CORP            ADR
                     NEW    83569930       1,872,170       53798       50188       3610                 53798
COMPANHIA BRASILEIRA SPON
                     ADR P  20440T20       1,868,893       98988       98988                            53277       34720      10991
COMPUTER HORIZONS CO COM    20590810       1,867,841      504822      504822                           444522                  60300
COLLINS & AIKMAN COR COM
                     NEW    19483020       1,867,777      552597      552595                    2      487245           2      65350
AVENTIS              SPON-
                     SORED  05356110       1,867,266       35703       33234       2469                 34203                   1500
NATIONAL AUSTRALIA B SPON-
                     SORED  63252540       1,863,438       17861       17861                            17861
GA FINL INC          COM    36143710       1,861,714       68622       68622                            60722                   7900
KFX INC              COM    48245L10       1,861,079      370733      370733                           370733
WESTERN SIERRA BANCO COM    95952210       1,860,219       52107       52107                            45387                   6720
AMERICAS CAR MART IN COM    03062T10       1,850,676       62020       62020                            62020
HERITAGE COMMERCE CO COM    42692710       1,847,455      169336      169336                           152336                  17000
EVERTRUST FINL GROUP COM    30041210       1,846,885       65077       65077                            54577                  10500
TELLIUM INC          COM    87967E10       1,846,728   1,347,977   1,335,977       2000     10000   1,334,427       10000       3550
NIC INC              COM    62914B10       1,831,671      388066      388066                           388066
POMEROY IT SOLUTIONS COM    73182210       1,831,467      144210      144210                           144210
IGATE CORP           COM    45169U10       1,829,507      310086      309286        800                310086
PRINCETON REVIEW INC COM    74235210       1,827,676      282922      275307                 7615      240007        7615      35300
INTELIDATA TECHNOLOG COM    45814T10       1,827,267      774266      772578       1688                696266                  78000
FRANKLIN FINL CORP T COM
                     NEW    35352320       1,824,431       59024       59024                            52824                   6200
NEOFORMA COM INC     COM
                     NEW    64047550       1,815,302      129203      129203                           129203
BANCO SANTANDER CENT ADR    05964H10       1,815,055      213285      210695       2590                213285
CHARLOTTE RUSSE HLDG COM    16104810       1,807,419      175819      175819                           156969                  18850
Page Total                                98,448,280


                                                                   Page 55 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
BHA GROUP HLDGS INC  COM    05544610       1,806,757       76042       76042                            76042
INFOSYS TECHNOLOGIES SPON-
                     SORED  45678810       1,806,154       26533       26533                            12572                  13961
DEL LABS INC         COM    24509110       1,804,892       63890       63890                            63890
APHTON CORP          COM    03759P10       1,801,079      321048      321048                           321048
MOTHERS WK INC       COM    61990310       1,794,544       58722       58722                            57622                   1100
KONINKLIJKE PHILIPS  NY REG
                     SH     50047230       1,794,360       78288       77406        882                 78288
EASTERN VA BANKSHARE COM    27719610       1,793,551       64170       64170                            64170
GRUPO AEROPORTUARIO  SPON
                     ADR S  40051E20       1,784,697      121408      121408                            67779       41806      11823
EMBARCADERO TECHNOLO COM    29078710       1,784,417      177554      177554                           177554
REX STORES CORP      COM    76162410       1,783,543      136670      136670                           119870                  16800
OAK HILL FINL INC    COM    67133710       1,780,797       61428       61428                            61428
MARTHA STEWART LIVIN CL A   57308310       1,779,126      192338      191338        900       100      166388         100      25850
AMERICAN LD LEASE IN COM    02711810       1,776,458       96285       96285                            79685                  16600
CHECK POINT SOFTWARE ORD    M2246510       1,773,470      105313      105313                            71213                  34100
PLAINS ALL AMERN PIP UNIT
                     LTD P  72650310       1,772,619       58989       53989       3000      2000       56189        2000        800
CANDELA CORP         COM    13690710       1,771,376      138497      138497                           124297                  14200
ENSTAR GROUP INC GA  COM    29358R10       1,769,625       45086       45086                            39386                   5700
HERITAGE FINL CORP W COM    42722X10       1,767,555       81155       81155                            72955                   8200
GROUPE DANONE        SPON-
                     SORED  39944910       1,765,520       57848       57848                            57848
SEATTLE GENETICS INC COM    81257810       1,764,791      290740      287885                 2855      287885        2855
IMPAC MED SYS INC    COM    45255A10       1,752,915       97983       97983                            88783                   9200
MITSUBISHI TOKYO FIN SPON-
                     SORED  60681610       1,747,822      271401      266696       4705                271401
COBIZ INC            COM    19089710       1,747,584      109224      109224                           109224
MEDIS TECHNOLOGIES L COM    58500P10       1,745,434      168641      168641                           168641
CENTER FINL CORP CAL COM    15146E10       1,745,380       85937       63937                22000       63937       22000
NATIONAL HEALTHCARE  COM    63590610       1,742,045      121992      121992                           110292                  11700
MUTUALFIRST FINL INC COM    62845B10       1,739,865       68230       68230                            68230
RCN CORP             COM    74936110       1,739,670      945473      945473                           945473
PERINI CORP          COM    71383910       1,732,040      252484      252434                   50      227334          50      25100
FIRST CTZNS BANC COR COM NO
                     PAR    31945920       1,728,197       65215       65215                            58215                   7000
HI-TECH PHARMACAL IN COM    42840B10       1,715,242       72958       72858        100                 62758                  10200
TURNSTONE SYSTEMS IN COM    90042310       1,715,040      597575      597575                           518122                  79453
ASML HLDG NV         N Y
                     SHS    N0705911       1,714,915      130710       80699      50011                122510                   8200
DYNACQ INTL INC      COM
                     PAR $. 26791930       1,712,489       94665       94665                            89165                   5500
MARINEMAX INC        COM    56790810       1,701,805      117285      117285                           117285
WARWICK CMNTY BANCOR COM    93655910       1,693,552       60119       58319       1800                 54119                   6000
VIRAGE LOGIC CORP    COM    92763R10       1,692,770      222733      222733                           177493                  45240
MERIDIAN GOLD INC    COM    58997510       1,691,536      144206      144206                           144206
CHOLESTECH CORP      COM    17039310       1,690,162      218933      218833        100                192983                  25950
BANCO BILBAO VIZCAYA SPON-
                     SORED  05946K10       1,684,354      162897      162897                           162897
COMMERCIAL BANKSHARE COM    20160710       1,680,118       56060       56060                            50060                   6000
SUN BANCORP INC      COM    86663410       1,674,399       91899       87199       4700                 81599                  10300
INTERLAND INC        COM
