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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: June 30, 2002


Check here if Amendment [ ]; Amendment Number:


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

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



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

Person Signing this Report on Behalf of Reporting Manager:

Name:  Edward E. Matthews

Title: Senior Vice Chairman -- Investments and Financial Services

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Edward E. Matthews             New York, New York        August 14, 2002
-------------------------------    ------------------------  ------------
(Signature)                        (City, State)              (Date)

Report Type (Check only one.):

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

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

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






                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:


Number of Other Included Managers:  4



Form 13F Information Table Entry Total: 3,688



Form 13F Information Table Value Total: $19,708,398 (thousands)


List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.


No.       Form 13F File Number     Name
--        --------------------     -------------------------------------------

1         28-4637                  AIG GLOBAL INVESTMENT CORP.

2         28-2725                  SUNAMERICA ASSET MANAGEMENT CORP.

3         28-3463                  JOHN MCSTAY INVESTMENT COUNSEL, L.P.

4         28-5794                  HSB GROUP, INC.




File Number -------- (Consolidated)
As of 6/30/02



-----------------------------------------------------------------------------------------------------------------------------------
                                      TITLE     CUSIP     VALUE     SHRS OR  SH/  PUT/  INVSTMT    OTHR          VOTING AUTHORITY
                                                                                                         --------------------------
        NAME OF ISSUER                CLASS             (X$1000)    PRN AMT  PRN  CALL  DSCRETN    MGRS   SOLE      SHARED    NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
1-800 CONTACTS INC                    EQUITY  681977104      26       1,894   SH         DEFINED    1                 1,894
1-800-FLOWERS.COM INC                 EQUITY  68243Q106      49       4,414   SH         DEFINED    1                 4,414
1ST SOURCE CORP.                      EQUITY  336901103     128       5,167   SH         DEFINED    1                 5,167
21ST CENTURY INSURANCE COMPANY        EQUITY  90130N103 1015467  53,445,620   SH         DEFINED    1            53,445,620
21ST CENTURY INSURANCE COMPANY        EQUITY  90130N103       9         462   SH         DEFINED    1                   462
3COM CORP.                            EQUITY  885535104    2027     460,658   SH         DEFINED    1               460,658
3D SYSTEMS CORPORATION                EQUITY  88554D205      31       2,571   SH         DEFINED    1                 2,571
3M                                    EQUITY  88579Y101    2645      21,500   SH         DEFINED    4                21,500
3M CO                                 EQUITY  88579Y101   23021     187,160   SH         DEFINED    1               187,160
3M CO                                 EQUITY  88579Y101    3690      30,000   SH            SOLE    2     30,000
3M CO                                 EQUITY  88579Y101   19039     154,792   SH            SOLE    2    154,792
3TEC ENERGY CORPORATION               EQUITY  88575R308      97       5,593   SH         DEFINED    1                 5,593
4KIDS ENTERTAINMENT INC               EQUITY  350865101      70       3,392   SH         DEFINED    1                 3,392
7-ELEVEN INC.                         EQUITY  817826209      67       8,273   SH         DEFINED    1                 8,273
99 CENTS ONLY STORES                  EQUITY  65440K106    2303      89,776   SH         DEFINED    1                89,777
99 CENTS ONLY STORES COM              EQUITY  65440K106      21     808,530   SH            SOLE    3    781,197              27,333
A C MOORE ARTS & CRAFT                EQUITY  00086T103     102       2,164   SH         DEFINED    1                 2,164
A.G. EDWARDS, INC.                    EQUITY  281760108    4049     104,166   SH         DEFINED    1               104,166
AAIPHARMA INC                         EQUITY  00252W104      89       3,973   SH         DEFINED    1                 3,973
AAON INC                              EQUITY  000360206      63       3,355   SH         DEFINED    1                 3,355
AAR CORP.                             EQUITY  000361105      93       9,135   SH         DEFINED    1                 9,135
AARON RENTS, INC.                     EQUITY  002535201     113       4,704   SH         DEFINED    1                 4,704
ABBOTT LABORATORIES                   EQUITY  002824100   29868     793,315   SH         DEFINED    1               793,315
ABBOTT LABS                           EQUITY    2824100    2717      75,762   SH            SOLE    2     75,762
Abbott Labs                           EQUITY  002824100    3012      80,000   SH         DEFINED    4                80,000
ABC BANCORP                           EQUITY  000400101      53       3,528   SH         DEFINED    1                 3,528
ABERCROMBIE AND FITCH CO              EQUITY  002896207    2412     100,000   SH            SOLE    2    100,000
ABERCROMBIE AND FITCH CO              EQUITY  002896207    3377     140,000   SH            SOLE    2    140,000
ABERCROMBIE AND FITCH CO.             EQUITY  002896207    3082     127,786   SH         DEFINED    1               127,786
ABGENIX, INC.                         EQUITY  00339B107     296      30,226   SH         DEFINED    1                30,226
ABIOMED, INC.                         EQUITY  003654100      38       4,450   SH         DEFINED    1                 4,450
ABM INDUSTRIES, INC.                  EQUITY  000957100     234      13,454   SH         DEFINED    1                13,454
ACACIA RESEARCH CORP.                 EQUITY  003881109      50       7,009   SH         DEFINED    1                 7,009
ACADIA REALTY TRUST                   EQUITY  004239109      39       4,771   SH         DEFINED    1                 4,771
ACCLAIM ENTERTAINMENT, INC.           EQUITY  004325205      88      24,857   SH         DEFINED    1                24,857
ACCREDO HEALTH INC                    EQUITY  00437V104    1384      30,000   SH            SOLE    2     30,000
ACCREDO HEALTH INC COM                EQUITY  00437V104      44     961,915   SH            SOLE    3    939,857              22,058
ACCREDO HEALTH INC.                   EQUITY  00437V104      19         412   SH         DEFINED    1                   412
ACE LIMITED F                         EQUITY  G0070K103      62       2,000   SH            SOLE    2      2,000
ACE LTD                               EQUITY  G0070K103    3717     117,640   SH         DEFINED    1               117,640
ACME COMMUNICATION INC                EQUITY  004631107      24       3,295   SH         DEFINED    1                 3,295
ACTEL CORP.                           EQUITY  004934105     158       7,514   SH         DEFINED    1                 7,514
ACTERNA CORP                          EQUITY  00503U105       4       9,541   SH         DEFINED    1                 9,541
ACTION PERFORMANCE CO., INC.          EQUITY  004933107     176       5,566   SH         DEFINED    1                 5,566
ACTIVE POWER INC                      EQUITY  00504W100      43      11,958   SH         DEFINED    1                11,958
ACTIVISION INC NEW                    EQUITY  004930202    5902     203,100   SH            SOLE    2    203,100
ACTIVISION, INC.                      EQUITY  004930202    2311      79,522   SH         DEFINED    1                79,522
ACTRADE FINANCIAL TECHNOLOGIES        EQUITY  00507P102      25       2,443   SH         DEFINED    1                 2,443
ACTUANT CORP                          EQUITY  00508X203     135       3,273   SH         DEFINED    1                 3,273
ACTUATE CORP.                         EQUITY  00508B102      71      15,736   SH         DEFINED    1                15,736
ACUITY BRANDS INC                     EQUITY  00508Y102     269      14,763   SH         DEFINED    1                14,763
ACXIOM CORP.                          EQUITY  005125109    1982     113,303   SH         DEFINED    1               113,303
ADAPTEC, INC.                         EQUITY  00651F108      12       1,509   SH         DEFINED    1                 1,509
ADC Telecommunications                EQUITY  000886101     229     100,000   SH         DEFINED    4               100,000



                                                                                             
ADC TELECOMMUNICATIONS, INC           EQUITY  000886101     906     395,836   SH         DEFINED    1               395,836
ADE CORP.                             EQUITY  00089C107      38       3,339   SH         DEFINED    1                 3,339
ADMINISTAFF, INC.                     EQUITY  007094105      68       6,829   SH         DEFINED    1                 6,829
ADOBE SYS INC                         EQUITY  00724F101    2138      75,000   SH            SOLE    2     75,000
ADOBE SYS INC                         EQUITY  00724F101    4566     160,200   SH            SOLE    2    160,200
Adobe Systems                         EQUITY  00724F101    1283      45,000   SH         DEFINED    4                45,000
ADOBE SYSTEMS INC.                    EQUITY  00724F101    3648     128,004   SH         DEFINED    1               128,004
ADOLOR CORPORATION                    EQUITY  00724X102     125      11,138   SH         DEFINED    1                11,138
ADTRAN, INC.                          EQUITY  00738A106    1074      56,529   SH         DEFINED    1                56,529
ADVANCE AUTO PARTS                    EQUITY  00751Y106      11         196   SH         DEFINED    1                   196
ADVANCED AUTO PARTS COM               EQUITY  00751Y106       4      66,000   SH            SOLE    3     66,000
ADVANCED DIGITAL INFO CORP.           EQUITY  007525108     187      22,233   SH         DEFINED    1                22,233
ADVANCED ENERGY INDUSTRIES            EQUITY  007973100     131       5,917   SH         DEFINED    1                 5,917
ADVANCED FIBRE COMMUNICATIONS         EQUITY  00754A105    1763     106,571   SH         DEFINED    1               106,571
ADVANCED MARKETING SERV. INC.         EQUITY  00753T105      92       5,008   SH         DEFINED    1                 5,008
ADVANCED MICRO DEVICES INC            EQUITY  007903107    4374     450,000   SH            SOLE    2    450,000
ADVANCED MICRO DEVICES INC            EQUITY  007903107    6318     650,000   SH            SOLE    2    650,000
ADVANCED MICRO DEVICES, INC.          EQUITY  007903107    2079     213,883   SH         DEFINED    1               213,883
ADVANCED NEUROMOD SYS COM             EQUITY  00757t101       5     178,900   SH            SOLE    3    178,900
ADVANCED NEUROMODULATION S            EQUITY  00757T101    1525      50,000   SH            SOLE    2     50,000
ADVANCED POWER TECHNOLOG INC          EQUITY  00761E108      97       1,960   SH         DEFINED    1                 1,960
ADVANCED TISSUE SCIENCES, INC.        EQUITY  00755F103      38      26,122   SH         DEFINED    1                26,122
ADVANCEPCS                            EQUITY  00790K109   12642     528,061   SH         DEFINED    1               528,061
ADVANCES NEUROMODULATIONS SYS         EQUITY  00757T101      97       3,175   SH         DEFINED    1                 3,175
ADVANTA CORP [B]                      EQUITY  007942204      86       7,901   SH         DEFINED    1                 7,901
ADVENT SOFTWARE, INC.                 EQUITY  007974108    1417      55,135   SH         DEFINED    1                55,135
ADVISORY BRD CO                       EQUITY  00762W107      60       1,652   SH         DEFINED    1                 1,652
ADVO, INC.                            EQUITY  007585102     256       6,736   SH         DEFINED    1                 6,736
AEP INDS INC COM                      EQUITY  001031103      51       1,446   SH         DEFINED    1                 1,446
AEROFLEX, INC                         EQUITY  007768104     149      21,424   SH         DEFINED    1                21,424
AEROPOSTALE                           EQUITY  007865108    1273      46,500   SH            SOLE    2     46,500
AEROPOSTALE INC                       EQUITY  007865108     122       4,461   SH         DEFINED    1                 4,461
AES Corp                              EQUITY  00130H105    1331     245,594   SH         DEFINED    1               245,594
AETHER SYSTEMS INC.                   EQUITY  00808V105      38      12,895   SH         DEFINED    1                12,895
AETNA INC NEW                         EQUITY  00817Y108      72       1,500   SH            SOLE    2      1,500
AETNA INC-NEW                         EQUITY  00817Y108    3244      67,621   SH         DEFINED    1                67,621
AFC ENTERPRISES                       EQUITY  00104Q107     159       5,091   SH         DEFINED    1                 5,091
AFFILIATED COMPUTER CL A              EQUITY  008190100      74   1,548,874   SH            SOLE    3  1,468,960              76,214
AFFILIATED COMPUTER SERVICES CLASS A  EQUITY  008190100    8064     169,850   SH         DEFINED    1               169,850
AFFILIATED COMPUTER SVCS I            EQUITY  008190100    5342     112,500   SH            SOLE    2    112,500
AFFILIATED MANAGERS CORP              EQUITY  008252108      49     799,982   SH            SOLE    3    757,410              40,872
AFFILIATED MANAGERS GROUP             EQUITY  008252108      19         310   SH         DEFINED    1                   310
AFFYMETRIX INC                        EQUITY  00826T108      17         702   SH         DEFINED    1                   702
AFFYMETRIX INC COM                    EQUITY  00826T108      36   1,520,871   SH            SOLE    3  1,494,471              26,400
AFLAC, INC.                           EQUITY  001055102    8542     266,940   SH         DEFINED    1               266,940
AFTERMARKET TECHNOLOGY                EQUITY  008318107      52       2,705   SH         DEFINED    1                 2,705
AFTERMARKET TECHNOLOGY COR            EQUITY  008318107    1354      70,500   SH            SOLE    2     70,500
Agco Corp                             EQUITY  001084102     683      35,000   SH         DEFINED    4                35,000
AGCO CORP.                            EQUITY  001084102    1875      96,156   SH         DEFINED    1                96,156
AGERE SYSTEMS INC CL A CLASS A        EQUITY  00845V100                  17   SH            SOLE    2         17
AGERE SYSTEMS INC CL B CLASS B        EQUITY  00845V209       1         423   SH            SOLE    2        423
AGERE SYSTEMS INC-A                   EQUITY  00845V100                   2   SH         DEFINED    1                     2
AGERE SYSTEMS INC-CL B W/I            EQUITY  00845V209      35      23,179   SH         DEFINED    1                23,179
AGILE SOFTWARE CORP.                  EQUITY  00846X105      98      13,467   SH         DEFINED    1                13,468
AGILENT TECHNOLOGIES INC.             EQUITY  00846U101    5039     213,050   SH         DEFINED    1               213,050
AGL RESOURCES, INC.                   EQUITY  001204106    2834     122,159   SH         DEFINED    1               122,159
AIR PRODS & CHEMS INC COM             EQUITY  009158106       5      92,000   SH            SOLE    3     92,000
AIR PRODUCTS AND CHEMICALS INC        EQUITY  009158106    5144     101,920   SH         DEFINED    1               101,920
AIRBORNE INC.                         EQUITY  009269101    2304     120,009   SH         DEFINED    1               120,009
AIRGAS, INC.                          EQUITY  009363102    1897     109,677   SH         DEFINED    1               109,677



                                                                                             
AIRGATE PCS, INC.                     EQUITY  009367103       9       8,734   SH         DEFINED    1                 8,734
AIRTRAN HOLDINGS, INC.                EQUITY  00949P108     120      22,493   SH         DEFINED    1                22,493
AK STEEL CORP.                        EQUITY  001547108   39850   3,110,883   SH         DEFINED    1             3,110,883
AKAMAI  TECHNOLOGIES  INC.            EQUITY  00971T101      46      35,126   SH         DEFINED    1                35,126
AKSYS LTD                             EQUITY  010196103      63       9,092   SH         DEFINED    1                 9,092
ALABAMA NATIONAL BANCORP              EQUITY  010317105     151       3,477   SH         DEFINED    1                 3,477
ALAMO GROUP INC                       EQUITY  011311107      33       2,212   SH         DEFINED    1                 2,212
ALAMOSA HOLDINGS INC.                 EQUITY  011589108      37      26,310   SH         DEFINED    1                26,310
ALARIS MEDICAL INC                    EQUITY  011637105     128       5,058   SH         DEFINED    1                 5,058
ALASKA AIR GROUP, INC.                EQUITY  011659109    1109      42,497   SH         DEFINED    1                42,497
ALASKA COMM. SYS. HLDGS., INC.        EQUITY  01167P101      11       2,211   SH         DEFINED    1                 2,211
ALBANY INTERNATIONAL CORP. CLASS A    EQUITY  012348108    1328      49,350   SH         DEFINED    1                49,350
ALBANY MOLECULAR                      EQUITY  012423109     156       7,387   SH         DEFINED    1                 7,387
ALBEMARLE CORP.                       EQUITY  012653101    1648      53,597   SH         DEFINED    1                53,597
ALBERTO-CULVER CO. CLASS B            EQUITY  013068101    1264      26,452   SH         DEFINED    1                26,452
ALBERTSONS INC                        EQUITY  013104104    6462     214,164   SH            SOLE    2    214,164
ALBERTSON'S, INC.                     EQUITY  013104104    5559     182,500   SH         DEFINED    1               182,500
ALCAN                                 EQUITY  013716105    5408     144,140   SH         DEFINED    1               144,140
ALCOA, INC.                           EQUITY  013817101   14166     427,320   SH         DEFINED    1               427,320
ALCON INC                             EQUITY  H01301102    3425     100,000   SH            SOLE    2    100,000
ALDERWOODS GROUP INC                  EQUITY  014383103     108      14,247   SH         DEFINED    1                14,247
ALEXANDER & BALDWIN, INC.             EQUITY  014482103    1705      66,774   SH         DEFINED    1                66,774
ALEXANDER'S, INC.                     EQUITY  014752109      54         703   SH         DEFINED    1                   703
ALEXANDRIA REAL ESTATE EQUITIE        EQUITY  015271109     278       5,642   SH         DEFINED    1                 5,642
ALEXION PHARMACEUTICLAS, INC.         EQUITY  015351109      98       6,473   SH         DEFINED    1                 6,473
ALFA CORP.                            EQUITY  015385107     219      18,741   SH         DEFINED    1                18,741
ALICO INC                             EQUITY  016230104      36       1,222   SH         DEFINED    1                 1,222
ALIGN TECHNOLOGY INC                  EQUITY  016255101      48      11,798   SH         DEFINED    1                11,798
ALKERMES INC                          EQUITY  01642T108     312      19,469   SH         DEFINED    1                19,469
ALLEGHANY CORP                        EQUITY  017175100      16          83   SH         DEFINED    1                    83
ALLEGHENY ENERGY, INC.                EQUITY  017361106    2364      91,796   SH         DEFINED    1                91,796
ALLEGHENY TECHNOLOGIES, INC.          EQUITY  01741R102     590      37,366   SH         DEFINED    1                37,366
ALLEGIANCE TELECOM I                  EQUITY  01747T102      67      36,835   SH         DEFINED    1                36,835
ALLEGIANT BANCORP INC                 EQUITY  017476102      77       4,219   SH         DEFINED    1                 4,219
ALLEN TELECOM, INC.                   EQUITY  018091108      42       9,812   SH         DEFINED    1                 9,812
ALLERGAN, INC.                        EQUITY  018490102   21963     329,040   SH         DEFINED    1               329,040
ALLETE INC.                           EQUITY  018522102    2967     109,501   SH         DEFINED    1               109,501
ALLIANCE DATA SYS CORP COM            EQUITY  018581108      38   1,472,154   SH            SOLE    3  1,423,480              48,674
ALLIANCE DATA SYSTEMS                 EQUITY  018581108      21         841   SH         DEFINED    1                   841
ALLIANCE GAMING CORP                  EQUITY  01859P609     188      15,103   SH         DEFINED    1                15,103
ALLIANCE GAMING CORP COM NEW          EQUITY  01859P609      10     809,600   SH            SOLE    3    809,600
ALLIANCE IMAGING INC                  EQUITY  018606202      56       4,162   SH         DEFINED    1                 4,162
ALLIANCE SEMICONDUCTOR CORP.          EQUITY  01877H100      64       8,988   SH         DEFINED    1                 8,988
ALLIANT CORP                          EQUITY  018802108    2570     100,000   SH            SOLE    2    100,000
ALLIANT ENERGY CORP.                  EQUITY  018802108    2999     116,706   SH         DEFINED    1               116,706
ALLIANT TECHSYSTEMS COM               EQUITY  018804104       9     137,700   SH            SOLE    3    121,950              14,250
ALLIANT TECHSYSTEMS INC               EQUITY  018804104      29         451   SH         DEFINED    1                   451
ALLIED CAPITAL CORP                   EQUITY  01903Q108    4132     182,431   SH         DEFINED    1               182,431
ALLIED WASTE INDUSTRIES, INC.         EQUITY  019589308    1499     156,103   SH         DEFINED    1               156,103
ALLMERICA FINANCIAL CORP              EQUITY  019754100    3163      68,467   SH         DEFINED    1                68,467
ALLOS THERAPEUTICS INC                EQUITY  019777101      74       8,199   SH         DEFINED    1                 8,199
ALLOY ONLINE, INC                     EQUITY  019855105     161      11,134   SH         DEFINED    1                11,134
ALLSCRIPTS HEALTHCARE SOLUTION        EQUITY  01988P108      31       8,259   SH         DEFINED    1                 8,259
ALLSTATE CORP                         EQUITY  020002101    5917     160,000   SH            SOLE    2    160,000
ALLSTATE CORP                         EQUITY  020002101   18483     499,800   SH            SOLE    2    499,800
ALLSTATE CORP.                        EQUITY  020002101   13859     374,780   SH         DEFINED    1               374,780
ALLTEL CORP                           EQUITY  020039103    5062     107,709   SH            SOLE    2    107,709
ALLTEL CORP.                          EQUITY  020039103    7473     159,010   SH         DEFINED    1               159,010
ALPHARMA INC. CLASS A                 EQUITY  020813101     179      10,532   SH         DEFINED    1                10,533
ALTERA CORP.                          EQUITY  021441100    2622     192,821   SH         DEFINED    1               192,821