                     NEW    45872720       1,670,875      217279      217279                           179489                  37790
MAIL-WELL INC        COM    56032120       1,669,381      476966      476966                           476966
PAIN THERAPEUTICS IN COM    69562K10       1,668,870      271361      271361                           262961                   8400
SOURCE INTERLINK COS COM
                     NEW    83615120       1,664,758      177669      177669                           177669
BRIGHTPOINT INC      COM
                     NEW    10947340       1,655,914       50516       50516                            50516
MANUFACTURERS SVCS L COM    56500510       1,653,060      330612      328712       1900                330612
NEWS CORP LTD        ADR
                     NEW    65248770       1,650,102       50308       50308                            50308
COMPUTER PROGRAMS &  COM    20530610       1,648,723       91342       91342                            82042                   9300
WEYCO GROUP INC      COM    96214910       1,647,769       33295       33295                            29495                   3800
FIRST SOUTH BANCORP  COM    33646W10       1,646,401       51210       51210                            45610                   5600
Page Total                                90,038,518


                                                                   Page 56 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SUMMIT AMER TELEVISI COM    86600T10       1,645,561      565485      565485                           488585                  76900
BRUKER BIOSCIENCES C COM    11679410       1,645,432      373962      368162       5800                373962
GALYANS TRADING INC  COM    36458R10       1,634,193      160215      160215                           140363                  19852
ESB FINL CORP        COM    26884F10       1,630,807      112006      112006                            96806                  15200
BUCKEYE PARTNERS L P UNIT
                     LTD P  11823010       1,623,594       40600       30800       8800      1000       38900        1000        700
MEDICAL ACTION INDS  COM    58449L10       1,620,038      125390      125390                           113290                  12100
VIRGINIA COMM BANCOR COM    92778Q10       1,619,938       74241       74241                            74241
NUVELO INC           COM    67072M10       1,609,007      611790      611790                           611790
P A M TRANSN SVCS IN COM    69314910       1,608,111       78368       78368                            78368
DREYERS GRAND ICE CR COM A
                     CALL   26187710       1,607,921       20678       20478        100       100       19928         100        650
SUREBEAM CORP        CL A   86866R10       1,597,978   1,125,337   1,124,268                 1069   1,005,425        1069     118843
NATIONAL HEALTH REAL COM    63590510       1,597,503      105655      105655                           103205                   2450
WESCO INTL INC       COM    95082P10       1,592,325      304460      304460                           304460
TRITON PCS HLDGS INC CL A   89677M10       1,591,881      356924      356724        100       100      356124         100        700
DREW INDS INC        COM
                     NEW    26168L20       1,580,550       85389       85389                            85389
NASSDA CORP          COM    63172M10       1,575,495      200190      200190                           200190
HORIZON OFFSHORE INC COM    44043J10       1,573,517      382851      382851                           382851
FINANCIAL INDS CORP  COM    31757410       1,572,621      110748      110748                            96548                  14200
PAB BANKSHARES INC   COM    69313P10       1,570,048      116042      116042                           100342                  15700
KOREA ELECTRIC PWR   SPON-
                     SORED  50063110       1,561,862      148466      148466                            59712       88754
AVI BIOPHARMA INC    COM    00234610       1,561,071      301948      301948                           301948
COLUMBIA BANCORP ORE COM    19723110       1,560,330      108507      108507                            94707                  13800
DAIMLERCHRYSLER AG   ORD    D1668R12       1,557,435       44422       44422                            44422
COCA-COLA FEMSA S A  SPON
                     ADR R  19124110       1,554,638       73332       73332                            39922       25760       7650
TAYLOR CAP GROUP INC COM    87685110       1,551,299       67214       67214                            57614                   9600
DEUTSCHE BANK AG NAM ORD    D1819089       1,548,262       25511       25511                            25511
NETRATINGS INC       COM    64116M10       1,544,574      165496      161296                 4200      161296        4200
G B & T BANCSHARES I COM    36146210       1,544,220       69372       69372                            60672                   8700
RESEARCH FRONTIERS I COM    76091110       1,529,976      133401      132901        500                133401
ARDEN GROUP INC      CL A   03976210       1,525,492       24906       24906                            23806                   1100
FIRST CONSULTING GRO COM    31986R10       1,517,485      304716      304716                           272016                  32700
MIDWAY GAMES INC     COM    59814810       1,516,872      512457      512457                           455307                  57150
MARITRANS INC        COM    57036310       1,512,870      100858      100858                           100858
UNITED MOBILE HOMES  COM    91102410       1,509,004      100133      100133                            83833                  16300
CAVALRY BANCORP INC  COM    14954710       1,498,689       89474       89474                            89474
WESTFIELD FINANCIAL  COM    96008D10       1,498,475       67136       67136                            67136
RAYTECH CORP DEL     COM    75510310       1,491,865      425033      425033                           366983                  58050
SEABULK INTL INC     COM    81169P10       1,487,816      204090      204090                           185490                  18600
KANA SOFTWARE INC    COM
                     NEW    48360030       1,486,358      379173      379173                           379173
FINLAY ENTERPRISES I COM
                     NEW    31788420       1,471,819      101365      101365                            85865                  15500
FIRST ALBANY COS INC COM    31846510       1,464,043      115279      115279                           115279
CYBERGUARD CORP      COM    23191010       1,463,541      153895      153695        200                141795                  12100
BANCTRUST FINANCIAL  COM    05978R10       1,460,894       96748       96748                            96748
ASPECT MED SYS INC   COM    04523510       1,458,974      140421      140221                  200      140221         200
GUNDLE/SLT ENVIRONME COM    40280910       1,457,144       94928       94928                            94928
DIODES INC           COM    25454310       1,456,927       70759       70759                            70759
M & F WORLDWIDE CORP COM    55254110       1,456,287      151224      151183                   41      151183          41
DEUTSCHE TELEKOM AG  SPON-
                     SORED  25156610       1,450,642      100460      100460                           100460
TV AZTECA S A DE C V SPON-
                     SORED  90114510       1,450,087      193345      193345                           110945       65400      17000
PARTY CITY CORP      COM    70214510       1,448,398      116995      116994          1                116995
LNB BANCORP INC      COM    50210010       1,446,583       71684       71684                            63084                   8600
MOLDFLOW CORP        COM    60850710       1,445,213      150700      150700                           150700
Page Total                                79,985,665


                                                                   Page 57 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
FIRST HORIZON PHARMA COM    32051K10       1,443,923      225613      225613                           225613
CERUS CORP           COM    15708510       1,442,715      310930      310930                           233130                  77800
PROVIDENT FINL HLDGS COM    74386810       1,440,179       47974       47974                            47974