                                                                                            
ALTIRIS INC                           EQUITY  02148M100       9       1,788   SH         DEFINED    1                 1,788
AMAZON.COM, INC.                      EQUITY  023135106     158       9,698   SH         DEFINED    1                 9,698
AMB PPTY CORP                         EQUITY  00163T109       5     154,400   SH            SOLE    3    124,894              29,506
AMB PROPERTY CORP                     EQUITY  00163T109      38       1,211   SH         DEFINED    1                 1,211
AMBAC FINANCIAL GROUP INC.            EQUITY  023139108    3260      48,509   SH         DEFINED    1                48,509
AMBASSADORS GROUP INC                 EQUITY  023177108      29       1,987   SH         DEFINED    1                 1,987
AMC ENTERTAINMENT, INC.               EQUITY  001669100     133       9,380   SH         DEFINED    1                 9,380
AMCOL INTERNATIONAL CORP.             EQUITY  02341W103      48       7,077   SH         DEFINED    1                 7,077
AMCORE FINANCIAL, INC.                EQUITY  023912108     204       8,811   SH         DEFINED    1                 8,811
AMERADA HESS CORP                     EQUITY  023551104    3380      40,967   SH         DEFINED    1                40,967
AMERCO, INC.                          EQUITY  023586100      53       3,550   SH         DEFINED    1                 3,551
AMEREN CORP.                          EQUITY  023608102    8377     194,758   SH         DEFINED    1               194,758
Ameren Corporation                    EQUITY  023608102    9032     210,000   SH         DEFINED    4               210,000
AMERICA FIRST MORTGAGE INVST          EQUITY  023934102     122      12,407   SH         DEFINED    1                12,407
AMERICA MOVIL-SERIES L ADR            EQUITY  02364W105    3316     247,490   SH         DEFINED    1               247,490
AMERICAN AXLE & MFG HOLDINGS          EQUITY  024061103      11         382   SH         DEFINED    1                   382
AMERICAN AXLE + MFG HLDGS             EQUITY  024061103    2903      97,600   SH            SOLE    2     97,600
AMERICAN CAP. STRATEGIES, INC.        EQUITY  024937104    8371     304,718   SH         DEFINED    1               304,718
AMERICAN EAGLE OUTFITTERS             EQUITY  02553E106    1963      92,852   SH         DEFINED    1                92,853
AMERICAN EAGLE OUTFITTERS             EQUITY  02553E106    6678     315,900   SH            SOLE    2    315,900
AMERICAN EAGLE OUTFITTERS             EQUITY  02553E106   16070     760,150   SH            SOLE    2    760,150
American Electric Power               EQUITY  025537101    3002      75,000   SH         DEFINED    4                75,000
AMERICAN ELECTRIC POWER, INC.         EQUITY  025537101   18183     454,360   SH         DEFINED    1               454,360
American Express                      EQUITY  025816109    1634      45,000   SH         DEFINED    4                45,000
AMERICAN EXPRESS CO                   EQUITY  025816109   11164     307,385   SH            SOLE    2    307,385
AMERICAN EXPRESS CO                   EQUITY  025816109   25934     714,045   SH            SOLE    2    714,045
AMERICAN EXPRESS CO.                  EQUITY  025816109   48080   1,323,790   SH         DEFINED    1             1,323,790
AMERICAN FINANCIAL GROUP, INC.        EQUITY  025932104    2109      88,236   SH         DEFINED    1                88,236
AMERICAN FINANCIAL HLDGS INC.         EQUITY  026075101     249       8,325   SH         DEFINED    1                 8,325
AMERICAN GREETINGS CORP. CLASS A      EQUITY  026375105     503      30,201   SH         DEFINED    1                30,201
AMERICAN HEALTHWAYS INC               EQUITY  02649V104      68       3,815   SH         DEFINED    1                 3,815
AMERICAN HOME MTG HLDG                EQUITY  02660M108      29       2,336   SH         DEFINED    1                 2,336
AMERICAN INTL GROUP INC               EQUITY  026874107    2064      30,250   SH            SOLE    2     30,250
AMERICAN INTL GROUP INC               EQUITY  026874107    2895      42,437   SH            SOLE    2     42,437
AMERICAN INTL GRP INC COM             EQUITY  026874107  158848   2,328,132   SH         DEFINED    1             2,328,132
AMERICAN ITALIAN PASTA CO. CLASS A    EQUITY  027070101     302       5,919   SH         DEFINED    1                 5,919
AMERICAN MANAGEMENT SYSTEMS           EQUITY  027352103     267      13,977   SH         DEFINED    1                13,977
AMERICAN MED SEC GROUP                EQUITY  02744P101      53       2,203   SH         DEFINED    1                 2,203
AMERICAN MEDICAL SYSTEMS HOLDI        EQUITY  02744M108     140       6,967   SH         DEFINED    1                 6,967
AMERICAN NATIONAL INS                 EQUITY  028591105      14         149   SH         DEFINED    1                   149
AMERICAN NATL BANKSHAR                EQUITY  027745108      57       2,079   SH         DEFINED    1                 2,079
AMERICAN PHARMACEUTICA                EQUITY  02886P109      40       3,217   SH         DEFINED    1                 3,217
AMERICAN PHYSICIANS CAPITAL IN        EQUITY  028884104      65       3,546   SH         DEFINED    1                 3,546
AMERICAN POWER CONVERSION             EQUITY  029066107    1140      90,282   SH         DEFINED    1                90,282
American Standard Co                  EQUITY  029712106    1127      15,000   SH         DEFINED    4                15,000
AMERICAN STANDARD COMPANIES           EQUITY  029712106    3273      43,588   SH         DEFINED    1                43,588
AMERICAN STATES WATER CO.             EQUITY  029899101     143       5,402   SH         DEFINED    1                 5,402
AMERICAN SUPERCONDUCTOR CORP          EQUITY  030111108      40       7,307   SH         DEFINED    1                 7,307
AMERICAN TOWER CORP                   EQUITY  029912201     199      57,667   SH         DEFINED    1                57,667
AMERICAN WATER WORKS CO., INC.        EQUITY  030411102    5554     128,538   SH         DEFINED    1               128,538
AMERICAN WOODMARK CORP.               EQUITY  030506109      92       1,634   SH         DEFINED    1                 1,634
AMERICREDIT CORP COM                  EQUITY  03060R101      68   2,438,085   SH            SOLE    3  2,307,271             124,814
AMERICREDIT CORP.                     EQUITY  03060R101    3676     131,052   SH         DEFINED    1               131,052
AMERIGROUP CORP                       EQUITY  03073T102      94       3,435   SH         DEFINED    1                 3,435
AMERIPATH, INC.                       EQUITY  03071D109     241      10,051   SH         DEFINED    1                10,051
AMERISOURCEBERGEN CO                  EQUITY  03073E105   18664     245,574   SH         DEFINED    1               245,574
AMERISTAR CASINOS                     EQUITY  03070Q101     107       3,699   SH         DEFINED    1                 3,699
AMERITRADE HOLDING CORP               EQUITY  03072H109     150      32,830   SH         DEFINED    1                32,830
AMERON, INC.                          EQUITY  030710107      92       1,279   SH         DEFINED    1                 1,279
AMERUS GROUP CO.                      EQUITY  03072M108    1940      52,285   SH         DEFINED    1                52,285



                                                                                            
AMETEK, INC.                          EQUITY  031100100    2011      53,992   SH         DEFINED    1                53,992
AMGEN INC                             EQUITY  031162100    5568     132,944   SH            SOLE    2    132,944
AMGEN INC                             EQUITY  031162100   13530     323,055   SH            SOLE    2    323,055
AMGEN, INC.                           EQUITY  031162100   23538     416,400   SH         DEFINED    1               416,400
AMKOR TECHNOLOGY, INC                 EQUITY  031652100       8       1,235   SH         DEFINED    1                 1,235
AMLI RESIDENTIAL PROPERTIES           EQUITY  001735109     131       5,038   SH         DEFINED    1                 5,038
AMN HEALTHCARE SERVICE                EQUITY  001744101       7         195   SH         DEFINED    1                   195
AMN HEALTHCARE SVCS INC               EQUITY  001744101    3501     100,000   SH            SOLE    2    100,000
AMPHENOL CORP. CLASS A                EQUITY  032095101     361      10,019   SH         DEFINED    1                10,019
AMR CORP.                             EQUITY  001765106    1211      71,844   SH         DEFINED    1                71,844
AMSOUTH BANCORPORATION                EQUITY  032165102    3748     167,482   SH         DEFINED    1               167,482
AMSURG CORP CL A                      EQUITY  03232P405     191       7,288   SH         DEFINED    1                 7,288
AMSURG CORP CL A                      EQUITY  03232P405      11     400,715   SH            SOLE    3    400,715
AMYLIN PHARMACEUTICALS, INC.          EQUITY  032346108     239      21,869   SH         DEFINED    1                21,869
ANADARKO PETE CORP                    EQUITY  032511107    3698      75,000   SH            SOLE    2     75,000
ANADARKO PETE CORP                    EQUITY  032511107   11487     233,000   SH            SOLE    2    233,000
ANADARKO PETROLEUM CORP.              EQUITY  032511107   22865     463,802   SH         DEFINED    1               463,802
ANADIGICS, INC.                       EQUITY  032515108      90      10,917   SH         DEFINED    1                10,918
ANALOG DEVICES, INC.                  EQUITY  032654105    5162     173,810   SH         DEFINED    1               173,810
ANALOGIC CORP.                        EQUITY  032657207     116       2,361   SH         DEFINED    1                 2,361
ANAREN MICROWAVE, INC                 EQUITY  032744104      69       8,020   SH         DEFINED    1                 8,020
ANCHOR BANCORP WISCONSIN, INC.        EQUITY  032839102     181       7,523   SH         DEFINED    1                 7,523
ANDREW CORP.                          EQUITY  034425108     674      45,143   SH         DEFINED    1                45,143
ANDRX GROUP                           EQUITY  034553107    5766     213,807   SH         DEFINED    1               213,807
ANGELICA CORP                         EQUITY  034663104      53       3,080   SH         DEFINED    1                 3,080
ANGLO AMERICAN PLC - UNSP ADR         EQUITY  03485P102    1908     116,710   SH         DEFINED    1               116,710
Anheuser Busch                        EQUITY  035229103    2000      40,000   SH         DEFINED    4                40,000
ANHEUSER BUSCH COS INC                EQUITY  035229103    1500      30,000   SH            SOLE    2     30,000
ANHEUSER BUSCH COS INC                EQUITY  035229103    4075      81,500   SH            SOLE    2     81,500
ANHEUSER-BUSCH COMPANIES, INC.        EQUITY  035229103   42364     847,270   SH         DEFINED    1               847,270
ANIXTER INTERNATIONALL, INC.          EQUITY  035290105     262      11,147   SH         DEFINED    1                11,147
ANN TAYLOR STORES CORP.               EQUITY  036115103     399      15,703   SH         DEFINED    1                15,703
ANNALY MTG MGMT INC                   EQUITY  035710409    4979     256,649   SH         DEFINED    1               256,649
ANNTAYLOR STORES CORP COM             EQUITY  036115103      49   1,935,500   SH            SOLE    3  1,904,300              31,200
ANSWERTHINK INC                       EQUITY  036916104      63      16,728   SH         DEFINED    1                16,728
ANSYS INC                             EQUITY  03662Q105     106       5,263   SH         DEFINED    1                 5,263
ANTEON INTERNATIONAL CORP             EQUITY  03674E108     135       5,354   SH         DEFINED    1                 5,354
ANTEON INTL CORP COM                  EQUITY  03674E108      30   1,171,100   SH            SOLE    3  1,151,900              19,200
ANTHEM INC                            EQUITY  03674B104      98       1,449   SH         DEFINED    1                 1,449
ANTHEM INC COM                        EQUITY  03674B104      18     264,764   SH            SOLE    3    212,900              49,164
ANTHRACITE CAPITAL INC.               EQUITY  037023108    2867     216,414   SH         DEFINED    1               216,414
ANTIGENICS INC.                       EQUITY  037032109      77       7,828   SH         DEFINED    1                 7,828
ANWORTH MORTGAGE ASSET                EQUITY  037347101      61       4,356   SH         DEFINED    1                 4,356
AO Tafneft ADR                        EQUITY  03737P306    1065      77,000   SH         DEFINED    1                77,000
AOL TIME WARNER                       EQUITY  00184A105     176      12,567   SH            SOLE    2     12,567
AOL Time Warner                       EQUITY  00184A105     618      42,000   SH         DEFINED    4                42,000
AOL TIME WARNER INC.                  EQUITY  00184A105   33266   2,261,434   SH         DEFINED    1             2,261,434
AON CORP.                             EQUITY  037389103    3700     125,508   SH         DEFINED    1               125,508
APAC TELESERVICES, INC.               EQUITY  00185E106      54       9,214   SH         DEFINED    1                 9,214
APACHE CORP                           EQUITY  037411105    4598      80,000   SH            SOLE    2     80,000
APACHE CORP                           EQUITY  037411105   13963     242,967   SH            SOLE    2    242,967
APACHE CORP.                          EQUITY  037411105    3818      66,418   SH         DEFINED    1                66,418
APARTMENT INVT & MGMT CL A            EQUITY  03748R101      28     572,900   SH            SOLE    3    463,346             109,554
APARTMENT INVT & MGMT CO - A          EQUITY  03748R101      52       1,057   SH         DEFINED    1                 1,057
APEX MORTGAGE CAPITAL INC             EQUITY  037564101     156      10,426   SH         DEFINED    1                10,426
APHTON CORP.                          EQUITY  03759P101      48       6,460   SH         DEFINED    1                 6,460
APOGEE ENTERPRISES, INC.              EQUITY  037598109     145      10,120   SH         DEFINED    1                10,120
APOGENT TECHNOLOGIES                  EQUITY  03760A101    2835     137,829   SH         DEFINED    1               137,829
APOLLO GROUP INC                      EQUITY  037604105    1975      50,100   SH            SOLE    2     50,100
APOLLO GROUP INC CL A                 EQUITY  037604105      34     862,580   SH            SOLE    3    747,700             107,830



                                                                                          
APOLLO GROUP INC.
 (UNIVERSITY OF PHOENIX)              EQUITY  037604204       6         208   SH       DEFINED    1                   208
APOLLO GROUP, INC. CLASS A            EQUITY  037604105    3310      83,977   SH       DEFINED    1                83,977
APPLE COMPUTER, INC.                  EQUITY  037833100    3168     178,756   SH       DEFINED    1               178,756
APPLEBEES INTERNATIONAL, INC.         EQUITY  037899101      18         777   SH       DEFINED    1                   777
APPLERA CORP  APPLIED BIOSYSTEM       EQUITY  038020103    2205     113,139   SH       DEFINED    1               113,139
APPLERA CORP (CELERA GENOMICS GROUP)  EQUITY  038020202     294      24,509   SH       DEFINED    1                24,509
APPLICA INC.                          EQUITY  03815A106      72       5,771   SH       DEFINED    1                 5,771
APPLIED FILMS CORP                    EQUITY  038197109      44       3,935   SH       DEFINED    1                 3,935
APPLIED INDUSTRIAL TECH., INC.        EQUITY  03820C105     134       6,851   SH       DEFINED    1                 6,851
APPLIED MATERIALS INC                 EQUITY  038222105    2853     150,000   SH          SOLE    2    150,000
APPLIED MATERIALS INC                 EQUITY  038222105    7656     402,500   SH          SOLE    2    402,500
APPLIED MATERIALS, INC.               EQUITY  038222105   23337   1,226,980   SH       DEFINED    1             1,226,980
APPLIED MICRO CIRCUITS CORP.          EQUITY  03822W109     702     148,480   SH       DEFINED    1               148,480
APPLIED MOLECULAR EVOLUTION           EQUITY  03823E108      32       5,483   SH       DEFINED    1                 5,483
APRIA HEALTHCARE GROUP, INC.          EQUITY  037933108    1883      84,059   SH       DEFINED    1                84,059
APTARGROUP, INC.                      EQUITY  038336103      16         520   SH       DEFINED    1                   520
AQUILA INC                            EQUITY  03840P102    5731     716,397   SH       DEFINED    1               716,397
ARAID PHARAMACEUTICLAS, INC.          EQUITY  04033A100      43      10,342   SH       DEFINED    1                10,342
ARAMARK CORP                          EQUITY  038521100      10         419   SH       DEFINED    1                   419
ARBITRON, INC.                        EQUITY  03875Q108     327      10,484   SH       DEFINED    1                10,484
ARCH CAP GROUP LTD ORD                EQUITY  G0450A105       4     128,000   SH          SOLE    3    128,000
ARCH CHEMICALS, INC.                  EQUITY  03937R102     177       7,159   SH       DEFINED    1                 7,159
ARCH COAL, INC.                       EQUITY  039380100    1887      83,077   SH       DEFINED    1                83,077
ARCHER DANIELS MIDLAND CO.            EQUITY  039483102    3844     300,548   SH       DEFINED    1               300,548
ARCHSTONE COMMUNITIES TRUST           EQUITY  039583109      68       2,546   SH       DEFINED    1                 2,546
ARCHSTONE SMITH TR COM                EQUITY  039583109      31   1,164,208   SH          SOLE    3    942,779             221,429
ARCTIC CAT, INC.                      EQUITY  039670104      99       5,700   SH       DEFINED    1                 5,700
ARDEN GROUP INC                       EQUITY  039762109      29         488   SH       DEFINED    1                   488
ARDEN REALTY INC.                     EQUITY  039793104    4533     159,327   SH       DEFINED    1               159,327
ARDEN RLTY GROUP INC COM              EQUITY  039793104      25     886,600   SH          SOLE    3    732,841             153,759
ARENA PHARMACEUTICALS INC             EQUITY  040047102      58       6,950   SH       DEFINED    1                 6,950
ARGONAUT GROUP, INC.                  EQUITY  040157109     165       7,700   SH       DEFINED    1                 7,700
ARGOSY GAMING CO.                     EQUITY  040228108     252       8,889   SH       DEFINED    1                 8,889
ARIBA, INC.                           EQUITY  04033V104     383     119,981   SH       DEFINED    1               119,981
ARKANSAS BEST CORP                    EQUITY  040790107    1498      58,800   SH          SOLE    2     58,800
ARKANSAS BEST CORP.                   EQUITY  040790107     195       7,657   SH       DEFINED    1                 7,657
ARMOR HOLDINGS, INC.                  EQUITY  042260109     229       8,971   SH       DEFINED    1                 8,971
ARQULE, INC.                          EQUITY  04269E107      51       7,577   SH       DEFINED    1                 7,577
ARRAY BIOPHARMA INC                   EQUITY  04269X105      66       6,856   SH       DEFINED    1                 6,856
ARRAY BIOPHARMA INC                   EQUITY  04269X105       2     250,600   SH          SOLE    3    250,600
ARRIS GROUP INC                       EQUITY  04269Q100     105      23,356   SH       DEFINED    1                23,356
ARROW ELECTRONICS INC                 EQUITY  042735100    3327     160,338   SH       DEFINED    1               160,338
ARROW FINANCIAL CORP                  EQUITY  042744102      77       2,276   SH       DEFINED    1                 2,276
ARROW INTERNATIONAL, INC.             EQUITY  042764100     130       3,328   SH       DEFINED    1                 3,328
ARTESYN TECHNOLOGIES, INC.            EQUITY  043127109      69      10,553   SH       DEFINED    1                10,553
ARTHROCARE CORP.                      EQUITY  043136100     100       7,798   SH       DEFINED    1                 7,798
Arthur J Gallagher                    EQUITY  363576109    1733      50,000   SH       DEFINED    4                50,000
ARTISAN COMPONENTS INC.               EQUITY  042923102      48       5,294   SH       DEFINED    1                 5,294
ARVINMERITOR, INC                     EQUITY  043353101    2104      87,679   SH       DEFINED    1                87,679
ASBURY AUTOMOTIVE GROUP               EQUITY  043436104      37       2,744   SH       DEFINED    1                 2,744
ASCENTIAL SOFTWARE CORP.              EQUITY  04362P108    1162     416,453   SH       DEFINED    1               416,453
ASHLAND OIL, INC.                     EQUITY  044204105    5251     129,644   SH       DEFINED    1               129,644
ASIAINFO HOLDINGS INC.                EQUITY  04518A104     137      10,326   SH       DEFINED    1                10,326
ASPECT COMMUNICATIONS INC.            EQUITY  04523Q102      60      18,747   SH       DEFINED    1                18,747
ASPEN TECHNOLOGY, INC.                EQUITY  045327103     106      12,672   SH       DEFINED    1                12,672
ASSOCIATED BANC-CORP.                 EQUITY  045487105    3703      98,200   SH       DEFINED    1                98,200
ASSOCIATED ESTATES REALTY             EQUITY  045604105    1280     120,740   SH       DEFINED    1               120,740
ASTEC INDS INC COM                    EQUITY  046224101      87       5,424   SH       DEFINED    1                 5,424
ASTORIA FINANCIAL CORP.               EQUITY  046265104    3722     116,119   SH       DEFINED    1               116,119
ASTROPOWER INC                        EQUITY  04644A101     131       6,684   SH       DEFINED    1                 6,684



                                                                                            
ASTROPOWER INC COM                    EQUITY  04644A101      21   1,079,963   SH            SOLE    3  1,044,085              35,878
ASYST TECHNOLOGIES, INC.              EQUITY  04648X107     259      12,740   SH         DEFINED    1                12,740
AT + T WIRELESS SVCS INC              EQUITY  00209A106     878     150,000   SH            SOLE    2    150,000
AT + T WIRELESS SVCS INC              EQUITY  00209A106    2077     355,000   SH            SOLE    2    355,000
AT RD INC                             EQUITY  04648K105      46       7,484   SH         DEFINED    1                 7,484
AT&T                                  EQUITY  001957109   25841   2,415,040   SH         DEFINED    1             2,415,040
AT&T CORP                             EQUITY    1957109      35       3,467   SH            SOLE    2      3,467
AT&T WIRELESS                         EQUITY  00209A106       5       1,055   SH            SOLE    2      1,055
AT&T WIRELESS (USD)                   EQUITY  00209A106    7477   1,278,202   SH         DEFINED    1             1,278,202
ATHEROGENICS INC                      EQUITY  047439104      64       8,894   SH         DEFINED    1                 8,894
ATLANTIC COAST AIRLINES HL            EQUITY  048396105     875      40,300   SH            SOLE    2     40,300
ATLANTIC COAST AIRLINES HLDG.         EQUITY  048396105     315      14,499   SH         DEFINED    1                14,499
ATLAS AIR WORLDWIDE HLDGS INC.        EQUITY  049164106     203      54,773   SH         DEFINED    1                54,773
ATMEL CORP                            EQUITY  049513104    8150   1,301,900   SH            SOLE    2  1,301,900
ATMEL CORP.                           EQUITY  049513104    3838     613,060   SH         DEFINED    1               613,060
ATMI INC                              EQUITY  00207R101    1707      76,300   SH            SOLE    2     76,300
ATMI, INC.                            EQUITY  00207R101     216       9,667   SH         DEFINED    1                 9,668
ATMOS ENERGY CORP.                    EQUITY  049560105     346      14,745   SH         DEFINED    1                14,745
ATRIX LABS INC                        EQUITY  04962L101     165       7,401   SH         DEFINED    1                 7,401
ATWOOD OCEANICS, INC.                 EQUITY  050095108     120       3,192   SH         DEFINED    1                 3,192
AUDIOVOX COPR.                        EQUITY  050757103      48       5,981   SH         DEFINED    1                 5,981
AUGUST TECHNOLOGY CORP.               EQUITY  05106U105      26       2,611   SH         DEFINED    1                 2,611
AURORA FOODS, INC.                    EQUITY  05164B106      13       8,437   SH         DEFINED    1                 8,437
AUTODESK, INC.                        EQUITY  052769106     704      53,132   SH         DEFINED    1                53,132
AUTOLIV, INC.                         EQUITY  052800109      36       1,418   SH         DEFINED    1                 1,419
AUTOMATIC DATA PROCESSING INC.        EQUITY  053015103   13959     320,520   SH         DEFINED    1               320,520
AUTONATION INC                        EQUITY  05329W102      42       2,875   SH         DEFINED    1                 2,876
AUTOZONE, INC.                        EQUITY  053332102    3730      48,248   SH         DEFINED    1                48,248
AVALONBAY COMM                        EQUITY  053484101      14     293,505   SH            SOLE    3    238,193              55,312
AVALONBAY COMMUNITIE                  EQUITY  053484101      40         865   SH         DEFINED    1                   865
AVANEX CORP                           EQUITY  05348W109      41      20,893   SH         DEFINED    1                20,893
AVATAR HOLDINGS, INC.                 EQUITY  053494100      43       1,538   SH         DEFINED    1                 1,538
AVAYA INC                             EQUITY   53499109       2         548   SH            SOLE    2        548
AVAYA INC.                            EQUITY  053499109     828     167,231   SH         DEFINED    1               167,231
AVENUE A INC                          EQUITY  053566105      44      12,387   SH         DEFINED    1                12,388
AVERY DENNISON CORP                   EQUITY  053611109    1255      20,000   SH            SOLE    2     20,000
AVERY DENNISON CORP                   EQUITY  053611109   10974     174,880   SH            SOLE    2    174,880
AVERY DENNISON CORP.                  EQUITY  053611109    3172      50,548   SH         DEFINED    1                50,548
AVIALL, INC.                          EQUITY  05366B102      93       6,645   SH         DEFINED    1                 6,645
AVID TECHNOLOGY, INC.                 EQUITY  05367P100      82       8,884   SH         DEFINED    1                 8,884
AVIGEN, INC.                          EQUITY  053690103      67       7,171   SH         DEFINED    1                 7,171
AVISTA CORP                           EQUITY  05379B107     235      17,052   SH         DEFINED    1                17,052
AVNET, INC.                           EQUITY  053807103    3973     180,653   SH         DEFINED    1               180,653
AVOCENT CORPORATION                   EQUITY  053893103    1150      72,232   SH         DEFINED    1                72,232
AVON PRODS INC                        EQUITY  054303102    1306      25,000   SH            SOLE    2     25,000
AVON PRODS INC                        EQUITY  054303102    5694     109,000   SH            SOLE    2    109,000
AVON PRODUCTS, INC.                   EQUITY  054303102    6932     132,700   SH         DEFINED    1               132,700
AVX CORP                              EQUITY  002444107     222      13,615   SH         DEFINED    1                13,615
AXCAN PHARMA INC COM                  EQUITY  054923107       6     390,900   SH            SOLE    3    390,900
AXCELIS TECHNOLOGIES INC              EQUITY  054540109     395      34,947   SH         DEFINED    1                34,947
AXT INC.                              EQUITY  00246W103      53       6,656   SH         DEFINED    1                 6,656
AZTAR CORP.                           EQUITY  054802103     254      12,216   SH         DEFINED    1                12,216
B I S Y S GROUP INC                   EQUITY  055472104      86   2,571,286   SH            SOLE    3  2,437,052             128,134
BAKER HUGHES INC.                     EQUITY  057224107       4     107,300   SH            SOLE    3    107,300
BAKER HUGHES, INC.                    EQUITY  057224107    8946     268,730   SH         DEFINED    1               268,730
BALDOR ELECTRIC CO.                   EQUITY  057741100     274      10,859   SH         DEFINED    1                10,859
BALDWIN & LYONS, INC., CLASS B        EQUITY  057755209      46       2,036   SH         DEFINED    1                 2,036
BALL CORP.                            EQUITY  058498106    1092      26,315   SH         DEFINED    1                26,315
BALLY TOTAL FITNESS HLDG COR COM      EQUITY  05873K108     206      11,020   SH         DEFINED    1                11,020
BANC CORP                             EQUITY  05944B103      41       4,660   SH         DEFINED    1                 4,660



                                                                                             
BANCFIRST CORP.                       EQUITY  05945F103      64       1,390   SH         DEFINED    1                 1,390
BANCO DE CHILE-ADR                    EQUITY  059520106     613      37,599   SH         DEFINED    1                37,599
BANCORP CONN INC                      EQUITY  059684100      44       1,554   SH         DEFINED    1                 1,554
BANCORPSOUTH, INC.                    EQUITY  059692103      24       1,175   SH         DEFINED    1                 1,175
BANDAG, INC.                          EQUITY  059815100     862      30,423   SH         DEFINED    1                30,423
BANK AMER CORP                        EQUITY  060505104   11601     164,875   SH            SOLE    2    164,875
BANK AMER CORP                        EQUITY  060505104   41122     646,025   SH            SOLE    2    646,025
BANK ATLANTIC BANCORP CLASS A         EQUITY  065908501     184      14,865   SH         DEFINED    1                14,865
BANK MUTUAL CORP                      EQUITY  063748107      81       3,964   SH         DEFINED    1                 3,964
BANK OF AMERICA CORP                  EQUITY  060505104   55132     783,570   SH         DEFINED    1               783,570
BANK OF GRANITE CORP.                 EQUITY  062401104      96       4,865   SH         DEFINED    1                 4,865
BANK OF HAWAII CORP                   EQUITY  062540109    2639      94,256   SH         DEFINED    1                94,256
BANK OF NEW YORK CO., INC.            EQUITY  064057102   38744   1,147,960   SH         DEFINED    1             1,147,960
BANK OF THE OZARKS INC                EQUITY  063904106      35       1,586   SH         DEFINED    1                 1,586
BANK ONE CORP                         EQUITY  06423A103    1924      50,000   SH            SOLE    2     50,000
BANK UNITED CORP-CPR WI               EQUITY  065416117      46     506,802   SH         DEFINED    1               506,802
BANKNORTH GROUP INC.                  EQUITY  06646R107    4955     190,426   SH         DEFINED    1               190,426
BANKONE CORP.                         EQUITY  06423A103   22867     594,250   SH         DEFINED    1               594,250
BANKUNITED FINANCIAL CORP CLASS A     EQUITY  06652B103     146       7,613   SH         DEFINED    1                 7,613
BANNER CORPORATION                    EQUITY  06652V109      91       3,681   SH         DEFINED    1                 3,681
BANTA CORP.                           EQUITY  066821109    1470      40,939   SH         DEFINED    1                40,939
BARNES & NOBLE, INC.                  EQUITY  067774109   11355     429,632   SH         DEFINED    1               429,632
BARNES GROUP, INC.                    EQUITY  067806109      85       3,696   SH         DEFINED    1                 3,697
BARR LABORATORIES, INC                EQUITY  068306109    4665      73,435   SH         DEFINED    1                73,435
BARRA, INC.                           EQUITY  068313105     212       5,715   SH         DEFINED    1                 5,715
BARRICK GOLD CORP COM                 EQUITY  067901108       4     190,000   SH            SOLE    3    190,000
BARRICK GOLD CORP.                    EQUITY  067901108    4609     242,730   SH         DEFINED    1               242,730
BASSETT FURNITURE INDUSTRIES          EQUITY  070203104      70       3,594   SH         DEFINED    1                 3,594
BAUSCH & LOMB, INC.                   EQUITY  071707103     845      24,952   SH         DEFINED    1                24,952
BAXTER INTERNATIONAL, INC.            EQUITY  071813109   14132     317,930   SH         DEFINED    1               317,930
BAXTER INTL INC                       EQUITY  071813109    4446     100,021   SH            SOLE    2    100,021
BAXTER INTL INC                       EQUITY  071813109    6204     139,571   SH            SOLE    2    139,571
BAY VIEW CAPITAL CORP.                EQUITY  07262L101     143      22,379   SH         DEFINED    1                22,379
BBT CORP.                             EQUITY  054937107    8300     215,031   SH         DEFINED    1               215,031
BE AEROSPACE, INC.                    EQUITY  073302101     168      12,728   SH         DEFINED    1                12,728
BEA SYSTEMS, INC.                     EQUITY  073325102     149      15,669   SH         DEFINED    1                15,669
BEAR STEARNS COS                      EQUITY  073902108    4613      75,375   SH         DEFINED    1                75,375
BEASLEY BROADCAST GROUP, INC.         EQUITY  074014101      31       2,089   SH         DEFINED    1                 2,089
BEAZER HOMES USA INC COM              EQUITY  07556Q105      17     207,200   SH            SOLE    3    207,200
BEAZER HOMES USA, INC.                EQUITY  07556Q105     341       4,260   SH         DEFINED    1                 4,260
BEBE STORES, INC.                     EQUITY  075571109      32       1,560   SH         DEFINED    1                 1,560
Beckman Coulter Inc                   EQUITY  075811109     250       5,000   SH         DEFINED    4                 5,000
BECKMAN COULTER, INC.                 EQUITY  075811109    3978      79,712   SH         DEFINED    1                79,712
BECTON, DICKINSON AND CO.             EQUITY  075887109    4229     122,747   SH         DEFINED    1               122,747
BED BATH & BEYOND INC COM             EQUITY  075896100      22     589,200   SH            SOLE    3    526,800              57,600
BED BATH & BEYOND, INC.               EQUITY  075896100    5511     146,026   SH         DEFINED    1               146,026
BEDFORD PRPTY INVESTORS, INC.         EQUITY  076446301    3016     111,284   SH         DEFINED    1               111,284
BEI TECHNOLOGIES INC                  EQUITY  05538P104      45       3,894   SH         DEFINED    1                 3,894
BEL FUSE INC. CLASS B                 EQUITY  077347300      94       3,492   SH         DEFINED    1                 3,492
BELDEN, INC.                          EQUITY  077459105     169       8,086   SH         DEFINED    1                 8,086
BELL MICROPRODUCTS INC                EQUITY  078137106      50       6,208   SH         DEFINED    1                 6,208
BELLSOUTH CORP.                       EQUITY  079860102   31163     989,290   SH         DEFINED    1               989,290
BELO CORP.                            EQUITY  080555105    3260     144,173   SH         DEFINED    1               144,174
BEMIS CO., INC.                       EQUITY  081437105    1161      24,447   SH         DEFINED    1                24,447
BEMIS INC                             EQUITY  081437105    1188      25,000   SH            SOLE    2     25,000
BEMIS INC                             EQUITY  081437105   12220     257,255   SH            SOLE    2    257,255
BENCHMARK ELECTRONICS, INC.           EQUITY  08160H101     236       8,122   SH         DEFINED    1                 8,122
BENIHANA INC [A]                      EQUITY  082047200      27       1,459   SH         DEFINED    1                 1,459
BENTLEY PHARMACEUTICAL                EQUITY  082657107      50       4,325   SH         DEFINED    1                 4,325
BERKSHIRE HATHAWAY INC DEL            EQUITY  084670207    8512       3,810   SH            SOLE    2      3,810