DELTA FINANCIAL CORP COM    24791810       1,435,833      223650       25700     197950                223650
EMBREX INC           COM    29081710       1,435,473      144705      143205       1500                144705
STANDARD MTR PRODS I COM    85366610       1,430,715      141655      141655                           141655
ACME COMMUNICATION I COM    00463110       1,419,802      189307      186907       2400                189307
WESTMORELAND COAL CO COM    96087810       1,412,498      100677      100377        300                 88777                  11900
DOMINION HOMES INC   COM    25738610       1,409,599       54278       54278                            54278
VITRIA TECHNOLOGY    COM
                     NEW    92849Q40       1,409,470      279103      279103                           279103
FRESH DEL MONTE PROD ORD    G3673810       1,406,701       57183       56533        650                 57183
COMPANHIA ENERGETICA SP ADR
                     N-V    20440960       1,405,705      118926      118926                            67359       36325      15242
RESTORATION HARDWARE COM    76098110       1,405,343      240641      240641                           240641
MARINE PRODS CORP    COM    56842710       1,403,080       95318       95318                            95318
PEGASUS COMMUNICATIO CL A
                     NEW    70590460       1,401,449       94057       94047                   10       94047          10
MEDALLION FINL CORP  COM    58392810       1,400,660      222327      222327                           222327
SEMCO ENERGY INC     COM    78412D10       1,399,798      304304      304304                           274204                  30100
CANTEL MEDICAL CORP  COM    13809810       1,398,325      104822      104822                           104822
ANSOFT CORP          COM    03638410       1,398,264      136416       99977       2541     33898      102518       33898
COMPUCOM SYS INC     COM    20478010       1,397,198      329528      329528                           329528
TECHNICAL OLYMPIC US COM    87848310       1,394,030       50692       50692                            50192                    500
INGLES MKTS INC      CL A   45703010       1,388,317      141665      141165                  500      141165         500
ALLSCRIPTS HEALTHCAR COM    01988P10       1,388,179      340240      340240                           340240
GREENBRIER COS INC   COM    39365710       1,387,801      102724      102724                            80624                  22100
BRITISH SKY BROADCAS SPON-
                     SORED  11101310       1,385,514       33629       19709      13920                 30779                   2850
ACLARA BIOSCIENCES I COM    00461P10       1,380,442      349479      349479                           349379                    100
VOTORANTIM CELULOSE  SPON-
                     SORED  92906P10       1,378,311       52288       52288                            28514       18706       5068
STEINWAY MUSICAL INS COM
                     ORD    85849510       1,372,323       77314       77114        200                 77314
REDBACK NETWORKS INC COM    75720910       1,362,968   2,198,336   2,198,236                  100   1,992,036         100     206200
DJ ORTHOPEDICS INC   COM    23325G10       1,359,371       97446       97446                            96846                    600
MEDICAL STAFFING NET COM    58463F10       1,355,470      179295      179295                           178695                    600
SANDERS MORRIS HARRI COM    80000Q10       1,350,759      152284      152284                           132784                  19500
ALICO INC            COM    01623010       1,343,580       47985       47985                            47985
BOYDS COLLECTION LTD COM    10335410       1,343,132      297812      297812                           297812
HOOKER FURNITURE COR COM    43903810       1,339,527       39340       39340                            39340
FLAG FINL CORP       COM    33832H10       1,337,334      100025      100025                           100025
WILLIAMS CLAYTON ENE COM    96949010       1,329,586       70423       70423                            61123                   9300
MILLEA HOLDINGS INC  ADR    60032R10       1,328,040       23800       23800                            23800
SPORTS RESORTS INTL  COM    84918U10       1,316,014      259058      259058                           216358                  42700
FOOTHILL INDPT BANCO COM    34490510       1,315,672       61914       61914                            61914
MCLEODUSA INC        CL A   58226670       1,312,278      944085      943658        409        18      944067          18
GUESS INC            COM    40161710       1,310,240      147218      147218                           145918                   1300
FIRST FED FINL CORP  COM    31996110       1,304,099       42562       42562                            42562
PETROLEUM HELICOPTER COM
                     VTG    71660410       1,299,592       44812       44812                            44712                    100
PICO HLDGS INC       COM
                     NEW    69336620       1,298,932       98404       98364         40                 98404
ELLIS PERRY INTL INC COM    28885310       1,297,797       45457       45457                            45457
MONARCH CASINO & RES COM    60902710       1,297,257      114700      114700                           114700
DIGITALTHINK INC     COM    25388M10       1,295,567      504112      504112                           447012                  57100
CARMIKE CINEMAS INC  COM    14343640       1,294,899       49217       49217                            49217
CAPITAL SOUTHWEST CO COM    14050110       1,291,620       22660       22660                            22660
VIACOM INC           CL A   92552410       1,289,856       33590       32790        800                  9791                  23799
AMBASSADORS GROUP IN COM    02317710       1,287,657       75700       75600                  100       75600         100
Page Total                                71,032,894


                                                                   Page 58 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SECURITY BANK CORP   COM    81404710       1,273,928       43184       43184                            43184
DURECT CORP          COM    26660510       1,260,079      392548      392548                           391548                   1000
ULTRA PETROLEUM CORP COM    90391410       1,258,150       90190       90190                            90190
SCHAWK INC           CL A   80637310       1,255,879      105359      105359                           105359
MILACRON INC         COM    59870910       1,255,616      545920      545908                   12      494708          12      51200
DENDREON CORP        COM    24823Q10       1,253,080      141591      141491                  100      141491         100
PEMSTAR INC          COM    70655210       1,239,841      351230      351230                           351230
ALAMO GROUP INC      COM    01131110       1,232,563       86435       86435                            86435
GERDAU S A           SPON-
                     SORED  37373710       1,223,091       84878       84878                            45953       27068      11857
BRT RLTY TR          SH BEN
                     INT    05564530       1,218,162       63845       63845                            43545                  20300
GREAT NORTHN IRON OR CTFS
                     BEN I  39106410       1,218,000       14000       14000                            14000
METRO ONE TELECOMMUN COM    59163F10       1,217,790      348937      348337                  600      309837         600      38500
BHP BILLITON LTD     SPON-
                     SORED  08860610       1,216,176       85767       85767                            85767
UNILEVER PLC         SPON
                     ADR N  90476770       1,207,688       34864       34114        750                 34764                    100
NORTHERN STS FINL CO COM    66575110       1,204,258       41800       41800                            41800
READING INTERNATIONA CL A   75540810       1,198,529      209900      209900                           209900
DHB INDS INC         COM    23321E10       1,191,604      273932      273932                           273932
SMART & FINAL INC    COM    83168310       1,191,006      190561      190351        210                190561
MODTECH HLDGS INC    COM    60783C10       1,189,603      150013      150013                           129213                  20800
PETROCORP INC        COM    71645N10       1,189,312       88359       88359                            73959                  14400
W P CAREY & CO LLC   COM    92930Y10       1,186,402       37367       35218                 2149       35218        2149
FTD INC              CL A   30265Q10       1,170,994       51998       51998                            51998
WESTPAC BKG CORP     SPON-
                     SORED  96121430       1,163,653       20997       20997                            20997
MOLEX INC            CL A   60855420       1,152,292       47090       42271       4569       250       16587         250      30253
U S XPRESS ENTERPRIS CL A   90338N10       1,147,031       94019       94019                            93319                    700
NORTHWEST PIPE CO    COM    66774610       1,146,432       85300       85300                            85300
BT GROUP PLC         ADR    05577E10       1,144,824       37783       37688         95                 37783
COMMUNITY BK NORTHN  COM    20356610       1,142,512       69034       69034                            69034
K V PHARMACEUTICAL C CL B
                     CONV   48274010       1,125,476       49255       49255                            49255
NOVOSTE CORP         COM    67010C10       1,124,961      255673      255673                           230773                  24900
MAIR HOLDINGS INC    COM    56063510       1,111,916      163277      163277                           163277
TARAGON RLTY INVS IN COM    87628710       1,109,513       72755       72755                            72755
CENTENNIAL COMMUNCTN CL A
                     NEW    15133V20       1,102,147      217386      217386                           217386
NETSCOUT SYS INC     COM    64115T10       1,101,107      231325      231325                           231325
UNITED SECURITY BANC COM    91146010       1,100,769       45713       45713                            45713
NEWHALL LAND & FARMI DEPO-
                     SITARY 65142610       1,090,476       27600       27600                            27600
MOORE WALLACE INC    COM    61585710       1,084,823       76396       76324         72                 69644                   6752
SYPRIS SOLUTIONS INC COM    87165510       1,080,509       78697       78697                            78697
BAYER A G            SPON-
                     SORED  07273030       1,068,383       49531       49311        220                 49531
MAUI LD & PINEAPPLE  COM    57734510       1,066,776       41252       39252                 2000       39252        2000
EMC INS GROUP INC    COM    26866410       1,056,915       59848       59848                            59848
AEGON N V            ORD
                     AMER R 00792410       1,056,463       90296       90296                            90296
TRANS WORLD ENTMT CO COM    89336Q10       1,050,521      185933      167366      18567                184533                   1400
BRASIL TELECOM PARTI SPON
                     ADR P  10553010       1,048,692       27381       27381                            17817        5962       3602
P C CONNECTION       COM    69318J10       1,042,344      111136      111136                           111136
ARCH CAP GROUP LTD   ORD    G0450A10       1,041,539       31495       31495                            31495
CATAPULT COMMUNICATI COM    14901610       1,040,999       84841       84841                            84841
GREATER COMMUNITY BA COM    39167M10       1,039,608       65798       65798                            65798
HITACHI LIMITED      ADR 10
                     COM    43357850       1,038,463       18919       18919                            18919
BANKRATE INC         COM    06646V10       1,029,769       73450       73450                            73450
EDGAR ONLINE INC     COM    27976510       1,024,815      621100                           621100                  621100
BKF CAP GROUP INC    COM    05548G10       1,022,414       42336       42336                            42086                    250
Page Total                                59,407,893


                                                                   Page 59 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SIERRA BANCORP       COM    82620P10       1,016,819       66633       66633                            66633
UNITED PANAM FINANCI COM    91130110       1,016,622       58393       58393                            58393
HAMPSHIRE GROUP LTD  COM    40885910       1,010,349       31782       31782                            31632                    150
THIRD WAVE TECHNOLOG COM    88428W10       1,008,851      312338      312338                           312338
NOMURA HLDGS INC     SPON-
                     SORED  65535H20       1,004,825       62645       15500      47145                 53645                   9000
ALTEON INC           COM    02144G10         999,852      526238      526238                           475638                  50600
HELEN OF TROY CORP L COM    G4388N10         994,634       40881       40681        200                 40881
GTC BIOTHERAPEUTICS  COM    36238T10         990,068      319377      319377                           319377
EMERSON RADIO CORP   COM
                     NEW    29108720         975,731      260195      259395        800                228295                  31900
GENERAL BINDING CORP COM    36915410         951,776       91517       91517                            91517
INDEPENDENCE HLDG CO COM
                     NEW    45344030         949,844       43671       43671                            43671
FUJI PHOTO FILM LTD  ADR    35958630         944,386       32342       32342                            32342
TELECOM ITALIA S P A SPON
                     ADR O  87927Y10         943,306       37960       37960                            37960
AMBASSADORS INTL INC COM    02317810         921,954       75632       75532                  100       75532         100
APAC CUSTOMER SERVIC COM    00185E10         921,940      368776      368776                           368776
NEC CORP             ADR    62905020         912,239      121470      121470                           121470
SUNCOR ENERGY INC    COM    86722910         909,951       49054       49054                            49054
NATIONAL BEVERAGE CO COM    63501710         904,912       59928       59928                            59928
AMPCO-PITTSBURGH COR COM    03203710         902,835       75299       75299                            59299                  16000
PRICE LEGACY CORP    COM    74144P10         895,793      255941      255941                           255941
GREEN MOUNTAIN PWR C COM    39315410         894,896       39685       39405                  280       39405         280
NUANCE COMMUNICATION COM    66996710         889,393      154141      149566       4475       100      154041         100
FMS FINL CORP        COM    30250910         888,182       52154       52154                            52154
MAGELLAN MIDSTREAM P COM
                     UNIT R 55908010         887,751       19379       19379                            18553                    826
MAGNA INTL INC       CL A   55922240         885,713       12276       12276                            12276
VIRBAC CORP          COM    92764910         883,738      121895      121895                           121895
MESTEK INC           COM    59082910         878,120       52238       43238                 9000       43238        9000
PEGASYSTEMS INC      COM    70557310         877,341      118881      113881       5000                118181                    700
SANOFI-SYNTHELABO    SPON-
                     SORED  80105N10         874,869       28950        8300      20650                 24050                   4900
ICICI BK LTD         ADR    45104G10         865,043       81917       81917                            32953                  48964
UNITED CAPITAL CORP  COM    90991210         861,516       47862       47862                            47862
PANTRY INC           COM    69865710         861,124       71516       71516                            71516
PRUDENTIAL PLC       ADR    74435K20         855,514       61770       61770                            61770
DURATEK INC          COM    26658Q10         853,973       98954       98954                            98954
BG PLC               ADR