                                                                                             
BERKSHIRE HATHAWAY INC DEL CL         EQUITY  084670207    9991       4,472   SH            SOLE    2      4,472
BERKSHIRE HILLS BANCOR                EQUITY  084680107      58       2,227   SH         DEFINED    1                 2,227
BERRY PETROLEUM CO. CLASS A           EQUITY  085789105      99       5,898   SH         DEFINED    1                 5,898
BEST BUY CO., INC.                    EQUITY  086516101    5835     160,750   SH         DEFINED    1               160,750
BEVERLY ENTERPRISES, INC.             EQUITY  087851309     266      34,977   SH         DEFINED    1                34,978
BIG LOTS INC.                         EQUITY  089302103    1056      53,673   SH         DEFINED    1                53,673
BIOGEN, INC.                          EQUITY  090597105    4771     115,148   SH         DEFINED    1               115,148
BIOMARIN PHARMACEUTICAL INC.          EQUITY  09061G101      68      12,937   SH         DEFINED    1                12,937
BIOMET, INC.                          EQUITY  090613100    3635     134,042   SH         DEFINED    1               134,042
BIOPURE CORP.                         EQUITY  09065H105      51       6,627   SH         DEFINED    1                 6,627
BIO-RAD LABORATORIES, INC., CLASS A   EQUITY  090572207     274       6,030   SH         DEFINED    1                 6,030
BIORELIANCE CORP                      EQUITY  090951104      30       1,224   SH         DEFINED    1                 1,224
BIOSITE INC.                          EQUITY  090945106     115       4,095   SH         DEFINED    1                 4,095
BIO-TECHNOLOGY GENERAL CORP.          EQUITY  090578105     125      20,867   SH         DEFINED    1                20,867
BIOVAIL CORP                          EQUITY  09067J109      30   1,023,654   SH            SOLE    3    978,054              42,900
BISYS GROUP, INC.                     EQUITY  055472104    5129     154,032   SH         DEFINED    1               154,032
BJ SERVICES CO.                       EQUITY  055482103    5206     153,652   SH         DEFINED    1               153,652
BJ SVCS CO                            EQUITY  055482103    1823      53,800   SH            SOLE    2     53,800
BJ'S WHOLESALE CLUB INC.              EQUITY  05548J106    4727     122,792   SH         DEFINED    1               122,792
BKF CAPITAL GROUP INC                 EQUITY  05548G102      59       2,087   SH         DEFINED    1                 2,087
BLACK & DECKER CORP.                  EQUITY  091797100    1791      37,162   SH         DEFINED    1                37,162
BLACK BOX CORP.                       EQUITY  091826107     295       7,233   SH         DEFINED    1                 7,233
BLACK HILLS CORP.                     EQUITY  092113109    1518      43,871   SH         DEFINED    1                43,871
BLACKROCK INC                         EQUITY  09247X101      10         237   SH         DEFINED    1                   237
BLAIR CORP                            EQUITY  092828102      73       2,851   SH         DEFINED    1                 2,851
BLOCK FINANCIAL CORP                  EQUITY  093671105    3944      85,466   SH         DEFINED    1                85,466
BLOCKBUSTER INC -CLA                  EQUITY  093679108      12         434   SH         DEFINED    1                   434
BLYTH INC.                            EQUITY  09643P108    2205      70,636   SH         DEFINED    1                70,636
BMC SOFTWARE, INC.                    EQUITY  055921100    1865     112,351   SH         DEFINED    1               112,351
BOB EVANS FARMS, INC.                 EQUITY  096761101    1800      57,187   SH         DEFINED    1                57,187
BOCA RESORTS INC -CL A                EQUITY  09688T106     135      10,184   SH         DEFINED    1                10,184
BOEING CO                             EQUITY  097023105    1575      35,000   SH            SOLE    2     35,000
BOEING CO                             EQUITY  097023105    8656     192,410   SH            SOLE    2    192,410
BOEING CO.                            EQUITY  097023105   17265     383,670   SH         DEFINED    1               383,670
BOISE CASCADE CORP.                   EQUITY  097383103     925      26,802   SH         DEFINED    1                26,802
BOK FINANCIAL CORP.                   EQUITY  05561Q201       7         205   SH         DEFINED    1                   205
BOMBAY CO INC                         EQUITY  097924104      53      11,814   SH         DEFINED    1                11,814
BONE CARE INTERNATIONAL, INC.         EQUITY  098072101      20       3,421   SH         DEFINED    1                 3,421
BORDERS GROUP INC COM                 EQUITY  099709107       9     498,400   SH            SOLE    3    494,800               3,600
BORDERS GROUP, INC.                   EQUITY  099709107    1941     105,476   SH         DEFINED    1               105,476
BORG WARNER INC                       EQUITY  099724106    2870      49,684   SH         DEFINED    1                49,684
BORLAND SOFTWARE CORP.                EQUITY  099849101     223      21,644   SH         DEFINED    1                21,644
BOSTON BEER, INC. CLASS A             EQUITY  100557107      52       3,301   SH         DEFINED    1                 3,301
BOSTON COMMUNICATIONS GROUP           EQUITY  100582105      37       4,579   SH         DEFINED    1                 4,579
BOSTON EDISON                         EQUITY  67019E107    4188      84,357   SH         DEFINED    1                68,583
BOSTON PRIVATE FINANCIAL HOLDI        EQUITY  101119105     170       6,860   SH         DEFINED    1                 6,860
BOSTON PROPERTIES INC                 EQUITY  101121101      38         962   SH         DEFINED    1                   962
BOSTON PROPERTIES INC COM             EQUITY  101121101      32     802,600   SH            SOLE    3    650,211             152,389
BOSTON SCIENTIFIC CORP                EQUITY  101137107    3357     114,500   SH            SOLE    2    114,500
BOSTON SCIENTIFIC CORP.               EQUITY  101137107    5335     181,960   SH         DEFINED    1               181,960
BOSTONFED BANCORP INC                 EQUITY  101178101      45       1,405   SH         DEFINED    1                 1,405
BOWATER, INC.                         EQUITY  102183100    3874      71,256   SH         DEFINED    1                71,256
BOWNE & CO., INC.                     EQUITY  103043105     176      11,957   SH         DEFINED    1                11,957
BOYD GAMING CORP.                     EQUITY  103304101     160      11,084   SH         DEFINED    1                11,084
BOYDS COLLECTION, LTD.                EQUITY  103354106      40       6,331   SH         DEFINED    1                 6,331
BOYKIN LODGING CO.                    EQUITY  103430104      67       6,155   SH         DEFINED    1                 6,155
BP AMOCO PLC SPON ADR                 EQUITY   55622104     204       4,090   SH            SOLE    2      4,090
BP P.L.C.                             EQUITY  055622104    1010      20,000   SH         DEFINED    4                20,000
BPP LIQUIDATING TRUST                 EQUITY  12232C108      11       7,544   SH         DEFINED    1                 7,544
BRADLEY PHARMACEUTICAL                EQUITY  104576103      39       2,952   SH         DEFINED    1                 2,952



                                                                                            
BRADY CORP.                           EQUITY  104674106     230       6,562   SH         DEFINED    1                 6,562
BRANDYWINE REALTY TRUST               EQUITY  105368203     246       9,516   SH         DEFINED    1                 9,516
BRASIL DISTR PAO ACU-SP ADR           EQUITY  20440T201     745      41,900   SH         DEFINED    1                41,900
BRE PROPERTIES INC CL A               EQUITY  05564E106       7     231,200   SH            SOLE    3    187,438              43,762
BRE PROPERTIES, INC., CLASS A         EQUITY  05564E106      21         664   SH         DEFINED    1                   664
BRIDGFORD FOODS CORP                  EQUITY  108763103      14       1,033   SH         DEFINED    1                 1,033
BRIGGS & STRATTON CORP.               EQUITY  109043109     296       7,726   SH         DEFINED    1                 7,726
BRIGHT HORIZON FAMILY COM             EQUITY  109195107      45   1,345,056   SH            SOLE    3  1,329,256              15,800
BRIGHT HORIZONS FAM. SOLUTIONS        EQUITY  109195107     120       3,613   SH         DEFINED    1                 3,613
BRINKER INTERNATIONAL, INC.           EQUITY  109641100    4019     126,570   SH         DEFINED    1               126,570
BRINKER INTL INC                      EQUITY  109641100      21     654,820   SH            SOLE    3    564,900              84,420
BRISTOL MYERS SQUIBB CO.              EQUITY  110122108   37570   1,461,850   SH         DEFINED    1             1,461,850
BRISTOL-MYERS SQUIBB CO               EQUITY  110122108    2352      91,506   SH            SOLE    2     91,506
BRITESMILE, INC.                      EQUITY  110415106      10       4,304   SH         DEFINED    1                 4,305
BROADCOM CORP.                        EQUITY  111320107    2270     129,443   SH         DEFINED    1               129,443
BROADWING INC.                        EQUITY  111620100     905     347,969   SH         DEFINED    1               347,969
BROCADE COMMUNICATION                 EQUITY  111621108    5126     293,270   SH         DEFINED    1               293,270
BROCADE COMMUNICATIONS SYS            EQUITY  111621108    3650     166,006   SH            SOLE    2    166,006
BROOKLINE BANCORP, INC.               EQUITY  113739106      94       3,704   SH         DEFINED    1                 3,704
BROOKS-PRI AUTOMATION INC             EQUITY  11442E102     308      12,068   SH         DEFINED    1                12,068
BROOKSTONE INC                        EQUITY  114537103      54       3,026   SH         DEFINED    1                 3,026
BROWN & BROWN INC                     EQUITY  115236101      21         673   SH         DEFINED    1                   673
BROWN FORMAN CORP                     EQUITY  115637209    7382     106,988   SH            SOLE    2    106,988
BROWN SHOE COMANY, INC.               EQUITY  115736100     176       6,265   SH         DEFINED    1                 6,265
BROWN, TOM INC.                       EQUITY  115660201     338      11,928   SH         DEFINED    1                11,928
BROWN-FORMAN CORP CLASS B             EQUITY  115637209    2149      31,152   SH         DEFINED    1                31,152
BRUCKER DALTRONICS INC                EQUITY  116795105      16       3,999   SH         DEFINED    1                 3,999
Brunswick Corp                        EQUITY  117043109     560      20,000   SH         DEFINED    4                20,000
BRUNSWICK CORP.                       EQUITY  117043109    1168      41,723   SH         DEFINED    1                41,723
BRUSH ENGINEERED  MATERIALS           EQUITY  117421107      74       5,940   SH         DEFINED    1                 5,940
BRYN MAWR BK CORP                     EQUITY  117665109      54       1,328   SH         DEFINED    1                 1,328
BSB BANCORP, INC.                     EQUITY  055652101      82       3,088   SH         DEFINED    1                 3,088
BUCA INC                              EQUITY  117769109    4953     260,000   SH            SOLE    2    260,000
BUCA, INC.                            EQUITY  117769109     103       5,426   SH         DEFINED    1                 5,426
BUCKEYE TECHNOLOGIES INC              EQUITY  118255108      84       8,611   SH         DEFINED    1                 8,611
BUCKLE, INC.                          EQUITY  118440106      62       2,513   SH         DEFINED    1                 2,513
BUILDING MATERIAL HOLDING CORP        EQUITY  120113105      63       4,354   SH         DEFINED    1                 4,354
BURLINGTON COAT FACTORY WHSE          EQUITY  121579106     136       6,380   SH         DEFINED    1                 6,380
BURLINGTON NORTHERN SANTA FE          EQUITY  12189T104    6889     229,740   SH         DEFINED    1               229,740
BURLINGTON NORTHN SANTA FE            EQUITY  12189T104    2100      70,000   SH            SOLE    2     70,000
BURLINGTON NORTHN SANTA FE            EQUITY  12189T104   11085     369,500   SH            SOLE    2    369,500
BURLINGTON RESOURCES, INC.            EQUITY  122014103    3645      95,918   SH         DEFINED    1                95,918
BUSH INDUSTRIES, INC.                 EQUITY  123164105      36       3,021   SH         DEFINED    1                 3,021
BUTLER MANUFACTURING CO.              EQUITY  123655102      55       1,987   SH         DEFINED    1                 1,987
BWAY CORP                             EQUITY  056039100      24       1,502   SH         DEFINED    1                 1,503
C & D TECHNOLOGIES, INC.              EQUITY  124661109     167       9,269   SH         DEFINED    1                 9,269
C H ROBINSON WORLDWIDE INC            EQUITY  12541W100      14     425,884   SH            SOLE    3    358,700              63,184
C. H. ROBINSON WORLDWIDE, INC.        EQUITY  12541W100    3653     108,934   SH         DEFINED    1               108,934
C. R. BARD, INC.                      EQUITY  067383109    1463      25,851   SH         DEFINED    1                25,851
CABLE & WIRELESS PLC ADR              EQUITY  126830207       6         720   SH            SOLE    2        720
CABLE DESIGN TECHNOLOGIES CORP        EQUITY  126924109     162      15,828   SH         DEFINED    1                15,828
CABLEVISION SYS CORP                  EQUITY  12686C109      69       7,270   SH         DEFINED    1                 7,270
CABLEVISION SYS CORP                  EQUITY  12686C844       6         704   SH         DEFINED    1                   704
CABOT CORP.                           EQUITY  127055101    2303      80,396   SH         DEFINED    1                80,396
CABOT MICROELECTRONICS CORP           EQUITY  12709P103    1683      38,985   SH         DEFINED    1                38,985
CABOT OIL & GAS CORP., CLASS A        EQUITY  127097103     226       9,898   SH         DEFINED    1                 9,898
CACHE INC                             EQUITY  127150308      13         927   SH         DEFINED    1                   927
CACI INTERNATIONAL                    EQUITY  127190304     387      10,144   SH         DEFINED    1                10,144
CACI INTL INC                         EQUITY  127190304    1925      50,400   SH            SOLE    2     50,400
CADENCE DESIGN SYSTEMS, INC.          EQUITY  127387108    6198     384,495   SH         DEFINED    1               384,495



                                                                                           
CADIZ INC.                          EQUITY  127537108     110      12,940   SH         DEFINED    1                12,940
CAL DIVE INTERNATIONAL, INC.        EQUITY  127914109     289      13,115   SH         DEFINED    1                13,115
CALGON CARBON CORP.                 EQUITY  129603106     100      11,950   SH         DEFINED    1                11,950
CALIFORNIA FIRST NTNL               EQUITY  130222102      20       1,238   SH         DEFINED    1                 1,238
CALIFORNIA PIZZA KITCHEN INC        EQUITY  13054D109     125       5,057   SH         DEFINED    1                 5,057
CALIFORNIA WATER SERVICE GROUP      EQUITY  130788102     127       5,025   SH         DEFINED    1                 5,025
CALIPER TECHNOLOGIES CORP           EQUITY  130876105      72       8,671   SH         DEFINED    1                 8,671
CALLAWAY GOLF CO.                   EQUITY  131193104    1603     101,173   SH         DEFINED    1               101,173
CALPINE CORP.                       EQUITY  131347106    1379     196,090   SH         DEFINED    1               196,090
CAMBREX CORP.                       EQUITY  132011107     322       8,020   SH         DEFINED    1                 8,020
CAMDEN NATL CORP                    EQUITY  133034108      80       2,878   SH         DEFINED    1                 2,878
CAMDEN POPERTY TRUST                EQUITY  133131102      19         521   SH         DEFINED    1                   521
CAMDEN PPTY TR SH BEN INT           EQUITY  133131102      23     627,900   SH            SOLE    3    518,752              109, 148
CAMINUS CORP.                       EQUITY  133766105      21       3,553   SH         DEFINED    1                 3,553
CAMPBELL SOUP CO.                   EQUITY  134429109    5084     183,790   SH         DEFINED    1               183,790
CANTEL MEDICAL CORP                 EQUITY  138098108      44       2,377   SH         DEFINED    1                 2,377
CAPITAL AUTOMOTIVE REIT             EQUITY  139733109     182       7,630   SH         DEFINED    1                 7,630
CAPITAL CITY BANK GROUP, INC.       EQUITY  139674105      86       2,505   SH         DEFINED    1                 2,505
CAPITAL GAMING INTL INC             EQUITY  140180308                 103   SH            SOLE    2        103
CAPITAL ONE FINANCIAL CORP.         EQUITY  14040H105   23016     377,010   SH         DEFINED    1               377,010
CAPITAL ONE FINL CORP COM           EQUITY  14040H105      30     492,514   SH            SOLE    3    416,200                71,614
CAPITOL BANCORP LTD                 EQUITY  14056D105      66       2,749   SH         DEFINED    1                 2,749
CAPITOL FEDERAL FINANCIAL           EQUITY  14057C106       8         324   SH         DEFINED    1                   324
CAPSTEAD MORTGAGE CORP.             EQUITY  14067E506      78       3,455   SH         DEFINED    1                 3,455
CAPSTONE TURBINE COR                EQUITY  14067D102      46      27,645   SH         DEFINED    1                27,645
CARAUSTAR INDUSTRIES, INC.          EQUITY  140909102     117       9,410   SH         DEFINED    1                 9,410
CARBO CERAMICS INC                  EQUITY  140781105     121       3,286   SH         DEFINED    1                 3,286
CARDIAC SCIENCE INC.                EQUITY  141410209      73      19,577   SH         DEFINED    1                19,577
CARDINAL HEALTH INC                 EQUITY  14149Y108   14367     233,950   SH         DEFINED    1               233,950
CARDINAL HEALTH INC                 EQUITY  14149Y108    4299      70,000   SH            SOLE    2     70,000
CARDINAL HEALTH INC                 EQUITY  14149Y108   12270     199,800   SH            SOLE    2    199,800
CARDIODYNAMICS INTERNATIONAL        EQUITY  141597104      42      11,408   SH         DEFINED    1                11,408
CARECENTRIC INC.                    EQUITY  14166Y106                 647   SH         DEFINED    1                   647
CAREER ED CORP                      EQUITY  141665109    2696      59,900   SH            SOLE    2     59,900
CAREER EDUCATION CORP               EQUITY  141665109      28         626   SH         DEFINED    1                   626
CAREER EDUCATION CORP COM           EQUITY  141665109      21     464,426   SH            SOLE    3    449,100                15,326
CAREMARK RX INC                     EQUITY  141705103     116       7,041   SH         DEFINED    1                 7,041
CARLISLE COS INC.                   EQUITY  142339100    2233      49,641   SH         DEFINED    1                49,641
CARMIKE CINEMAS INC                 EQUITY  143436400      20         790   SH         DEFINED    1                   790
CARNIVAL CORP                       EQUITY  143658102    6230     225,000   SH            SOLE    2    225,000
CARNIVAL CORP                       EQUITY  143658102   13579     490,400   SH            SOLE    2    490,400
CARNIVAL CORP. CLASS A              EQUITY  143658102    8993     324,790   SH         DEFINED    1               324,790
CARPENTER TECHNOLOGY CORP.          EQUITY  144285103    1016      35,250   SH         DEFINED    1                35,250
CARRAMERICA REALTY C                EQUITY  144418100      24         767   SH         DEFINED    1                   767
CARRAMERICA REALTY CORPORATION      EQUITY  144418100      30     963,500   SH            SOLE    3    780,284               183,216
CARREKER CORP                       EQUITY  144433109      79       6,894   SH         DEFINED    1                 6,894
CASCADE BANCORP                     EQUITY  147154108      80       4,450   SH         DEFINED    1                 4,450
CASCADE CORP                        EQUITY  147195101      52       3,346   SH         DEFINED    1                 3,346
CASCADE NAT GAS CORP COM            EQUITY  147339105      82       3,943   SH         DEFINED    1                 3,943
CASELLA WASTE SYSTEMS, INC.         EQUITY  147448104      71       5,926   SH         DEFINED    1                 5,926
CASEYS GENERAL STORES, INC.         EQUITY  147528103     167      13,890   SH         DEFINED    1                13,890
CASH AMERICA INTERNATIONAL          EQUITY  14754D100      72       7,831   SH         DEFINED    1                 7,831
CASTLE A. M.  & CO.                 EQUITY  148411101      31       2,493   SH         DEFINED    1                 2,493
CATALINA MARKETING CORP.            EQUITY  148867104    2013      71,315   SH         DEFINED    1                71,315
CATAPULT COMM CORP                  EQUITY  149016107      42       1,905   SH         DEFINED    1                 1,905
CATELLUS DEVELOPMENT                EQUITY  149111106      23       1,150   SH         DEFINED    1                 1,150
CATELLUS DEVELOPMENT CORP           EQUITY  149111106      12     604,700   SH            SOLE    3    481,185               123,515
Caterpillar                         EQUITY  149123101    1469      30,000   SH         DEFINED    4                30,000
CATERPILLAR INC                     EQUITY  149123101    4895     100,000   SH            SOLE    2    100,000
CATERPILLAR INC                     EQUITY  149123101   19082     389,821   SH            SOLE    2    389,821