                     FIN IN 05543420         851,283       39613       39613                            39613
XOMA LTD             ORD    G9825R10         844,245      112867      112867                           112867
THESTREET COM        COM    88368Q10         833,293      192003      192003                           179103                  12900
BEASLEY BROADCAST GR CL A   07401410         833,111       60283       60283                            60283
NYMAGIC INC          COM    62948410         829,730       36992       36992                            36992
HUGOTON RTY TR TEX   UNIT
                     BEN I  44471710         828,682       44220       44220                            44220
SYSTEMAX INC         COM    87185110         824,568      124182      124182                           124182
DIGITAL GENERATION S COM    25392110         823,984      378148      378148                           378148
ONEIDA LTD           COM    68250510         821,211      266627      266627                           225727                  40900
SIRNA THERAPEUTICS I COM    82966910         817,771      142967      142967                           142967
CDN IMPERIAL BK OF C COM    13606910         805,569       19605       19605                            19605
ENI S P A            SPON-
                     SORED  26874R10         800,427       10459       10459                            10459
PETRO-CDA            COM    71644E10         799,306       20553       20553                            20553
AUSTRALIA&NEW ZEALAN SPON-
                     SORED  05252830         794,640       13059       13059                            13059
OLD POINT FINL CORP  COM    68019410         794,055       25353       25353                            25353
PACIFIC ENERGY PARTN COM
                     UNIT   69422R10         793,455       31300       31300                            31300
TRI CONTL CORP       COM    89543610         792,969       53006       53006                             1324                  51682
SANCHEZ COMPUTER ASS COM    79970210         791,391      202921      202801        120                202921
Page Total                                46,113,550


                                                                   Page 60 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
NORSK HYDRO A S      SPON-
                     SORED  65653160         790,944       15400       15400                            15400
TALISMAN ENERGY INC  COM    87425E10         787,456       16599       16599                            16599
REPSOL YPF S A       SPON-
                     SORED  76026T20         786,327       47743       47743                            47743
SYNGENTA AG          SPON-
                     SORED  87160A10         784,616       71720       71711          9                 71720
VIVENDI UNIVERSAL    SPON
                     ADR N  92851S20         783,464       44114       44114                            44114
AKZO NOBEL NV        SPON-
                     SORED  01019930         781,714       25063       25063                            25063
INCO LTD             COM    45325840         775,113       27932       27932                            27932
IMPERIAL OIL LTD     COM
                     NEW    45303840         774,116       20804       20804                            20804
EDP-ELECTRICIDADE DE SPON-
                     SORED  26835310         773,598       33664       33664                            33664
SELECT SECTOR SPDR T SBI
                     INT-EN 81369Y50         772,846       32135       22300       9035       800        9035         800      22300
RICHARDSON ELECTRS L COM    76316510         754,720       71200       71200                            71200
GALLAHER GROUP PLC   SPON-
                     SORED  36359510         753,913       20099       20099                            20099
LIQUIDMETAL TECHNOLO COM    53634X10         740,284      241923      241923                           241923
SK TELECOM LTD       SPON-
                     SORED  78440P10         737,006       41312       41312                            41312
WILLIS GROUP HOLDING SHS    G9665510         716,905       23314       23314                            22297                   1017
EASTERN AMERN NAT GA SPERS
                     RCT    27621710         715,830       32100       32100                            32100
NOVO-NORDISK A S     ADR    67010020         714,817       19377       19377                            19377
TELE2 AB             SPON
                     ADR R  87952P20         710,644       16151       16151                            16151
AMERICAN FINL RLTY T COM    02607P30         709,230       50300       50300                            50300
ADVANTA CORP         CL A   00794210         708,396       64517       64517                            64517
HANDSPRING INC       COM    41029310         708,383      626888      626888                           626888
MOBIUS MGMT SYSTEMS  COM    60692510         702,720       87840       87840                            87840
AMERSHAM PLC         SPON-
                     SORED  03071910         699,263       15626       15626                            15626
ATARI INC            COM    04651M10         698,899      172995      172995                           172995
SYNPLICITY INC       COM    87160Y10         696,406      118035      118035                           118035
ENBRIDGE ENERGY MANA SHS
                     UNITS  29250X10         696,379       15709       15709                            15709
NISSAN MOTORS        SPON-
                     SORED  65474440         689,101       31712       31712                            31712
DOVER MOTORSPORTS IN COM    26017410         685,459      182303      182303                           179003                   3300
ALCON INC            COM
                     SHS    H0130110         685,086       12201       12101        100                 12201
GENAERA CORP         COM    36867G10         682,127      144213      144213                           144213
ALLIANZ AKTIENGESELL SP ADR
                     1/1    01880510         677,621       76654       76274        380                 76654
SIMPLETECH INC       COM    82882310         673,096       93746       93746                            93746
MICRO THERAPEUTICS I COM    59500W10         670,980      126600      126600                           126600
KYOCERA CORP         ADR    50155620         660,632       11133       11133                            11133
OMI CORP NEW         COM    Y6476W10         656,756       99208       99208                            99208
MARKETWATCH COM INC  COM    57061910         652,740       78079       77979        100                 78079
ALLIANCE IMAGING INC COM
                     NEW    01860620         650,878      189209      189209                           189209
UNITED MICROELECTRON SPON-
                     SORED  91087320         648,957      143893      143893                           143893
TELESP CELULAR PART  SPON
                     ADR P  87952L10         648,327      139126      139126                            84537       35597      18992
FORMFACTOR INC       COM    34637510         645,541       29900       29900                            29900
TASTY BAKING CO      COM    87655330         635,086       63892       23692        200     40000       23892       40000
SIGMATRON INTL INC   COM    82661L10         634,748       31611       31611                            31611
INTER PARFUMS INC    COM    45833410         627,860       62975       62975                            62975
ERICSSON L M TEL CO  ADR B
                     SEK    29482160         627,131       42662       39602       3060                 42662
INNKEEPERS USA TR    PFD CV
                     A 8    4576J030         622,480       24800                    400     24400         400       24400
UPM KYMMENE CORP     SPON-
                     SORED  91543610         622,474       36986       36986                            36986
CANADIAN NATL RY CO  COM    13637510         617,009       11861       11861                            11861
INFINEON TECHNOLOGIE SPON-
                     SORED  45662N10         613,564       47600       47600                            47600
OMEGA PROTEIN CORP   COM    68210P10         610,040       93136       93136                            93136
CADBURY SCHWEPPES PL ADR    12720930         608,959       24271       24271                            24271
ALLIED IRISH BKS P L SPON