                                                                                            
CATERPILLAR, INC.                    EQUITY  149123101    7552     154,280   SH         DEFINED    1               154,280
CATHAY BANCORP INC.                  EQUITY  149150104     228       5,506   SH         DEFINED    1                 5,506
CATO CORP. CLASS A                   EQUITY  149205106     116       5,213   SH         DEFINED    1                 5,213
CB BANCSHARES INC HAWAII             EQUITY  124785106      45       1,189   SH         DEFINED    1                 1,189
CBL & ASSOC PPTYS INC COM            EQUITY  124830100      25     614,200   SH            SOLE    3     497,251             116,949
CBL & ASSOCIATES PROPERTIES          EQUITY  124830100     293       7,225   SH         DEFINED    1                 7,225
CBRL GROUP, INC.                     EQUITY  12489V106    2188      71,901   SH         DEFINED    1                71,901
CCBT FINANCIAL COMPANIES INC         EQUITY  12500Q102      87       3,078   SH         DEFINED    1                 3,078
CCC INFORMATION SERVICES             EQUITY  12487Q109      61       4,373   SH         DEFINED    1                 4,373
C-COR ELECTRONICS, INC.              EQUITY  125010108      79      11,234   SH         DEFINED    1                11,234
CDI CORP.                            EQUITY  125071100     137       4,224   SH         DEFINED    1                 4,224
CDW COMPUTER CENTERS, INC.           EQUITY  125129106    5301     113,250   SH         DEFINED    1               113,250
CEC ENTERTAINMENT, INC.              EQUITY  125137109      15         361   SH         DEFINED    1                   361
CELGENE CORP                         EQUITY  151020104      16       1,054   SH         DEFINED    1                 1,054
CELL GENESYS, INC.                   EQUITY  150921104     158      11,734   SH         DEFINED    1                11,734
CELL THERAPEUTICS INC                EQUITY  150934107    1747     320,000   SH            SOLE    2     320,000
CELL THERAPEUTICS, INC.              EQUITY  150934107      68      12,534   SH         DEFINED    1                12,534
CENDANT CORP                         EQUITY  151313103    3785     100,000   SH            SOLE    2     100,000
CENDANT CORP                         EQUITY  151313103    7103     447,300   SH            SOLE    2     447,300
CENDANT CORP.                        EQUITY  151313103    8911     561,150   SH         DEFINED    1               561,150
CENTENE CORP DEL                     EQUITY  15135B101      55       1,785   SH         DEFINED    1                 1,785
CENTENE CORP DEL                     EQUITY  15135B101    1859      60,000   SH            SOLE    2      60,000
CENTENNIAL BANCORP                   EQUITY  15133T104      60       7,615   SH         DEFINED    1                 7,615
CENTENNIAL CELLULAR CORP.            EQUITY  15133V208       9       3,575   SH         DEFINED    1                 3,575
CENTER TR INC                        EQUITY  151845104      27       3,760   SH         DEFINED    1                 3,760
CENTERPOINT PPTYS TRUST              EQUITY  151895109      14     235,100   SH            SOLE    3     191,138              43,962
CENTERPOINT PROPERTIES CORP.         EQUITY  151895109      19         333   SH         DEFINED    1                   333
CENTEX CONSTRUCTION PRODUCTION       EQUITY  15231R109      83       2,279   SH         DEFINED    1                 2,279
CENTEX CORP COM                      EQUITY  152312104      42     725,800   SH            SOLE    3     681,200              41,200
CENTEX CORP.                         EQUITY  152312104    1740      30,106   SH         DEFINED    1                30,106
CENTILLIUM COMMUNICATIONS            EQUITY  152319109      86       9,907   SH         DEFINED    1                 9,907
CENTRAL COAST BANCORP                EQUITY  153145107      60       2,653   SH         DEFINED    1                 2,653
CENTRAL GARDEN & PET C               EQUITY  153527106      90       5,107   SH         DEFINED    1                 5,107
CENTRAL PARKING CORP.                EQUITY  154785109     142       6,222   SH         DEFINED    1                 6,222
CENTRAL VT PUB SVC CORP COM          EQUITY  155771108      75       4,158   SH         DEFINED    1                 4,158
CENTURY ALUMINUM CO.                 EQUITY  156431108      63       4,216   SH         DEFINED    1                 4,216
CENTURY BANCORP INC                  EQUITY  156432106      31       1,138   SH         DEFINED    1                 1,138
CENTURY BUSINESS SERVICES            EQUITY  156490104      92      28,109   SH         DEFINED    1                28,109
CENTURYTEL, INC.                     EQUITY  156700106    1932      65,495   SH         DEFINED    1                65,495
CEPHALON INC                         EQUITY  156708109      93       2,068   SH         DEFINED    1                 2,068
CERES GROUP INC                      EQUITY  156772105      26       6,774   SH         DEFINED    1                 6,774
CERIDIAN CORP                        EQUITY  156779100    3764     198,323   SH         DEFINED    1               198,323
CERNER CORP                          EQUITY  156782104      18         381   SH         DEFINED    1                   381
CERTEGY INC                          EQUITY  156880106    3328      89,671   SH         DEFINED    1                89,671
CERTEGY INC COM                      EQUITY  156880106      61   1,649,873   SH            SOLE    3   1,570,963              75,610
CERUS CORP.                          EQUITY  157085101     163       4,813   SH         DEFINED    1                 4,813
CFS BANCORP, INC.                    EQUITY  12525D102      66       4,287   SH         DEFINED    1                 4,287
CH ENERGY GROUP INC.                 EQUITY  12541M102     288       5,842   SH         DEFINED    1                 5,842
CHAMPION ENTERPRISES, INC.           EQUITY  158496109      98      17,398   SH         DEFINED    1                17,398
CHAMPIONSHIP AUTO RACING TEAMS       EQUITY  158711101      38       3,850   SH         DEFINED    1                 3,850
CHAMPS ENTMT INC DEL                 EQUITY  158787101      36       2,959   SH         DEFINED    1                 2,959
CHARLES RIV LABORATORIES I           EQUITY  159864107    6551     186,900   SH            SOLE    2     186,900
CHARLES RIV LABS INTL COM            EQUITY  159864107      33     929,300   SH            SOLE    3     913,000              16,300
CHARLES RIVER ASSOCIAT               EQUITY  159852102      53       2,627   SH         DEFINED    1                 2,627
CHARLES RIVER LABORATORIES           EQUITY  159864107      22         619   SH         DEFINED    1                   619
CHARLES SCHWAB CORP.                 EQUITY  808513105    6939     619,570   SH         DEFINED    1               619,570
CHARLOTTE RUSSE HOLDING INC          EQUITY  161048103      60       2,685   SH         DEFINED    1                 2,685
CHARMING SHOPPES, INC.               EQUITY  161133103     331      38,338   SH         DEFINED    1                38,338
CHARTER COMMUNICATIONS INC CLASS A   EQUITY  16117M107      43      10,484   SH         DEFINED    1                10,484
CHARTER FINL CORP WEST               EQUITY  16122M100      40       1,415   SH         DEFINED    1                 1,415



                                                                                           
CHARTER MUNICIPAL MORTGAGE ACC        EQUITY  160908109     263      14,694   SH         DEFINED    1                14,694
CHARTER ONE FINANCIAL INC.            EQUITY  160903100    3576     104,028   SH         DEFINED    1               104,028
CHASE INDS INC                        EQUITY  161568100      30       2,175   SH         DEFINED    1                 2,175
CHATEAU COMMUNITIES, INC.             EQUITY  161726104     771      25,187   SH         DEFINED    1                25,187
CHATTEM INC                           EQUITY  162456107      58       1,849   SH         DEFINED    1                 1,849
CHECK POINT SOFTWARE TECH             EQUITY  M22465104      92       6,790   SH         DEFINED    1                 6,790
CHECKERS DRIVE-IN REST                EQUITY  162809305      31       2,640   SH         DEFINED    1                 2,640
CHECKFREE HOLDINGS CORP.              EQUITY  162813109    1573     100,584   SH         DEFINED    1               100,584
CHECKPOINT SYSTEMS, INC.              EQUITY  162825103     134      11,479   SH         DEFINED    1                11,479
CHEESECAKE FACTORY                    EQUITY  163072101    2310      65,102   SH         DEFINED    1                65,102
CHEESECAKE FACTORY INC COM            EQUITY  163072101      27     759,075   SH            SOLE    3    745,926              13,149
CHELSEA PPTY GROUP INC COM            EQUITY  163421100      10     293,000   SH            SOLE    3    236,730              56,270
CHELSEA PROPERTY GROUP INC.           EQUITY  163421100     331       9,910   SH         DEFINED    1                 9,910
CHEMED CORP.                          EQUITY  163596109     132       3,496   SH         DEFINED    1                 3,496
CHEMFIRST, INC.                       EQUITY  16361A106     112       3,903   SH         DEFINED    1                 3,903
CHEMICAL FINANCIAL CORP.              EQUITY  163731102     302       8,047   SH         DEFINED    1                 8,047
CHEROKEE INC DEL NEW                  EQUITY  16444H102      35       1,699   SH         DEFINED    1                 1,699
CHESAPEAKE CORP.                      EQUITY  165159104     132       4,997   SH         DEFINED    1                 4,997
CHESAPEAKE ENERGY CORP.               EQUITY  165167107     364      50,609   SH         DEFINED    1                50,609
CHEVRONTEXACO CORPORATION             EQUITY  166764100     173       1,987   SH            SOLE    2      1,987
ChevronTexaco Corp                    EQUITY  166764100    1328      15,000   SH         DEFINED    4                15,000
CHEVRONTEXACO CORP                    EQUITY  166764100   50145     566,610   SH         DEFINED    1               566,610
CHICAGO PIZZA & BREWER                EQUITY  167889104      38       3,763   SH         DEFINED    1                 3,763
CHICOS'S FAS INC.                     EQUITY  168615102      18         505   SH         DEFINED    1                   505
CHILDREN'S PLACE, INC.                EQUITY  168905107     108       4,083   SH         DEFINED    1                 4,083
CHILES OFFSHORE INC                   EQUITY  16888M104     110       4,535   SH         DEFINED    1                 4,535
CHINA MOBILE HK LTD - SPON ADR        EQUITY  16941M109    2721     186,100   SH         DEFINED    1               186,100
CHIPPAC INC                           EQUITY  169657103      93      15,057   SH         DEFINED    1                15,057
CHIQUITA BRANDS INTL                  EQUITY  170032809     230      12,820   SH         DEFINED    1                12,820
CHIRON CORP.                          EQUITY  170040109    3325      94,047   SH         DEFINED    1                94,047
CHITTENDEN CORP.                      EQUITY  170228100     307      10,600   SH         DEFINED    1                10,600
CHOICE HOTELS INTL INC.               EQUITY  169905106     160       7,976   SH         DEFINED    1                 7,976
CHOICEPOINT INC                       EQUITY  170388102    3759      82,665   SH            SOLE    2     82,665
CHOICEPOINT INC COM                   EQUITY  170388102      53   1,157,568   SH            SOLE    3  1,098,385              56,384
CHOICEPOINT INC.                      EQUITY  170388102    5007     110,111   SH         DEFINED    1               110,111
CHOLESTECH CORP                       EQUITY  170393102      44       4,189   SH         DEFINED    1                 4,189
CHOLESTECH CORP COM                   EQUITY  170393102       5     468,800   SH            SOLE    3    468,800
CHORDIANT SOFTWARE INC                EQUITY  170404107      25      12,751   SH         DEFINED    1                12,751
CHRISTOPHER & BANKS CORPORATIO        EQUITY  171046105     354       8,378   SH         DEFINED    1                 8,378
CHUBB CORP                            EQUITY  171232101    4000      56,500   SH            SOLE    2     56,500
CHUBB CORP.                           EQUITY  171232101    6901      97,470   SH         DEFINED    1                97,470
CHURCH & DWIGHT CO., INC.             EQUITY  171340102    1595      50,910   SH         DEFINED    1                50,910
CHURCHILL DOWNS, INC.                 EQUITY  171484108      87       2,148   SH         DEFINED    1                 2,148
CIBER, INC.                           EQUITY  17163B102     135      18,681   SH         DEFINED    1                18,681
CIENA CORP.                           EQUITY  171779101     880     210,073   SH         DEFINED    1               210,073
CIGNA CORP.                           EQUITY  125509109   11162     114,580   SH         DEFINED    1               114,580
CIMA LABS                             EQUITY  171796105     122       5,054   SH         DEFINED    1                 5,055
CINCINNATI FINANCIAL CORP.            EQUITY  172062101    3481      74,813   SH         DEFINED    1                74,813
CINERGY CORP.                         EQUITY  172474108    2786      77,417   SH         DEFINED    1                77,417
CINTAS CORP                           EQUITY  172908105      12     239,000   SH            SOLE    3    209,900              27,000
CINTAS CORP.                          EQUITY  172908105    4128      83,511   SH         DEFINED    1                83,511
CIRCOR INTERNATIONAL, INC.            EQUITY  17273K109      61       3,546   SH         DEFINED    1                 3,546
CIRCUIT CITY STORES, INC.             EQUITY  172737108    1822      97,162   SH         DEFINED    1                97,162
CIRCUIT CITY STORES, INC. CARMAX      EQUITY  172737306      11         523   SH         DEFINED    1                   523
CIRRUS LOGIC, INC.                    EQUITY  172755100     974     132,209   SH         DEFINED    1               132,209
CISCO SYS INC                         EQUITY  17275R102    6557     470,000   SH            SOLE    2    470,000
CISCO SYS INC                         EQUITY  17275R102   16123   1,156,195   SH            SOLE    2  1,156,195
Cisco Systems                         EQUITY  17275R102     900      64,500   SH         DEFINED    4                64,500
CISCO SYSTEMS, INC.                   EQUITY  17275R102   64254   4,605,990   SH         DEFINED    1             4,605,990
CITIGOUP INC                          EQUITY  172967101  155730   3,982,243   SH         DEFINED    1             3,982,243



                                                                                             
CITIGROUP INC                         EQUITY  172967101   23837     615,159   SH            SOLE    2    615,159
CITIGROUP INC                         EQUITY  172967101   55361   1,429,211   SH            SOLE    2  1,429,211
CITIZENS BANKING CORP.                EQUITY  174420109      19         650   SH         DEFINED    1                   651
CITIZENS COMMUNICATIONS INC           EQUITY  17453B101    1091     130,486   SH         DEFINED    1               130,486
CITIZENS FIRST BANCORP                EQUITY  17461R106      73       3,231   SH         DEFINED    1                 3,231
CITIZENS INC                          EQUITY  174740100     105       8,087   SH         DEFINED    1                 8,087
CITRIX SYSTEMS, INC.                  EQUITY  177376100     567      93,877   SH         DEFINED    1                93,877
CITY HOLDING CO.                      EQUITY  177835105     141       6,032   SH         DEFINED    1                 6,032
CITY NATIONAL CORP.                   EQUITY  178566105    3466      64,479   SH         DEFINED    1                64,479
CITYBANK                              EQUITY  17770A109      87       2,704   SH         DEFINED    1                 2,704
CKE RESTAURANTS INC                   EQUITY  12561E105     207      18,146   SH         DEFINED    1                18,146
CLAIRE'S STORES, INC.                 EQUITY  179584107    1770      77,301   SH         DEFINED    1                77,301
CLARCOR, INC.                         EQUITY  179895107     280       8,862   SH         DEFINED    1                 8,862
CLARK DICK PRODTNS INC                EQUITY  181512104      10         720   SH         DEFINED    1                   720
CLARK/BARDES INC                      EQUITY  180668105     116       5,057   SH         DEFINED    1                 5,057
CLAYTON HOMES, INC.                   EQUITY  184190106    2802     177,325   SH         DEFINED    1               177,325
CLEAR CHANNEL COMMUNICATIO            EQUITY  184502102    5776     180,375   SH            SOLE    2    180,375
CLEAR CHANNEL COMMUNICATIO            EQUITY  184502102   12979     405,325   SH            SOLE    2    405,325
CLEAR CHANNEL COMMUNICATIONS          EQUITY  184502102   29754     929,233   SH         DEFINED    1               929,233
CLEARONE COMMUNICATION                EQUITY  185060100      38       2,603   SH         DEFINED    1                 2,603
CLECO CORP                            EQUITY  12561W105    1577      71,987   SH         DEFINED    1                71,987
CLEVELAND-CLIFFS, INC.                EQUITY  185896107      87       3,170   SH         DEFINED    1                 3,170
CLOROX CO                             EQUITY  189054109    1861      45,000   SH            SOLE    2     45,000
CLOROX CO                             EQUITY  189054109   12737     308,024   SH            SOLE    2    308,024
CLOROX CO.                            EQUITY  189054109    4365     105,569   SH         DEFINED    1               105,569
CLOSURE MEDICAL CORP.                 EQUITY  189093107      26       1,884   SH         DEFINED    1                 1,885
CMS ENERGY CORP.                      EQUITY  125896100    9326     849,400   SH         DEFINED    1               849,400
CNA FINANCIAL CORP                    EQUITY  126117100      10         362   SH         DEFINED    1                   362
CNA SURETY CORP.                      EQUITY  12612L108      80       5,512   SH         DEFINED    1                 5,512
CNET NETWORKS INC.                    EQUITY  12613R104      88      44,298   SH         DEFINED    1                44,298
CNF INC.                              EQUITY  12612W104    2357      62,048   SH         DEFINED    1                62,048
COACH INC                             EQUITY  189754104   13374     243,613   SH         DEFINED    1               243,613
COACH INC                             EQUITY  189754104    4118      75,000   SH            SOLE    2     75,000
COACH INC                             EQUITY  189754104   12199     222,200   SH            SOLE    2    222,200
COACH INC COM                         EQUITY  189754104               5,000   SH            SOLE    3      5,000
COACHMEN INDUSTRIES, INC.             EQUITY  189873102      74       5,135   SH         DEFINED    1                 5,135
COASTAL BANCORP INC                   EQUITY  19041P105      48       1,519   SH         DEFINED    1                 1,519
COASTAL FINL CORP DEL                 EQUITY  19046E105      44       2,969   SH         DEFINED    1                 2,969
COBALT CORP                           EQUITY  19074W100      77       3,356   SH         DEFINED    1                 3,356
COBIZ INC                             EQUITY  190897108      46       2,644   SH         DEFINED    1                 2,644
COCA COLA CO                          EQUITY  191216100   13440     240,000   SH            SOLE    2    240,000
COCA COLA CO                          EQUITY  191216100   33751     602,700   SH            SOLE    2    602,700
COCA COLA ENTERPRISES, INC.           EQUITY  191219104    8407     380,746   SH         DEFINED    1               380,746
COCA-COLA BOTTLING CO.                EQUITY  191098102      13         306   SH         DEFINED    1                   306
COCA-COLA CO.                         EQUITY  191216100   97242   1,736,470   SH         DEFINED    1             1,736,470
COCA-COLA FEMSA S.A.-SP ADR           EQUITY  191241108     530      22,100   SH         DEFINED    1                22,100
COGNEX CORP.                          EQUITY  192422103     240      11,990   SH         DEFINED    1                11,990
COGNIZANT TECH SOLUTION               EQUITY  192446102     156       2,911   SH         DEFINED    1                 2,911
COGNIZANT TECH SOLUTNS CL A           EQUITY  192446102      36     670,700   SH            SOLE    3    657,800              12,900
COHERENT, INC.                        EQUITY  192479103     309      10,311   SH         DEFINED    1                10,311
COHU, INC.                            EQUITY  192576106     128       7,384   SH         DEFINED    1                 7,384
COINSTAR INC COM                      EQUITY  19259P300       3     121,200   SH            SOLE    3    121,200
COINSTAR, INC                         EQUITY  19259P300     190       7,769   SH         DEFINED    1                 7,769
COLDWATER CREEK, INC.                 EQUITY  193068103      41       1,697   SH         DEFINED    1                 1,697
COLE NATIONAL CORP. CLASS A           EQUITY  193290103      66       3,481   SH         DEFINED    1                 3,481
COLE, K. PRODUCTIONS, INC. CLASS A    EQUITY  193294105      72       2,529   SH         DEFINED    1                 2,529
Colgate                               EQUITY  194162103    2878      57,500   SH         DEFINED    4                57,500
COLGATE-PALMOLIVE CO.                 EQUITY  194162103   36991     739,080   SH         DEFINED    1               739,080
COLLATERAL THERAPEUTIC                EQUITY  193921103      32       2,748   SH         DEFINED    1                 2,748
COLLINS & AIKMAN CORP                 EQUITY  194830204      64       7,047   SH         DEFINED    1                 7,047