                     ADR O  01922840         608,121       20510       20510                            20510
ALCATEL              SPON-
                     SORED  01390430         607,423       51346       50776        570                 51346
Page Total                                36,036,185


                                                                   Page 61 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
KANEB SERVICES LLC   COM    48417310         605,994       22739       22739                            22739
KUBOTA CORP          ADR    50117320         605,440       35200       35200                            35200
IRELAND BK           SPON-
                     SORED  46267Q10         600,645       12326       12326                            12326
SCOTTISH PWR PLC     SPON
                     ADR F  81013T70         596,031       25149       25149                            25149
ENESCO GROUP INC     COM    29297310         595,040       74380       74380                            74380
ALLOS THERAPEUTICS I COM    01977710         594,658      193071      193071                           193071
STORA ENSO CORP      SPON
                     ADR R  86210M10         593,382       48479       40944       7535                 44679                   3800
TC PIPELINES LP      UT COM
                     LTD    87233Q10         593,054       18673       18673                            18673
CONVERA CORP         CL A   21191910         590,674      136100      133600       2500                136100
VALASSIS COMMUNICATI NOTE   918866AH         580,000   1,000,000   1,000,000                        1,000,000
INTERCONTINENTAL HOT SPON-
                     SORED  45857310         568,609       69768       69768                            69768
FRANCE TELECOM       SPON-
                     SORED  35177Q10         566,916       24394       24394                            24394
NOLAND CO            COM    65528610         562,706       16599       16599                            16599
VALERO L P           COM UT
                     LTD    91913W10         559,360       12800       12700        100                 12800
NATIONAL GRID TRANSC SPON-
                     SORED  63627410         558,460       17094       17065         29                 17094
SAN PAOLO-IMI S P A  SPON-
                     SORED  79917510         552,654       27702       27702                            27702
PORTAL SOFTWARE INC  COM    73612610         551,793       37820       37400        420                 37820
STAR SCIENTIFIC INC  COM    85517P10         549,578      301966      301966                           301966
AMERCO               COM    02358610         547,873       28790       28410        380                 28790
FEDDERS CORP         COM
                     NEW    31313550         542,259       93493       93493                            93493
RETRACTABLE TECHNOLO COM    76129W10         536,702       87840       87840                            87840
CHECKERS DRIVE-IN RE COM
                     NEW    16280930         532,680       57900       57900                            57900
ENBRIDGE INC         COM    29250N10         531,350       14913       14913                            14913
AMERICAN RLTY INVS I COM    02917410         525,122       52303       52303                            52303
PREFORMED LINE PRODS COM    74044410         520,416       27800        6800                21000        6800       21000
DESERT CMNTY BK VICT COM    25037Y10         515,733       26246       26246                            26246
CELLTECH GROUP PLC   SPON-
                     SORED  15115810         515,695       44649       18542      26107                 37849                   6800
FAIRCHILD CORP       CL A   30369810         514,265      103892      103892                           103892
KONINKLIJKE AHOLD N  SPON
                     ADR N  50046730         508,567       53309       52889        420                 53309
MCDERMOTT INTL INC   COM    58003710         508,047       88975       88975                            88875                    100
BRASCAN CORP         CL A
                     LTD V  10549P60         494,242       19605       19605                            19605
NORTHWAY FINL INC    COM    66727010         491,865       16500                  16500                 16500
BARRICK GOLD CORP    COM    06790110         490,559       26052       25745        307                 23386                   2666
PECHINEY             SPON-
                     SORED  70515120         490,522       17935       17935                            17935
MUNICIPAL MTG & EQUI GROWTH
                     SHS    62624B10         490,400       20000        4000      11000      5000       15000        5000
HILFIGER TOMMY CORP  ORD    G8915Z10         490,167       41156       41156                            39156                   2000
AMERICAN REAL ESTATE DEPO-
                     SITRY  02916910         487,007       40925       40925                            40925
DONEGAL GROUP INC    CL A   25770120         486,176       31797       31797                            31797
COLES MYER LTD       SPON
                     ADR N  19387040         485,275       11750       11750                            11750
NEWTEK BUSINESS SVCS COM    65252610         481,156       97400       97400                            97400
NEWS CORP LTD        SP ADR
                     PFD    65248780         477,875       17511       17511                            17511
CANADIAN PAC RY LTD  COM    13645T10         470,759       19939       19939                            18639                   1300
NATIONAL BK GREECE S SPON-
                     SORED  63364340         470,456      120940      120940                           120940
GENERAL MARITIME COR SHS    Y2692M10         469,417       41033       41033                            41033
DORCHESTER MINERALS  COM
                     UNIT   25820R10         466,155       27665       27665                            27665
SUNOCO LOGISTICS PRT COM
                     UNITS  86764L10         465,000       15000       15000                            15000
RENAISSANCE RE HLDGS COM    G7496G10         456,482       10004       10004                             8361                   1643
ONEIDA FINL CORP     COM    68247810         455,938       19141       19141                            19141
SUN LIFE FINL INC    COM    86679610         455,710       21049       21049                            21049
ADVANCED SEMICONDUCT SPON-
                     SORED  00756M40         455,221      117933      117933                           117933
SCHERING A G         SPON-
                     SORED  80658520         447,187       10292       10292                            10292
VOLVO AKTIEBOLAGET   ADR B  92885640         445,509       19137       19137                            19137
Page Total                                27,146,781


                                                                   Page 62 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SELECT SECTOR SPDR T SBI
                     INT-UT 81369Y88         444,570       20300       20300                                                   20300
MEDCATH CORP         COM    58404W10         442,552       42800       31800      10000      1000       41800        1000
PEARSON PLC          SPON-
                     SORED  70501510         439,014       45874       45874                            45874
FEDERAL SCREW WKS    COM    31381910         434,730       12900       12900                            12900
GARMIN LTD           ORD    G3726010         429,395       10253       10253                             9311                    942
NIPPON TELEG & TEL C SPON-
                     SORED  65462410         429,367       18965       18200        765                 18965
ORIX CORP            SPON-
                     SORED  68633010         429,066       10835       10835                            10835
BP PRUDHOE BAY RTY T UNIT
                     BEN I  05563010         424,368       21487       21487                            21487
ORLEANS HOMEBUILDERS COM    68658810         421,974       35700       35700                            35700
GOLDCORP INC NEW     COM    38095640         418,702       29993       29993                            27370                   2623
INFORMATION RES INC  COM    45690510         417,933       90855       90855                            90855
MARVELL TECHNOLOGY G ORD    G5876H10         409,157       10830        9180                 1650        8002        1650       1178
IMPERIAL TOBACCO GRO SPON-
                     SORED  45314210         408,853       12382       12382                            12382
NORTH COAST ENERGY I COM
                     NEW    65864970         408,423       32700       32600        100                 32700
CADMUS COMMUNICATION COM    12758710         405,889       36015       36015                            36015
QRS CORP             COM    74726X10         401,773       47379       47379                            43279                   4100
CLEAN HARBORS INC    COM    18449610         399,789       94068       94068                            94068
SELECT SECTOR SPDR T SBI
                     INT-IN 81369Y70         395,930       17000       17000                                                   17000
BANCO BRADESCO S A   SP ADR
                     PFD    05946020         394,081       19538       19538                            11699        7839
DR REDDYS LABS LTD   ADR    25613520         392,623       16743       16743                             1642                  15101
MAINE & MARITIMES CO COM    56037710         392,400       10900       10600        300                 10900
IMPERIAL CHEM INDS P ADR
                     NEW    45270450         389,201       34906       34906                            34906
AMVESCAP PLC         SPON-
                     SORED  03235E10         388,879       25601       25601                            25601
NATURAL RESOURCE PAR COM
                     UNIT L 63900P10         388,752       11200       11200                            11200
DIGI INTL INC        COM    25379810         383,531       57944       57582        362                 57944
MITCHELLS & BUTLERS  SPON-
                     SORED  60668M10         383,298      100868      100868                           100868
TREND MICRO INC      SPONS
                     ADR    89486M20         377,679       18697       18697                            18697
MERIX CORP           COM    59004910         375,196       22753       22253        500                 19003                   3750
CAPTARIS INC         COM    14071N10         372,035       70328       70328                            70328
NEXEN INC            COM    65334H10         369,147       13512       13512                            13512
CNS INC              COM    12613610         367,965       33421       13421      20000                 33421
EVOLVING SYS INC     COM    30049R10         367,897       31154       31154                            31154
MAPINFO CORP         COM    56510510         359,577       37499       37499                            37499
AMERICA SVC GROUP IN COM    02364L10         358,617       17077       17077                            17077
MMO2 PLC             ADR    55309W10         355,774       37688       37688                            37688
OPTICAL COMMUNICATIO CL A   68382T10         354,472      150200      150200                           150200
RANK GROUP PLC       SPON-
                     SORED  75303710         353,912       39280       39280                            39280
COGNOS INC           COM    19244C10         353,007       11380       11380                            11380
REVLON INC           CL A   76152550         352,888      132665      131415       1250                130865                   1800
HUNGARIAN TEL & CABL COM    44554210         352,304       38087       38087                            38087
META GROUP INC       COM    59100210         345,690       71720        9672      13986     48062       23658       48062
FIRST BANCTRUST CORP COM    31868F10         341,754       14420       14420                            14420
PLATINUM UNDERWRITER COM    G7127P10         341,021       12136       12136                            12136
VAXGEN INC           COM
                     NEW    92239020         339,806       28153       28153                            28153
FPIC INS GROUP INC   COM    30256310         334,207       22177       22177                            22177
ALLIANCE RES PARTNER UT LTD
                     PAR    01877R10         332,192       11200       11200                            11200
ASHWORTH INC         COM    04516H10         331,416       47413       47413                            47413
CARREKER CORP        COM    14443310         328,737       40837       40837                            40837
P T TELEKOMUNIKASI I SPON-
                     SORED  71568410         326,452       23951       23951                            23951
BOC GROUP PLC        SPON-
                     SORED  05561760         322,720       11617       11617                            11617
LAKES ENTMNT INC     COM    51206P10         320,993       34112       34112                            34112
WIPRO LTD            SPON
                     ADR 1  97651M10         320,973       11049       11049                            11049
Page Total                                19,730,681


                                                                   Page 63 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
MOCON INC            COM    60749410         320,840       40100       10400                29700       10400       29700
ALLIED DOMECQ PLC    SPON
                     ADR N  01912120         320,428       12439       12439                            12439
DIGITAL THEATER SYS  COM    25389G10         313,291       11000       11000                            11000
AMERICAN SUPERCONDUC COM    03011110         312,740       30275       19750      10525                 30275
SHAW COMMUNICATIONS  CL B
                     CONV   82028K20         312,293       25682       25682                            25682
ABB LTD              SPON-
                     SORED  00037520         311,641       56253       56253                            56253
ABITIBI-CONSOLIDATED COM    00392410         306,019       43717       43717                            34273                   9444
PORTUGAL TELECOM SGP SPON-
                     SORED  73727310         304,671       38713       38713                            38713
NOVA CHEMICALS CORP  COM    66977W10         303,180       14935       14935                            14935
PROGRESS FINL CORP   COM    74326610         301,864       11025       11025                            11025
NETWORK ENGINES INC  COM    64121A10         300,987       46956       46956                            46956
VERISITY LTD         ORD    M9738511         300,700       24056       24056                            24056
ZIX CORP             COM    98974P10         300,226       37065       37065                            37065
HUFFY CORP           COM    44435610         296,789       48654       39953       8701                 48654
BELL MICROPRODUCTS I COM    07813710         295,651       45415       45415                            45415
TPG N V              SPON-
                     SORED  89233910         295,598       15444       15444                            15444
ON ASSIGNMENT INC    COM    68215910         294,127       55706       55706                            55706
PLACER DOME INC      COM    72590610         290,015       21092       21092                            20792                    300
NOVAVAX INC          COM    67000210         289,930       39500       19500      20000                 39500
BROOKFIELD PPTYS COR COM    11290010         284,867       12122       12122                            12122
ROGERS COMMUNICATION CL B   77510920         281,228       18345       18345                            18345
TRANSCONTINENTAL RLT COM
                     NEW    89361720         279,033       23667       23667                            23667
SCO GROUP INC        COM    78403A10         277,001       20029       20029                            20029
EVERGREEN SOLAR INC  COM    30033R10         276,701      133672      133672                           133672
PHOENIX TECHNOLOGY L COM    71915310         275,798       43994       43994                            43994
BUTLER MFG CO DEL    COM    12365510         273,997       18038       18038                            17038                   1000
FRESENIUS MED CARE A SPON-
                     SORED  35802910         273,581       14212       14212                            14212
STEEL TECHNOLOGIES I COM    85814710         271,646       21784       21424                  360       21424         360