                                                                                            
COLONIAL BANCGROUP, INC.              EQUITY  195493309    2329     155,239   SH         DEFINED    1               155,239
COLONIAL PROPERTIES TRUST             EQUITY  195872106     197       5,066   SH         DEFINED    1                 5,066
COLUMBIA BANCORP                      EQUITY  197227101      49       2,066   SH         DEFINED    1                 2,066
COLUMBIA BANKING SYSTEM, INC          EQUITY  197236102      61       4,732   SH         DEFINED    1                 4,732
COLUMBIA LABORATORIES, INC.           EQUITY  197779101      56       9,338   SH         DEFINED    1                 9,338
COLUMBIA SPORTSWEAR                   EQUITY  198516106       6         191   SH         DEFINED    1                   191
COLUMBUS MCKINNON CORP                EQUITY  199333105      38       4,372   SH         DEFINED    1                 4,372
COMCAST CORP                          EQUITY  200300200    3311     138,894   SH            SOLE    2    138,894
COMCAST CORP                          EQUITY  200300200    6990     293,194   SH            SOLE    2    293,194
COMCAST CORP. CLASS A SPECIAL         EQUITY  200300200   11829     496,180   SH         DEFINED    1               496,180
COMERICA, INC.                        EQUITY  200340107    4935      80,380   SH         DEFINED    1                80,380
COMFORT SYS USA INC                   EQUITY  199908104      67      13,514   SH         DEFINED    1                13,514
COMMERCE BANCORP INC                  EQUITY  200519106    3793      85,806   SH         DEFINED    1                85,806
COMMERCE BANCORP INC N J              EQUITY  200519106    2829      64,000   SH            SOLE    2     64,000
COMMERCE BANCSHARES                   EQUITY  200525103      38         848   SH         DEFINED    1                   848
COMMERCE BANCSHARES INC               EQUITY  200525103    2544      76,250   SH            SOLE    2     76,250
COMMERCE BANCSHARES INC               EQUITY  200525103    6590     148,950   SH            SOLE    2    148,950
COMMERCE GROUP, INC.                  EQUITY  200641108     346       8,754   SH         DEFINED    1                 8,754
COMMERCIAL FEDERAL CORP.              EQUITY  201647104     469      16,178   SH         DEFINED    1                16,178
COMMERCIAL METALS CO.                 EQUITY  201723103     202       4,304   SH         DEFINED    1                 4,304
COMMERCIAL NET LEASE REALTY           EQUITY  202218103     209      13,068   SH         DEFINED    1                13,068
COMMONWEALTH BANCORP, INC.            EQUITY  20268X102      80       2,706   SH         DEFINED    1                 2,706
COMMONWEALTH TELEPHONE ENT.           EQUITY  203349105     156       3,878   SH         DEFINED    1                 3,878
COMMSCOPE INC.                        EQUITY  203372107    1216      97,314   SH         DEFINED    1                97,314
COMMUNITY BANK SYSTEM, INC.           EQUITY  203607106     131       4,058   SH         DEFINED    1                 4,058
COMMUNITY BANKS INC                   EQUITY  203628102      81       2,768   SH         DEFINED    1                 2,768
COMMUNITY FIRST BANKSHARES            EQUITY  203902101     371      14,236   SH         DEFINED    1                14,236
COMMUNITY HEALTH SYS                  EQUITY  203668108      19         709   SH         DEFINED    1                   709
COMMUNITY TRUST BANCORP               EQUITY  204149108     115       4,084   SH         DEFINED    1                 4,084
Compania Telecomunicaciones Chile ADR EQUITY  204449300     255      13,500   SH         DEFINED    1                13,500
COMPASS BANCSHARES, INC.              EQUITY  20449H109    5542     164,946   SH         DEFINED    1               164,946
COMPUCOM SYS INC                      EQUITY  204780100      32       8,140   SH         DEFINED    1                 8,140
COMPUCREDIT CORPORATION               EQUITY  20478N100      42       6,118   SH         DEFINED    1                 6,118
COMPUTER ASSOCIATES  INT'L.           EQUITY  204912109    5287     332,728   SH         DEFINED    1               332,728
COMPUTER HORIZONS CORP                EQUITY  205908106      55      11,204   SH         DEFINED    1                11,204
COMPUTER NETWORK TECHNOLOGY           EQUITY  204925101      63      10,254   SH         DEFINED    1                10,254
COMPUTER PROGRAMS & SY                EQUITY  205306103      23       1,071   SH         DEFINED    1                 1,071
Computer Sciences                     EQUITY  205363104     956      20,000   SH         DEFINED    4                20,000
COMPUTER SCIENCES CORP.               EQUITY  205363104    4566      95,528   SH         DEFINED    1                95,528
COMPUWARE CORP.                       EQUITY  205638109    1085     178,789   SH         DEFINED    1               178,789
COMPX INTERNATIONAL INC.              EQUITY  20563P101      17       1,319   SH         DEFINED    1                 1,319
COMSTOCK RESOURCES, INC.              EQUITY  205768203      61       8,080   SH         DEFINED    1                 8,080
COMVERSE TECHNOLOGY, INC.             EQUITY  205862402     851      91,953   SH         DEFINED    1                91,953
CONAGRA INC                           EQUITY  205887102   11393     412,041   SH            SOLE    2    412,041
CONAGRA, INC.                         EQUITY  205887102    8869     320,750   SH         DEFINED    1               320,750
CONCEPTUS INC                         EQUITY  206016107      78       4,730   SH         DEFINED    1                 4,730
CONCEPTUS INC                         EQUITY  206016107    5194     315,000   SH            SOLE    2    315,000
CONCORD CAMERA CORP.                  EQUITY  206156101      44       8,606   SH         DEFINED    1                 8,606
CONCORD COMMUNICATIONS                EQUITY  206186108      94       5,680   SH         DEFINED    1                 5,680
CONCORD EFS INC                       EQUITY  206197105    7493     248,620   SH         DEFINED    1               248,620
CONCORD EFS INC                       EQUITY  206197105    2191      72,700   SH            SOLE    2     72,700
CONCORD EFS INC COM                   EQUITY  206197105      29     963,744   SH            SOLE    3    803,200             150,344
CONCURRENT COMPUTER                   EQUITY  206710204     103      22,087   SH         DEFINED    1                22,087
CONECTIV                              EQUITY  206829103    2960     114,684   SH         DEFINED    1               114,684
CONEXANT SYS INC                      EQUITY  207142100     927     572,200   SH            SOLE    2    572,200
CONEXANT SYSTEMS INC.                 EQUITY  207142100      19      11,750   SH         DEFINED    1                11,750
CONMED CORP.                          EQUITY  207410101     215       9,623   SH         DEFINED    1                 9,623
CONNECTICUT BANCSHARES INC            EQUITY  207540105     133       4,017   SH         DEFINED    1                 4,017
CONNECTICUT WATER SVC INC             EQUITY  207797101      83       2,736   SH         DEFINED    1                 2,736
CONNETICS CORP                        EQUITY  208192104     141      10,933   SH         DEFINED    1                10,933



                                                                                          
CONOCO INC                         EQUITY  208251504   39113   1,406,950   SH         DEFINED    1                1,406,950
CONSECO, INC.                      EQUITY  208464107     531     265,310   SH         DEFINED    1                  265,310
CONSOL ENERGY INC                  EQUITY  20854P109       6         288   SH         DEFINED    1                      289
CONSOLIDATED EDISON, INC.          EQUITY  209115104    4142      99,206   SH         DEFINED    1                   99,206
CONSOLIDATED GRAPHICS, INC.        EQUITY  209341106      75       3,962   SH         DEFINED    1                    3,962
CONSTELLATION BRANDS               EQUITY  21036P108    3672     114,745   SH         DEFINED    1                  114,745
CONSTELLATION BRANDS INC           EQUITY  21036P108    1056      33,000   SH            SOLE    2        33,000
CONSTELLATION ENERGY GROUP INC     EQUITY  210371100    2228      75,953   SH         DEFINED    1                   75,953
CONTINENTAL AIRLS INC COM CL B     EQUITY  210795308      23       1,487   SH         DEFINED    1                    1,487
CONVERA CORP.                      EQUITY  211919105      12       4,977   SH         DEFINED    1                    4,977
CONVERGYS CORP                     EQUITY  212485106    1632      83,778   SH         DEFINED    1                   83,778
COOPER CAMERON CORP.               EQUITY  216640102    4048      83,594   SH         DEFINED    1                   83,594
COOPER COMPANIES, INC.             EQUITY  216648402     256       5,436   SH         DEFINED    1                    5,436
COOPER INDUSTRIES INC CL A         EQUITY  G24182100    1690      42,990   SH         DEFINED    1                   42,990
COOPER TIRE & RUBBER CO            EQUITY  216831107     694      33,789   SH         DEFINED    1                   33,789
COORS ADOLPH CLASS B               EQUITY  217016104    1107      17,761   SH         DEFINED    1                   17,761
COORSTEK INC                       EQUITY  217020106      87       2,817   SH         DEFINED    1                    2,817
COPART INC COM                     EQUITY  217204106      29   1,793,756   SH            SOLE    3     1,764,656              29,100
COPART, INC.                       EQUITY  217204106    1903     117,233   SH         DEFINED    1                  117,233
CORINTHIAN COLLEGES COM            EQUITY  218868107      51   1,509,210   SH            SOLE    3     1,471,300              37,910
CORINTHIAN COLLEGES INC            EQUITY  218868107     458      13,509   SH         DEFINED    1                   13,509
CORIXA CORP.                       EQUITY  21887F100      96      13,964   SH         DEFINED    1                   13,964
CORN PRODUCTS INTERNATIONAL        EQUITY  219023108     375      12,039   SH         DEFINED    1                   12,039
CORNELL COMPANIES INC              EQUITY  219141108      55       4,675   SH         DEFINED    1                    4,675
CORNERSTONE REALITY INCOME         EQUITY  21922V102     194      17,132   SH         DEFINED    1                   17,132
CORNING, INC.                      EQUITY  219350105    1889     532,054   SH         DEFINED    1                  532,054
CORP EXEC BOARD CO.                EQUITY  21988R102     452      13,201   SH         DEFINED    1                   13,201
CORPORATE EXEC BRD CO COM          EQUITY  21988R102      46   1,353,301   SH            SOLE    3     1,315,479              37,822
CORPORATE OFFICE PROPERTIES TR     EQUITY  22002T108      88       6,046   SH         DEFINED    1                    6,046
CORRECTIONAL PROPERTIES TRUST      EQUITY  22025E104      56       2,561   SH         DEFINED    1                    2,561
CORRECTIONS CORP. OF AMERICA       EQUITY  22025Y407     173      10,003   SH         DEFINED    1                   10,003
CORUS BANKSHARES, INC.             EQUITY  220873103     147       3,205   SH         DEFINED    1                    3,205
CORVEL CORP.                       EQUITY  221006109      79       2,356   SH         DEFINED    1                    2,356
COST PLUS, INC.                    EQUITY  221485105     210       6,889   SH         DEFINED    1                    6,889
COSTAR GROUP, INC.                 EQUITY  22160N109      95       4,650   SH         DEFINED    1                    4,651
COSTCO WHOLESALE CORPORATION       EQUITY  22160K105   12734     329,715   SH         DEFINED    1                  329,715
COUNTRYWIDE CREDIT IND INC         EQUITY  222372104    2750      56,989   SH         DEFINED    1                   56,989
COURIER CORP                       EQUITY  222660102      52       1,313   SH         DEFINED    1                    1,313
COURTYARD BY MARRIOTT II           EQUITY  44107P104    1204     106,551   SH         DEFINED    1                  106,551
COUSINS PPTYS INC COM              EQUITY  222795106       6     228,600   SH            SOLE    3       183,800              44,800
COUSINS PROPERTIES, INC.           EQUITY  222795106      13         522   SH         DEFINED    1                      522
COVANCE INC.                       EQUITY  222816100    1907     101,719   SH         DEFINED    1                  101,719
COVANSYS CORP.                     EQUITY  22281W103      39       6,860   SH         DEFINED    1                    6,860
COVENANT TRANSPORT INC CLASS A     EQUITY  22284P105      45       2,106   SH         DEFINED    1                    2,106
COVENTRY HEALTH CARE, INC.         EQUITY  222862104      15         538   SH         DEFINED    1                      538
COX COMMUNICATIONS, INC. CLASS A   EQUITY  224044107   18486     670,990   SH         DEFINED    1                  670,990
COX RADIO INC-CL A                 EQUITY  224051102      12         478   SH         DEFINED    1                      479
CPB, INC.                          EQUITY  125903104     116       2,515   SH         DEFINED    1                    2,515
CPI CORP.                          EQUITY  125902106      49       2,525   SH         DEFINED    1                    2,525
CRANE CO.                          EQUITY  224399105     699      27,555   SH         DEFINED    1                   27,555
CRAWFORD & CO. CLASS B             EQUITY  224633107      77       9,482   SH         DEFINED    1                    9,482
CRAY INC                           EQUITY  225223106      65      14,619   SH         DEFINED    1                   14,619
CREDENCE SYSTEMS CORP.             EQUITY  225302108    1757      98,901   SH         DEFINED    1                   98,901
Credicorp Limited Com Stk USD 5    EQUITY  G2519Y108     337      42,621   SH         DEFINED    1                   42,621
CREDIT ACCEPTANCE CORP.            EQUITY  225310101      60       4,767   SH         DEFINED    1                    4,767
CREE INC                           EQUITY  225447101    1574     118,993   SH         DEFINED    1                  118,993
CRESCENT REAL ESTATE COM           EQUITY  225756105       2     123,900   SH            SOLE    3       110,000              13,900
CRESCENT REAL ESTATE EQUITIES, INC EQUITY  225756105      22       1,177   SH         DEFINED    1                    1,177
CROMPTON CORP                      EQUITY  227116100    2366     185,531   SH         DEFINED    1                  185,531
CROSS CTRY INC                     EQUITY  22748P105     435      11,514   SH         DEFINED    1                   11,514



                                                                                            
CROSS MEDIA MARKETING                 EQUITY  22754R201      28       2,985   SH         DEFINED    1                 2,985
CROWN AMERICAN REALTY TRUST           EQUITY  228186102      71       7,534   SH         DEFINED    1                 7,534
CROWN CASTLE INTERNATIONAL            EQUITY  228227104     287      73,028   SH         DEFINED    1                73,028
CROWN CORK & SEAL CO., INC.           EQUITY  228255105     308      44,932   SH         DEFINED    1                44,932
CROWN MEDIA HOLDINGS-CLASS A          EQUITY  228411104      71       8,941   SH         DEFINED    1                 8,941
CRYOLIFE INC.                         EQUITY  228903100      94       5,823   SH         DEFINED    1                 5,823
CSG SYSTEMS INTERNATIONAL, INC        EQUITY  126349109    1302      68,034   SH         DEFINED    1                68,034
CSK AUTO CORP                         EQUITY  125965103     105       7,527   SH         DEFINED    1                 7,527
CSS INDUSTRIES, INC.                  EQUITY  125906107      48       1,359   SH         DEFINED    1                 1,359
CSX  CORP.                            EQUITY  126408103   20812     593,773   SH         DEFINED    1               593,773
CT COMMUNICATION                      EQUITY  126426402      97       6,000   SH         DEFINED    1                 6,000
CTB INTL CORP                         EQUITY  125960104      19       1,254   SH         DEFINED    1                 1,254
CTI MOLECULAR IMAGING INC             EQUITY  22943D105    1721      75,000   SH            SOLE    2     75,000
CTS CORP.                             EQUITY  126501105     128      10,643   SH         DEFINED    1                10,643
CUBIC CORP.                           EQUITY  229669106     130       5,504   SH         DEFINED    1                 5,504
CUBIST PHARMA INC                     EQUITY  229678107      91       9,652   SH         DEFINED    1                 9,652
CULLEN/FROST BANKERS                  EQUITY  229899109      27         741   SH         DEFINED    1                   741
CULP INC                              EQUITY  230215105      35       2,156   SH         DEFINED    1                 2,156
CUMMINS INC.                          EQUITY  231021106    1650      49,840   SH         DEFINED    1                49,840
CUMULUS MEDIA, INC.                   EQUITY  231082108       6         420   SH         DEFINED    1                   420
CUNO, INC.                            EQUITY  126583103     201       5,564   SH         DEFINED    1                 5,564
CURAGEN CORP                          EQUITY  23126R101      86      15,288   SH         DEFINED    1                15,288
CURATIVE HEALTH SVCS I                EQUITY  231264102      62       3,671   SH         DEFINED    1                 3,671
CURTISS-WRIGHT CORP.                  EQUITY  231561101     297       3,708   SH         DEFINED    1                 3,708
CV THERAPEUTICS, INC.                 EQUITY  126667104     171       9,201   SH         DEFINED    1                 9,201
CVB FINANCIAL CORP                    EQUITY  126600105     214       9,408   SH         DEFINED    1                 9,408
CVS Corp                              EQUITY  126650100    1377      45,000   SH         DEFINED    4                45,000
CVS CORP.                             EQUITY  126650100    6251     204,270   SH         DEFINED    1               204,270
CYBERONICS                            EQUITY  23251P102     102       7,756   SH         DEFINED    1                 7,756
CYMER INC COM                         EQUITY  232572107      29     831,200   SH            SOLE    3    817,900              13,300
CYMER, INC.                           EQUITY  232572107      17         473   SH         DEFINED    1                   473
CYPRESS SEMICONDUCTOR CORP            EQUITY  232806109    3947     260,000   SH            SOLE    2    260,000
CYPRESS SEMICONDUCTOR CORP.           EQUITY  232806109    2406     158,525   SH         DEFINED    1               158,525
CYTEC INDUSTRIES, INC.                EQUITY  232820100    2036      64,753   SH         DEFINED    1                64,753
CYTYC CORPORATION                     EQUITY  232946103    1234     161,966   SH         DEFINED    1               161,966
D & E COMMUNICATIONSINC               EQUITY  232860106                   1   SH         DEFINED    1                     1
D & K HEALTHCARE RES I                EQUITY  232861104     162       4,583   SH         DEFINED    1                 4,583
D R HORTON INC COM                    EQUITY  23331A109      26   1,001,507   SH            SOLE    3    884,694             107,813
D.R. HORTON INC                       EQUITY  23331A109    4908     188,560   SH         DEFINED    1               188,560
DAISYTEK INTERNATIONAL CORP.          EQUITY  234053106     107       6,318   SH         DEFINED    1                 6,318
DAKTRONICS INC                        EQUITY  234264109      49       4,999   SH         DEFINED    1                 4,999
DANA CORP                             EQUITY  235811106    1302      70,290   SH         DEFINED    1                70,290
DANAHER CORP DEL COM                  EQUITY  235851102      26     391,800   SH            SOLE    3    347,600              40,800
DANAHER CORP.                         EQUITY  235851102    4595      69,256   SH         DEFINED    1                69,256
DARDEN RESTAURANTS, INC.              EQUITY  237194105    1976      80,003   SH         DEFINED    1                80,003
DATASCOPE CORP.                       EQUITY  238113104     118       4,253   SH         DEFINED    1                 4,253
DATASTREAM SYSTEMS                    EQUITY  238124101      40       5,570   SH         DEFINED    1                 5,570
DAVE & BUSTERS INC                    EQUITY  23833N104      48       3,922   SH         DEFINED    1                 3,922
DAVITA INC                            EQUITY  23918K108      26       1,079   SH         DEFINED    1                 1,079
DDI CORP                              EQUITY  233162106      15      17,140   SH         DEFINED    1                17,140
DEAN FOODS CO                         EQUITY  242370104    5487     147,103   SH         DEFINED    1               147,103
DEB SHOPS, INC                        EQUITY  242728103      51       1,499   SH         DEFINED    1                 1,499
DECODE GENETICS, INC                  EQUITY  243586104      61      12,937   SH         DEFINED    1                12,937
DEERE & CO                            EQUITY  244199105   11707     244,475   SH            SOLE    2    244,475
DEERE & CO.                           EQUITY  244199105    5109     106,660   SH         DEFINED    1               106,660
DEERE + CO                            EQUITY  244199105    4551      95,000   SH            SOLE    2     95,000
DEL LABS INC                          EQUITY  245091103      35       1,414   SH         DEFINED    1                 1,414
DEL MONTE                             EQUITY  24522P103     115       9,767   SH         DEFINED    1                 9,767
DELIA'S CORP                          EQUITY  24688Q101      59      11,559   SH         DEFINED    1                11,559
DELL COMPUTER CORP                    EQUITY  247025109    8446     323,125   SH            SOLE    2    323,125