ORBOTECH LTD         ORD    M7525310         270,802       13197       13197                            13197
LAFARGE COPPEE S A   SPON
                     ADR N  50586140         269,791       16501       16501                            16501
BLOUNT INTL INC NEW  COM    09518010         268,864       55897       55897                            55897
GRAY TELEVISION INC  CL A   38937520         265,756       22910       22910                            22610                    300
CARLTON COMMUNICATIO ADR    14287220         264,937       19596       19596                            19596
KINROSS GOLD CORP    COM
                     NEW    49690220         264,800       35496       35496                            35496
SATYAM COMPUTER SERV ADR    80409810         262,953       20384       20384                                                   20384
REUTERS GROUP PLC    SPON-
                     SORED  76132M10         261,228       12066       12066                            12066
DOMTAR INC           COM    25756110         260,812       23204       23204                            23204
HELLENIC TELECOM ORG SPON-
                     SORED  42332530         260,162       47912       47912                            47912
TRIDENT MICROSYSTEMS COM    89591910         257,139       19629       19629                            19629
INTROGEN THERAPEUTIC COM    46119F10         256,662       29100       29100                            29100
TELSTRA CORP LTD     SPON
                     ADR F  87969N20         256,316       15871       15871                            15871
AIRNET SYS INC       COM    00941710         254,328       63582        9200      54382                  9200       54382
SANYO ELEC LTD       ADR 5
                     COM    80303830         254,150       11960       11960                            11960
QUEBECOR WORLD INC   COM
                     NON-VT 74820310         253,932       13623       13623                             9923                   3700
MERGE TECHNOLOGIES I COM    58998110         252,900       15000       14000       1000                 15000
COMARCO INC          COM    20008010         250,521       33900       33900                            33900
CABLE & WIRELESS PUB SPON-
                     SORED  12683020         247,718       43844       43404        440                 43844
CROSS A T CO         CL A   22747810         246,114       41019       39379                 1640       35579        1640       3800
CCF HLDG CO          COM    12487X10         244,012       11250       11250                            11250
ABAXIS INC           COM    00256710         241,248       17356       17356                            17356
STEWART W P & CO LTD COM    G8492210         238,218       11398       11398                            11398
HAGGAR CORP          COM    40517310         238,053       15408       15408                            15408
Page Total                                14,406,258


                                                                   Page 64 of 65





                                                State Street Corporation (STT)
                                                SEC13F Report - September 30, 2003
------------------------------------------------------------------------------------------------------------------------------------
                                                                       Investment Discretion               Voting Authority
                      Title                                      -------------------------------------------------------------------
                       of    Cusip     Fair Market     Shares                Shared as   Shared
  Name of Issuer      Class  Number       Value        Prin Amt     Sole      Defined     Other      Sole      Shared        None
------------------------------------------------------------------------------------------------------------------------------------
                                                                                            
SELECT SECTOR SPDR T SBI
                     CONS S 81369Y30         236,971       11662       11662                                                   11662
ALLIED DEFENSE GROUP COM    01911810         236,305       11194       11194                            11194
SALTON INC           COM    79575710         235,028       23621       23621                            23621
FIRST CASH FINL SVCS COM    31942D10         234,900       11600       11600                            11600
WELLSFORD REAL PPTYS COM
                     NEW    95024020         233,044       13502       13502                            13502
INKINE PHARMACEUTICA COM    45721410         232,159       55942       55942                            55942
URSTADT BIDDLE PPTYS COM    91728610         230,619       17672       17672                            17672
CARRINGTON LABS INC  COM    14452510         230,120       52300       52300                            52300
FRANKLIN BANCORP INC COM    35242V10         230,000       12500       12500                            12500
ARQULE INC           COM    04269E10         229,935       49986       47286       2700                 49986
CALIFORNIA FIRST NTN COM    13022210         229,629       20020       20020                            20020
BOTTOMLINE TECH DEL  COM    10138810         229,600       28000       28000                            28000
EMISPHERE TECHNOLOGI COM    29134510         227,593       31349       31349                            31349
ADECCO SA            SPON-
                     SORED  00675410         226,323       18311       18311                            18311
CROSS TIMBERS RTY TR TR
                     UNIT   22757R10         225,435       10735       10735                            10602                    133
INTERVIDEO INC       COM    46114Y10         225,225       10500       10500                            10500
HARTMARX CORP        COM    41711910         225,180       56295       56295                            47795                   8500
MAGNETEK INC         COM    55942410         225,155       45486       45486                            45486
INTERMET CORP        COM    45881K10         225,066       52341       52341                            52341
DYAX CORP            COM    26746E10         224,103       36499       33254       3145       100       36399         100
COMPANHIA DE BEBIDAS SPON-
                     SORED  20441W10         223,515       14901       14901                            14901
NEORX CORP           COM
                     PAR $0 64052030         222,969       36021       36021                            36021
UQM TECHNOLOGIES INC COM    90321310         221,775       61776       11776                50000       11776       50000
OXIGENE INC          COM    69182810         221,482       18229       18229                            18229
CP SHIPS LTD         COM    22409V10         221,298       10513       10288        225                  9863                    650
SCM MICROSYSTEMS INC COM    78401810         217,582       29765       29765                            29765
CONCERTO SOFTWARE IN COM    20602T10         216,131       24729       24729                            24729
HEICO CORP NEW       CL A   42280620         212,822       19002       19002                            19002
AGRIUM INC           COM    00891610         208,860       16629       16629                            16629
UNITED UTILS PLC     SPON-
                     SORED  91311Q10         206,260       13071       13071                            13071
SCPIE HLDGS INC      COM    78402P10         205,990       20599       20599                            20599
ADE CORP MASS        COM    00089C10         205,814       11714       11714                            11714
BANK SOUTH CAROLINA  COM    06506610         203,597       14806       14806                            14806
KFORCE INC           COM    49373210         203,498       26123       26123                            26123
P & F INDS INC       CL A
                     NEW    69283050         202,510       26300       26300                            26300
Page Total                                 7,786,493

Grand Total                          359,462,745,209
TOTAL MARKET VALUE                   359,462,745,209



                                                                   Page 65 of 65