                                                                                            
DELL COMPUTER CORP                    EQUITY  247025109   19478     745,125   SH            SOLE    2    745,125
DELL COMPUTER CORP.                   EQUITY  247025109   37764   1,444,680   SH         DEFINED    1             1,444,680
DELPHI CORP                           EQUITY  247126105    3605     273,120   SH         DEFINED    1               273,120
DELPHI FINANCIAL GROUP, INC., CLASS A EQUITY  247131105     203       4,688   SH         DEFINED    1                 4,688
DELTA & PINE LAND CO.                 EQUITY  247357106     263      13,109   SH         DEFINED    1                13,109
DELTA AIR LINES, INC.                 EQUITY  247361108    1141      57,073   SH         DEFINED    1                57,073
DELTAGEN INC                          EQUITY  24783R103       6       2,432   SH         DEFINED    1                 2,432
DELTIC TIMBER CORP.                   EQUITY  247850100     122       3,535   SH         DEFINED    1                 3,535
DELUXE CORP.                          EQUITY  248019101    1140      29,305   SH         DEFINED    1                29,305
DENBURY RESOURCES INC                 EQUITY  247916208      87       8,439   SH         DEFINED    1                 8,439
DENDRITE INTERNATIONAL, INC.          EQUITY  248239105     107      11,050   SH         DEFINED    1                11,050
DENTSPLY INTERNATIONAL INC.           EQUITY  249030107    3723     100,872   SH         DEFINED    1               100,872
DENTSPLY INTL INC NEW                 EQUITY  249030107    3739     101,300   SH            SOLE    2    101,300
DEPARTMENT 56 INC                     EQUITY  249509100      64       3,940   SH         DEFINED    1                 3,940
DEVELOPERS DIVERS RLTY COM            EQUITY  251591103      29   1,285,600   SH            SOLE    3  1,061,534             224,066
DEVELOPERS DIVERSIFIED REALTY         EQUITY  251591103    4150     184,431   SH         DEFINED    1               184,431
DEVON ENERGY CORP NEW                 EQUITY  25179M103      25         500   SH            SOLE    2        500
DEVON ENERGY CORP.                    EQUITY  25179M103    3518      71,388   SH         DEFINED    1                71,388
DEVRY, INC.                           EQUITY  251893103    2058      90,095   SH         DEFINED    1                90,095
DHB INDS INC                          EQUITY  23321E103      19       4,779   SH         DEFINED    1                 4,779
DIAGNOSTIC PRODUCTS CORP.             EQUITY  252450101      11         304   SH         DEFINED    1                   304
DIAL CORP.                            EQUITY  25247D101    2453     122,546   SH         DEFINED    1               122,546
DIAMOND OFFSHORE DRILLING             EQUITY  25271C102      22         768   SH         DEFINED    1                   768
DIAMONDCLUSTER INT'L INC CL A         EQUITY  25278P106      43       7,177   SH         DEFINED    1                 7,177
DIANON SYSTEMS INC                    EQUITY  252826102     162       3,031   SH         DEFINED    1                 3,031
DIEBOLD, INC.                         EQUITY  253651103    3465      93,041   SH         DEFINED    1                93,041
DIGENE CORP                           EQUITY  253752109      49       4,193   SH         DEFINED    1                 4,193
DIGIMARC CORP                         EQUITY  253807101      33       3,177   SH         DEFINED    1                 3,177
DIGITAL INSIGHT                       EQUITY  25385P106     166      10,079   SH         DEFINED    1                10,079
DIGITAL RIV INC                       EQUITY  25388B104      88       9,563   SH         DEFINED    1                 9,563
DIGITAS INC                           EQUITY  25388K104      15       3,337   SH         DEFINED    1                 3,337
DILLARDS, INC. CLASS A                EQUITY  254067101    1020      38,809   SH         DEFINED    1                38,809
DIME CMNTY BANCORP INC                EQUITY  253922108    1429      63,000   SH            SOLE    2     63,000
DIME COMMUNITY BANCSHARES             EQUITY  253922108     181       7,964   SH         DEFINED    1                 7,964
DIMON, INC.                           EQUITY  254394109     102      14,712   SH         DEFINED    1                14,712
DIONEX CORP.                          EQUITY  254546104     167       6,239   SH         DEFINED    1                 6,239
DISCOVERY PARTNERS INT                EQUITY  254675101      40       6,041   SH         DEFINED    1                 6,041
DIVERSA CORP                          EQUITY  255064107      86       8,593   SH         DEFINED    1                 8,593
DIVINE INC-A                          EQUITY  255402406                   1   SH         DEFINED    1                     1
DJ ORTHOPEDICS INC                    EQUITY  23325G104      21       2,614   SH         DEFINED    1                 2,614
DMC STRATEX NETWORKS INC              EQUITY  23322L106      59      29,428   SH         DEFINED    1                29,428
DOBSON COMMUNICATIONS                 EQUITY  256069105       7       7,561   SH         DEFINED    1                 7,561
DOCUCORP INTL INC                     EQUITY  255911109      29       2,816   SH         DEFINED    1                 2,816
DOCUMENTUM, INC.                      EQUITY  256159104     169      14,119   SH         DEFINED    1                14,119
DOLE FOOD CO., INC.                   EQUITY  256605106    2083      72,207   SH         DEFINED    1                72,207
DOLLAR GENERAL CORP.                  EQUITY  256669102    2947     154,870   SH         DEFINED    1               154,870
DOLLAR THRIFTY AUTOMOTIVE             EQUITY  256743105     226       8,715   SH         DEFINED    1                 8,715
DOLLAR TREE STORES COM                EQUITY  256747106      28     704,100   SH            SOLE    3    624,500              73,500
DOLLAR TREE STORES INC.               EQUITY  256747106    5938     150,672   SH         DEFINED    1               150,672
DOMINION HOMES INC                    EQUITY  257386102      15         733   SH         DEFINED    1                   733
DOMINION RES INC VA NEW               EQUITY  25746U109      66       1,000   SH            SOLE    2      1,000
Dominion Resources                    EQUITY  25746U109    3641      55,000   SH         DEFINED    4                55,000
DOMINION RESOURCES, INC.              EQUITY  25746U109    8414     127,100   SH         DEFINED    1               127,100
DONALDSON CO INC                      EQUITY  257651109     960      27,400   SH            SOLE    2     27,400
DONALDSON CO., INC.                   EQUITY  257651109    1999      57,042   SH         DEFINED    1                57,043
DONNELLY CORP                         EQUITY  257870105      28       1,055   SH         DEFINED    1                 1,055
DORAL FINANCIAL CORP.                 EQUITY  25811P100      18         539   SH         DEFINED    1                   539
DORCHESTER HUGOTON                    EQUITY  258205202      57       4,200   SH         DEFINED    1                 4,200
DOUBLECLICK INC                       EQUITY  258609304     307      42,336   SH         DEFINED    1                42,336
DOVER CORP.                           EQUITY  260003108    4529     129,414   SH         DEFINED    1               129,414



                                                                                            
DOVER DOWNS GAMING & ENTERTA          EQUITY  260095104      46       3,568   SH         DEFINED    1                 3,568
DOVER MOTORSPORTS INC                 EQUITY  260174107      32       5,571   SH         DEFINED    1                 5,571
Dow Chemical                          EQUITY  260543103    1375      40,000   SH         DEFINED    4                40,000
DOW CHEMICAL CO.                      EQUITY  260543103   14392     418,630   SH         DEFINED    1               418,630
DOW JONES & CO., INC.                 EQUITY  260561105    3167      65,363   SH         DEFINED    1                65,363
DOWNEY FINANCIAL CORP.                EQUITY  261018105      15         309   SH         DEFINED    1                   309
DPL, INC.                             EQUITY  233293109    4323     163,430   SH         DEFINED    1               163,430
DQE INC                               EQUITY  23329J104    4423     315,903   SH         DEFINED    1               315,903
DRESS BARN, INC.                      EQUITY  261570105     308      19,884   SH         DEFINED    1                19,884
DREW INDUSTRIES INC                   EQUITY  26168L205      31       1,865   SH         DEFINED    1                 1,865
DREXLER TECHNOLOGY COR                EQUITY  261876106      65       3,012   SH         DEFINED    1                 3,012
DREYER'S GRAND ICE CREAM, INC.        EQUITY  261878102    3057      44,559   SH         DEFINED    1                44,559
DRILL QUIP                            EQUITY  262037104      57       2,272   SH         DEFINED    1                 2,272
DRS TECHNOLOGIES INC                  EQUITY  23330X100     252       5,898   SH         DEFINED    1                 5,898
DRUGSTORE.COM                         EQUITY  262241102      25       9,290   SH         DEFINED    1                 9,290
DSP GROUP, INC. COM                   EQUITY  23332B106     189       9,650   SH         DEFINED    1                 9,650
DST SYSTEMS INC                       EQUITY  233326107    7070     154,667   SH         DEFINED    1               154,667
DTE ENERGY CO.                        EQUITY  233331107    3442      77,102   SH         DEFINED    1                77,102
DTE Energy Company                    EQUITY  233331107    3571      80,000   SH         DEFINED    4                80,000
DU PONT E I DE NEMOURS + C            EQUITY  263534109    3774      85,000   SH            SOLE    2     85,000
DU PONT E I DE NEMOURS + C            EQUITY  263534109   16977     382,355   SH            SOLE    2    382,355
DUANE READE, INC.                     EQUITY  263578106     434      12,738   SH         DEFINED    1                12,738
DUCOMMUN INC DEL                      EQUITY  264147109      65       2,462   SH         DEFINED    1                 2,462
DUKE ENERGY CORP.                     EQUITY  264399106   11579     372,320   SH         DEFINED    1               372,320
DUKE REALTY                           EQUITY  264411505      56       1,943   SH         DEFINED    1                 1,943
DUKE REALTY CORP COM NEW              EQUITY  264411505      22     758,594   SH            SOLE    3    628,324             130,270
DUN & BRADSTREET CORP NEW WI          EQUITY  26483E100    3184      96,347   SH         DEFINED    1                96,347
DUPONT PHOTOMASKS                     EQUITY  26613X101     138       4,261   SH         DEFINED    1                 4,261
DURA AUTOMOTIVE SYSTEM                EQUITY  265903104     109       5,266   SH         DEFINED    1                 5,266
DURATEK INC                           EQUITY  26658Q102     108      15,200   SH         DEFINED    1                15,200
DURECT CORPORATION                    EQUITY  266605104      70       8,808   SH         DEFINED    1                 8,808
DVI, INC.                             EQUITY  233343102      86       4,450   SH         DEFINED    1                 4,450
DYCOM INDUSTRIES, INC.                EQUITY  267475101     914      78,167   SH         DEFINED    1                78,167
DYNACARE INC                          EQUITY  267920205    1801      81,900   SH         DEFINED    1                81,900
DYNACQ INTERNATIONAL INC              EQUITY  267919306      27       1,918   SH         DEFINED    1                 1,918
DYNAMICS RESH CORP                    EQUITY  268057106      58       2,393   SH         DEFINED    1                 2,393
DYNEGY INC.                           EQUITY  26816Q101    1195     165,935   SH         DEFINED    1               165,935
E*TRADE GROUP, INC.                   EQUITY  269246104    2501     458,010   SH         DEFINED    1               458,010
E.I. DU PONT DE NEMOURS AND CO        EQUITY  263534109   20070     452,020   SH         DEFINED    1               452,020
E.PIHPANY, INC.                       EQUITY  26881V100      98      22,370   SH         DEFINED    1                22,370
EAGLE BANCSHARES INC                  EQUITY  26942C109      46       1,781   SH         DEFINED    1                 1,781
EARTHLINK INC                         EQUITY  270321102     610      92,027   SH         DEFINED    1                92,027
EARTHSHELL CORP.                      EQUITY  27032B100      27      23,581   SH         DEFINED    1                23,581
EAST WEST BANCORP                     EQUITY  27579R104     291       8,427   SH         DEFINED    1                 8,427
EASTGROUP PROPERTIES, INC.            EQUITY  277276101     132       5,172   SH         DEFINED    1                 5,172
EASTMAN CHEMICAL CO.                  EQUITY  277432100    2265      48,298   SH         DEFINED    1                48,298
Eastman Chemical Company              EQUITY  277432100    1173      25,000   SH         DEFINED    4                25,000
EASTMAN KODAK CO                      EQUITY  277461109    6405     219,580   SH            SOLE    2    219,580
EASTMAN KODAK CO.                     EQUITY  277461109   17165     588,451   SH         DEFINED    1               588,451
EATON CORP.                           EQUITY  278058102    2363      32,476   SH         DEFINED    1                32,476
EATON VANCE CORP.                     EQUITY  278265103    3283     105,216   SH         DEFINED    1               105,216
EBAY, INC.                            EQUITY  278642103     365       5,920   SH         DEFINED    1                 5,920
ECHELON                               EQUITY  27874N105     115       8,925   SH         DEFINED    1                 8,925
ECHOSTAR COMMUNICATIONS CO            EQUITY  278762109    6829     367,950   SH            SOLE    2    367,950
ECHOSTAR COMMUNICATIONS CORP. CLASS A EQUITY  278762109     131       7,060   SH         DEFINED    1                 7,060
ECLIPSYS CORP.                        EQUITY  278856109      81      12,336   SH         DEFINED    1                12,336
ECOLAB, INC.                          EQUITY  278865100    2785      60,236   SH         DEFINED    1                60,236
EDISON INTERNATIONAL INC              EQUITY  281020107    2565     150,904   SH         DEFINED    1               150,904
EDO CORP                              EQUITY  281347104     156       5,461   SH         DEFINED    1                 5,461
EDO CORP                              EQUITY  281347104     949      33,300   SH            SOLE    2     33,300



                                                                                             
EDUCATION MANAGEMENT CORP.            EQUITY  28139T101    1835      45,042   SH         DEFINED    1                45,042
EDUCATION MGMT CORP COM               EQUITY  28139T101      33     810,402   SH            SOLE    3    797,302              13,100
EDWARDS J D + CO                      EQUITY  281667105    1002      82,500   SH            SOLE    2     82,500
EDWARDS LIFESCIENCES CP               EQUITY  28176E108    1785      76,939   SH         DEFINED    1                76,939
EFUNDS CORP                           EQUITY  28224R101     158      16,631   SH         DEFINED    1                16,631
EGL INC.                              EQUITY  268484102    1247      73,513   SH         DEFINED    1                73,514
EL PASO CORP                          EQUITY  28336L109    6363     308,710   SH         DEFINED    1               308,710
EL PASO CORPORATION                   EQUITY  28336L109      18         861   SH            SOLE    2        861
EL PASO ELECTRIC CO.                  EQUITY  283677854     231      16,711   SH         DEFINED    1                16,711
El Paso Energy Partners               EQUITY  28368B102     797      25,000   SH         DEFINED    4                25,000
ELAN CORP PLC - B WARRANTS            EQUITY  284131802      27      68,700   SH         DEFINED    1                68,700
ELCOR CORP.                           EQUITY  284443108     189       6,922   SH         DEFINED    1                 6,922
ELECTRO RENT CORP.                    EQUITY  285218103      65       4,998   SH         DEFINED    1                 4,998
ELECTRO SCIENTIFIC INDUSTRIES,        EQUITY  285229100     239       9,816   SH         DEFINED    1                 9,816
ELECTROGLAS, INC.                     EQUITY  285324109      76       7,550   SH         DEFINED    1                 7,550
ELECTRONIC ARTS                       EQUITY  285512109   12016     181,919   SH         DEFINED    1               181,919
ELECTRONIC ARTS INC                   EQUITY  285512109    5898      89,300   SH            SOLE    2     89,300
ELECTRONIC ARTS INC COM               EQUITY  285512109       2      30,000   SH            SOLE    3     30,000
ELECTRONIC DATA SYSTEMS CORP.         EQUITY  285661104    9950     267,840   SH         DEFINED    1               267,840
ELECTRONICS BOUTIQUE HLDGS. CO        EQUITY  286045109     106       3,603   SH         DEFINED    1                 3,603
ELECTRONICS FOR IMAGING, INC.         EQUITY  286082102     308      19,356   SH         DEFINED    1                19,356
ELI LILLY AND CO.                     EQUITY  532457108   30839     546,790   SH         DEFINED    1               546,790
ELIZABETH ARDEN INC                   EQUITY  28660G106      81       4,645   SH         DEFINED    1                 4,645
EMBARCADERO TECHNOLOGIES INC          EQUITY  290787100      18       2,868   SH         DEFINED    1                 2,868
EMBREX INC                            EQUITY  290817105      54       2,572   SH         DEFINED    1                 2,572
EMC Corp / Mass                       EQUITY  268648102     415      55,000   SH         DEFINED    4                55,000
EMC CORP MASS                         EQUITY  268648102   24794     909,525   SH            SOLE    2    909,525
EMC CORP.                             EQUITY  268648102    8510   1,127,141   SH         DEFINED    1             1,127,141
EMC INS GROUP INC                     EQUITY  268664109      13         836   SH         DEFINED    1                   836
EMCOR GROUP INC                       EQUITY  29084Q100      16     269,000   SH            SOLE    3    264,600               4,400
EMCOR GROUP, INC.                     EQUITY  29084Q100     312       5,307   SH         DEFINED    1                 5,307
EMCORE CORPORATION                    EQUITY  290846104      52       8,603   SH         DEFINED    1                 8,603
Emerson Elec Co                       EQUITY  291011104    2676      50,000   SH         DEFINED    4                50,000
EMERSON ELECTRIC CO.                  EQUITY  291011104   12326     230,350   SH         DEFINED    1               230,350
EMEX CORP                             EQUITY  291206100                   -   SH         DEFINED    1                     0
EMMIS COMMUNICATIONS CORP. CLASS A    EQUITY  291525103    1444      68,134   SH         DEFINED    1                68,134
EMMIS COMMUNICTNS CORP CL A           EQUITY  291525103      45   2,109,122   SH            SOLE    3  2,057,600              51,522
EMPIRE DISTRICT ELECTRIC CO.          EQUITY  291641108    2667     130,089   SH         DEFINED    1               130,089
EMS TECHNOLOGIES INC                  EQUITY  26873N108      78       3,750   SH         DEFINED    1                 3,750
EMULEX CORP                           EQUITY  292475209      11     509,300   SH            SOLE    3    500,700               8,600
EMULEX CORP                           EQUITY  292475209      26       1,146   SH         DEFINED    1                 1,146
ENCORE ACQUISITION CO                 EQUITY  29255W100      54       3,142   SH         DEFINED    1                 3,142
ENCORE ACQUISITION CO                 EQUITY  29255W100       6     370,800   SH            SOLE    3    370,800
ENCORE WIRE CORP                      EQUITY  292562105      68       4,744   SH         DEFINED    1                 4,744
ENDO PHARMACEUTICALS                  EQUITY  29264F205      53       7,508   SH         DEFINED    1                 7,508
ENDOCARDIAL SOLUTIONS                 EQUITY  292962107      37       4,917   SH         DEFINED    1                 4,917
ENDOCARE INC                          EQUITY  29264P104      85       6,457   SH         DEFINED    1                 6,457
ENDOCARE INC COM                      EQUITY  29264P104      18   1,325,739   SH            SOLE    3  1,313,139              12,600
ENERGEN CORP.                         EQUITY  29265N108     338      12,278   SH         DEFINED    1                12,278
ENERGIZER HOLDINGS INC                EQUITY  29266R108    3239     118,116   SH         DEFINED    1               118,116
ENERGY CONVERSION DEVICES, INC        EQUITY  292659109      84       5,341   SH         DEFINED    1                 5,341
ENERGY EAST CORP                      EQUITY  29266M109    4203     185,990   SH         DEFINED    1               185,990
ENERGY PARTNERS LTD                   EQUITY  29270U105      64       6,843   SH         DEFINED    1                 6,843
ENERGYSOUTH INC                       EQUITY  292970100      48       1,500   SH         DEFINED    1                 1,500
Enersis S.A.-ADR                      EQUITY  29274F104     332      13,500   SH         DEFINED    1                13,500
ENGELHARD CORP                        EQUITY  292845104    1416      50,000   SH            SOLE    2     50,000
ENGELHARD CORP COM                    EQUITY  292845104      23     814,692   SH            SOLE    3    711,100              97,992
ENGELHARD CORP.                       EQUITY  292845104    1776      62,705   SH         DEFINED    1                62,705
ENGINEERED SUPPORT SYS COM            EQUITY  292866100      12     231,500   SH            SOLE    3    231,500
ENGINEERED SUPPORT SYSTEMS            EQUITY  292866100     159       3,032   SH         DEFINED    1                 3,032



                                                                                           
ENNIS BUSINESS FORMS I             EQUITY  293389102      76       5,811   SH         DEFINED    1                  5,811
ENPRO INDUSTRIES INC               EQUITY  29355X107                   1   SH         DEFINED    1                      1
ENSCO INTERNATIONAL, INC.          EQUITY  26874Q100    4768     174,894   SH         DEFINED    1                174,894
ENSCO INTL INC                     EQUITY  26874Q100    7360     270,000   SH            SOLE    2     270,000
ENSCO INTL INC COM                 EQUITY  26874Q100      22     798,482   SH            SOLE    3     690,700              100,982
ENTEGRIS INC                       EQUITY  29362U104     239      16,377   SH         DEFINED    1                 16,377
ENTERASYS NETWORKS INC             EQUITY  293637104     103      57,660   SH         DEFINED    1                 57,660
ENTERCOM COMM CORP CL A            EQUITY  293639100      28     607,100   SH            SOLE    3     596,400               10,700
ENTERCOM COMMUNICATIONS CORP.      EQUITY  293639100    2923      63,689   SH         DEFINED    1                 63,689
ENTERGY ARKANSAS INC               EQUITY  29364G103    4408     103,855   SH         DEFINED    1                103,855
ENTERTAINMENT PROPERTIES TRUST     EQUITY  29380T105     151       6,109   SH         DEFINED    1                  6,109
ENTRAVISION COMMUNIC               EQUITY  29382R107       8         629   SH         DEFINED    1                    629
ENTRUST TECHNOLOGIES INC.          EQUITY  293848107      47      17,103   SH         DEFINED    1                 17,103
ENZO BIOCHEM, INC.                 EQUITY  294100102     118       8,235   SH         DEFINED    1                  8,235
ENZON INC                          EQUITY  293904108     378      15,342   SH         DEFINED    1                 15,342
EOG RESOURCES INC                  EQUITY  26875P101    2133      53,719   SH         DEFINED    1                 53,719
EOG RESOURCES INC                  EQUITY  26875P101     596      15,000   SH            SOLE    2      15,000
EOG RESOURCES INC                  EQUITY  26875P101     596      15,000   SH            SOLE    2      15,000
EON LABS INC                       EQUITY  29412E100      62       3,510   SH         DEFINED    1                  3,510
EON LABS INC                       EQUITY  29412E100    1067      60,000   SH            SOLE    2      60,000
EPIQ SYSTEMS INC                   EQUITY  26882D109      60       3,528   SH         DEFINED    1                  3,528
EPIX MEDICAL INC                   EQUITY  26881Q101      47       4,462   SH         DEFINED    1                  4,462
EQUIFAX, INC.                      EQUITY  294429105    1929      71,462   SH         DEFINED    1                 71,462
EQUITABLE RESOURCES, INC.          EQUITY  294549100    2806      81,817   SH         DEFINED    1                 81,817
EQUITY INNS, INC.                  EQUITY  294703103     116      14,450   SH         DEFINED    1                 14,450
EQUITY OFFICE PPTYS TR COM         EQUITY  294741103      54   1,807,319   SH            SOLE    3   1,475,758              331,561
EQUITY OFFICE PROPERTIES TRUST     EQUITY  294741103   12703     422,020   SH         DEFINED    1                422,020
EQUITY ONE COM                     EQUITY  294752100       5     338,200   SH            SOLE    3     282,500               55,700
EQUITY ONE INC                     EQUITY  294752100      31       2,202   SH         DEFINED    1                  2,203
EQUITY RESIDENT PPTYS SH BEN I     EQUITY  29476L107      30   1,027,100   SH            SOLE    3     831,207              195,893
EQUITY RESIDENTIAL                 EQUITY  29476L107    3657     127,213   SH         DEFINED    1                127,213
ERESEARCHTECHNOLOGY IN             EQUITY  29481V108      49       1,930   SH         DEFINED    1                  1,930
ERICSSON LMTEL CO.-ADR SERIES B    EQUITY  294821400      37      25,870   SH         DEFINED    1                 25,870
ERIE INDEMNITY COMPA               EQUITY  29530P102      13         332   SH         DEFINED    1                    332
ESCALADE INC                       EQUITY  296056104      29       1,283   SH         DEFINED    1                  1,283
ESCO ELECTRONICS CORP              EQUITY  296315104     149       4,263   SH         DEFINED    1                  4,263
ESPEED INC                         EQUITY  296643109      88       8,029   SH         DEFINED    1                  8,029
ESPERION THERAPEUTICS COM          EQUITY  29664R106       2     404,700   SH            SOLE    3     404,700
ESPERION THERAPEUTICS INC (USD)    EQUITY  29664R106      57      10,440   SH         DEFINED    1                 10,440
ESS TECHNOLOGY INC COM             EQUITY  269151106      29   1,635,300   SH            SOLE    3   1,611,400               23,900
ESS TECHNOLOGY, INC.               EQUITY  269151106     200      11,417   SH         DEFINED    1                 11,417
ESSEX PROPERTY TRUST, INC.         EQUITY  297178105    4832      88,332   SH         DEFINED    1                 88,332
ESTEE LAUDER COMPANIES-CL A        EQUITY  518439104      52       1,478   SH         DEFINED    1                  1,478
ESTERLINE TECHNOLOGIES CORP.       EQUITY  297425100     168       7,404   SH         DEFINED    1                  7,404
ETHAN ALLEN INTERIOR               EQUITY  297602104      16         448   SH         DEFINED    1                    448
EUNIVERSE INC                      EQUITY  298412107      26       4,268   SH         DEFINED    1                  4,268
EURONET WORLDWIDE INC              EQUITY  298736109      81       5,089   SH         DEFINED    1                  5,089
EVEREST RE GROUP, LTD              EQUITY  G3223R108    3665      65,500   SH         DEFINED    1                 65,500
EVERGREEN RES INC COM NO PAR       EQUITY  299900308      33     777,298   SH            SOLE    3     756,700               20,598
EVERGREEN RESOURCES, INC.          EQUITY  299900308     288       6,767   SH         DEFINED    1                  6,767
EVOLVE SOFTWARE INC.               EQUITY  30049P104     161   1,239,564   SH         DEFINED    1              1,239,564
EXACT SCIENCES CORP (USD)          EQUITY  30063P105      65       4,073   SH         DEFINED    1                  4,073
EXAR CORP.                         EQUITY  300645108     275      13,941   SH         DEFINED    1                 13,941
EXCEL TECHNOLOGY                   EQUITY  30067T103      66       3,121   SH         DEFINED    1                  3,121
EXELIXIS, INC.                     EQUITY  30161Q104     121      16,100   SH         DEFINED    1                 16,100
EXELON CORP                        EQUITY  30161N101    7673     146,720   SH         DEFINED    1                146,720
EXPEDIA INC -CL A                  EQUITY  302125109       8         136   SH         DEFINED    1                    136
EXPEDITORS INTERNATIONAL OF WA     EQUITY  302130109    4434     133,710   SH         DEFINED    1                133,710
EXPLORATION CO                     EQUITY  302133202      38       5,555   SH         DEFINED    1                  5,555
EXPRESS SCRIPTS, INC.              EQUITY  302182100    6286     125,450   SH         DEFINED    1                125,450



                                                                                             
EXPRESSJET HOLDINGS IN                EQUITY  30218U108     140      10,718   SH         DEFINED    1                10,718
EXTENDED STAY AMERICA INC             EQUITY  30224P101    1937     119,435   SH         DEFINED    1               119,435
EXTREME NETWORK INC                   EQUITY  30226D106     371      36,759   SH         DEFINED    1                36,759
EXULT INC                             EQUITY  302284104     110      16,879   SH         DEFINED    1                16,879
EXXON MOBIL CORP                      EQUITY  30231G102    7979     195,000   SH            SOLE    2    195,000
EXXON MOBIL CORP                      EQUITY  30231G102   30806     753,112   SH            SOLE    2    753,112
EXXON MOBIL CORP.                     EQUITY  30231G102  143376   3,503,812   SH         DEFINED    1             3,503,812
F A O INC                             EQUITY  30240S105      47       5,945   SH         DEFINED    1                 5,945
F N B CORP VA                         EQUITY  302930102      63       2,081   SH         DEFINED    1                 2,081
F&M BANCORP/FREDERICK                 EQUITY  302367107     136       3,868   SH         DEFINED    1                 3,868
F5 NETWORKS INC                       EQUITY  315616102      77       7,909   SH         DEFINED    1                 7,909
FACTORY 2-U STORES, INC.              EQUITY  303072102      64       4,621   SH         DEFINED    1                 4,621
FACTSET RESEARCH SYSTEMS, INC.        EQUITY  303075105     221       7,431   SH         DEFINED    1                 7,431
FAIRCHILD SEMICONDUCTOR CORP.         EQUITY  303726103    4121     169,597   SH         DEFINED    1               169,597
FALCONSTOR SOFTWARE INC               EQUITY  306137100      51      12,148   SH         DEFINED    1                12,148
FAMILY DOLLAR STORES, INC.            EQUITY  307000109    2813      79,805   SH         DEFINED    1                79,805
FARMER BROS. CO.                      EQUITY  307675108     115         318   SH         DEFINED    1                   318
FARMERS CAPITAL BANK CORP             EQUITY  309562106      77       2,196   SH         DEFINED    1                 2,196
FASTENAL CO COM                       EQUITY  311900104       6     145,800   SH            SOLE    3    127,700              16,900
FASTENAL CO.                          EQUITY  311900104    3767      97,817   SH         DEFINED    1                97,817
FBL FINANCIAL GROUP, INC., CLASS A    EQUITY  30239F106      90       4,076   SH         DEFINED    1                 4,076
FBR ASSET INVESTMENT CORP             EQUITY  30241E303     185       5,541   SH         DEFINED    1                 5,541
FEDERAL AGRIC MTG CORP                EQUITY  313148306      76       2,836   SH         DEFINED    1                 2,836
FEDERAL NATIONAL MORTGAGE ASSO        EQUITY  313586109   40397     547,760   SH         DEFINED    1               547,760
FEDERAL REALTY INVESTMENT TR.         EQUITY  313747206    4783     172,620   SH         DEFINED    1               172,620
FEDERAL SIGNAL CORP.                  EQUITY  313855108    1775      73,961   SH         DEFINED    1                73,961
FEDERATED DEPT STORES INC             EQUITY  31410H101    5655     150,000   SH            SOLE    2    150,000
FEDERATED DEPT STORES INC             EQUITY  31410H101    3216      81,000   SH            SOLE    2     81,000
FEDERATED DEPT STORES, INC.           EQUITY  31410H101    3700      93,190   SH         DEFINED    1                93,190
FEDERATED INVESTORS                   EQUITY  314211103      40       1,147   SH         DEFINED    1                 1,148
FEDEX CORPORATION                     EQUITY  31428X106    7151     133,910   SH         DEFINED    1               133,910
FEI COMPANY                           EQUITY  30241L109    1223      49,904   SH         DEFINED    1                49,904
FELCOR LODGING TRUST, INC.            EQUITY  31430F101     291      15,872   SH         DEFINED    1                15,872
FERRO CORP.                           EQUITY  315405100    1871      62,069   SH         DEFINED    1                62,069
FIDELITY BANKSHARES INC               EQUITY  31604Q107     125       5,638   SH         DEFINED    1                 5,638
FIDELITY NATIONAL FINANCIAL           EQUITY  316326107    3905     123,583   SH         DEFINED    1               123,583
FIDELITY NATL INFO SOLUTIONS          EQUITY  31620P109      47       1,951   SH         DEFINED    1                 1,951
FIFTH THIRD BANCORP                   EQUITY  316773100   17696     265,499   SH         DEFINED    1               265,499
FILENET CORP.                         EQUITY  316869106     172      11,887   SH         DEFINED    1                11,887
FINANCIAL FED CORP COM                EQUITY  317492106      13     382,800   SH            SOLE    3    382,800
FINANCIAL FEDERAL CORP.               EQUITY  317492106     135       4,065   SH         DEFINED    1                 4,065
FINANCIAL INDS CORP                   EQUITY  317574101      51       2,795   SH         DEFINED    1                 2,795
FINCANCIAL INSTITUTIONS INC           EQUITY  317585404     105       2,772   SH         DEFINED    1                 2,772
FINISAR CORPORATION                   EQUITY  31787A101     113      47,491   SH         DEFINED    1                47,491
FINISH LINE, INC.                     EQUITY  317923100     120       6,708   SH         DEFINED    1                 6,708
FINLAY ENTERPRISES INC.               EQUITY  317884203      31       1,900   SH         DEFINED    1                 1,900
FIRST AMERICAN CAP TRUST CLASS A      EQUITY  318522307      24       1,034   SH         DEFINED    1                 1,034
FIRST BANCORP NORTH CAROLINA          EQUITY  318910106      71       2,586   SH         DEFINED    1                 2,586
FIRST BANCORP/PUERTO RICO             EQUITY  318672102     299       7,923   SH         DEFINED    1                 7,923
FIRST BANKS AMERICA INC               EQUITY  31928N103      11         269   SH         DEFINED    1                   269
FIRST BUSEY CORP                      EQUITY  319383105      72       3,227   SH         DEFINED    1                 3,227
FIRST CHARTER CORP.                   EQUITY  319439105     199      11,000   SH         DEFINED    1                11,000
FIRST CITIZENS BANCSHARES, INC CLASS  EQUITY  31946M103     240       2,167   SH         DEFINED    1                 2,167
FIRST CMNTY BANCORP CA                EQUITY  31983B101      40       1,742   SH         DEFINED    1                 1,742
FIRST COMMONWEALTH FINANCIAL          EQUITY  319829107     283      20,962   SH         DEFINED    1                20,962
FIRST COMMUNITY BANCSHARES INC        EQUITY  31983A103     106       3,156   SH         DEFINED    1                 3,156
FIRST CONSULTING GROUP, INC.          EQUITY  31986R103      56       6,478   SH         DEFINED    1                 6,478
FIRST DATA CORP                       EQUITY  319963104   14977     402,600   SH            SOLE    2    402,600
FIRST DATA CORP COM                   EQUITY  319963104       2      62,000   SH            SOLE    3     62,000
FIRST DATA CORP.                      EQUITY  319963104   17163     461,380   SH         DEFINED    1               461,380



                                                                                           
FIRST DEFIANCE FINL CO                EQUITY  32006W106      38       1,898   SH         DEFINED    1                 1,898
FIRST ESSEX BANCORP INC               EQUITY  320103104      81       2,381   SH         DEFINED    1                 2,381
FIRST FEDERAL CAPITAL CORP.           EQUITY  319960100     136       6,138   SH         DEFINED    1                 6,138
FIRST FINANCIAL BANCORP               EQUITY  320209109     252      12,863   SH         DEFINED    1                12,863
FIRST FINANCIAL BANKSHARES            EQUITY  32020R109     184       4,409   SH         DEFINED    1                 4,409
FIRST FINANCIAL CORP.                 EQUITY  320218100     125       2,440   SH         DEFINED    1                 2,440
FIRST FINANCIAL HOLDINGS, INC.        EQUITY  320239106     157       4,799   SH         DEFINED    1                 4,799
FIRST HEALTH GROUP CORP               EQUITY  320960107    2243      80,000   SH            SOLE    2     80,000
FIRST HEALTH GROUP CORP.              EQUITY  320960107    3665     130,710   SH         DEFINED    1               130,710
FIRST HORIZON PHARMACE COM            EQUITY  32051K106       7     343,100   SH            SOLE    3    343,100
FIRST HORIZON PHARMACEUTICAL          EQUITY  32051K106     165       7,954   SH         DEFINED    1                 7,954
FIRST INDIANA CORP.                   EQUITY  32054R108      90       4,145   SH         DEFINED    1                 4,145
FIRST INDUSTRIAL REALITY TRUST        EQUITY  32054K103    1037      31,570   SH         DEFINED    1                31,570
FIRST INDUSTRIAL RLTY COM             EQUITY  32054K103      23     692,600   SH            SOLE    3    574,857             117,743
FIRST MERCHANTS CORP.                 EQUITY  320817109     148       4,932   SH         DEFINED    1                 4,932
FIRST MIDWEST BANCORP, INC.           EQUITY  320867104      19         701   SH         DEFINED    1                   701
FIRST NATL CORP ORANGE                EQUITY  320942105      75       2,482   SH         DEFINED    1                 2,482
FIRST NIAGARA FINANCIAL GRP           EQUITY  33582U100      92       3,328   SH         DEFINED    1                 3,328
FIRST OAK BROOK BANCSH                EQUITY  335847208      49       1,538   SH         DEFINED    1                 1,538
FIRST PLACE FINANCIAL CORP            EQUITY  33610T109      91       4,561   SH         DEFINED    1                 4,561
FIRST REPUBLIC BANK                   EQUITY  336158100     101       3,675   SH         DEFINED    1                 3,675
FIRST SENTINEL BANCORP INC            EQUITY  33640T103     122       8,843   SH         DEFINED    1                 8,843
FIRST SOUTH BANCORP IN                EQUITY  33646W100      37       1,007   SH         DEFINED    1                 1,007
FIRST ST BANCORPORATIO                EQUITY  336453105      38       1,475   SH         DEFINED    1                 1,475
FIRST TENNESSEE NATIONAL CORP.        EQUITY  337162101    2249      58,714   SH         DEFINED    1                58,714
FIRST VIRGINIA BANKS, INC.            EQUITY  337477103    3319      61,892   SH         DEFINED    1                61,893
FIRSTENERGY CORP.                     EQUITY  337932107    8076     241,939   SH         DEFINED    1               241,939
FIRSTFED AMER BANCORP                 EQUITY  337929103      47       1,980   SH         DEFINED    1                 1,980
FIRSTFED FINANCIAL CORP.              EQUITY  337907109     179       6,163   SH         DEFINED    1                 6,163
FIRSTMERIT CORP.                      EQUITY  337915102    3029     109,830   SH         DEFINED    1               109,830
FIRSTSERVICE CORP SUB VTG SH          EQUITY  33761N109       8     300,100   SH            SOLE    3    300,100
FISERV INC COM                        EQUITY  337738108      16     425,322   SH            SOLE    3    382,935              39,087
FISERV, INC.                          EQUITY  337738108    3491      95,103   SH         DEFINED    1                95,103
FISHER COMMUNICATIONS INC             EQUITY  337756209     104       1,764   SH         DEFINED    1                 1,764
FISHER SCIENTIFIC INT'L., INC.        EQUITY  338032204      21         760   SH         DEFINED    1                   761
FLAGSTAR BANCORP, INC.                EQUITY  337930101     111       4,809   SH         DEFINED    1                 4,809
FLEETBOSTON FINANCIAL CORP.           EQUITY  339030108   17068     527,610   SH         DEFINED    1               527,610
FLEETBOSTON FINL CORP                 EQUITY  339030108    3698     114,300   SH            SOLE    2    114,300
FLEETBOSTON FINL CORP                 EQUITY  339030108    9074     280,500   SH            SOLE    2    280,500
FLEETWOOD ENTERPRISES, INC.           EQUITY  339099103     109      12,486   SH         DEFINED    1                12,486
FLEMING COMPANIES, INC                EQUITY  339130106     249      13,697   SH         DEFINED    1                13,697
FLEXTRONICS INTERNATIONAL LTD         EQUITY  Y2573F102     112      15,760   SH         DEFINED    1                    16
FLEXTRONICS INTL LTD                  EQUITY  Y2573F102       7       1,000   SH            SOLE    2      1,000
FLIR SYSTEMS INC (USD)                EQUITY  302445101     224       5,338   SH         DEFINED    1                 5,338
FLORIDA EAST COAST INDUSTRIES         EQUITY  340632108     206       8,126   SH         DEFINED    1                 8,126
FLORIDA ROCK INDUSTRIES, INC.         EQUITY  341140101     252       7,037   SH         DEFINED    1                 7,037
FLOW INTERNATIONAL CORP               EQUITY  343468104      32       4,698   SH         DEFINED    1                 4,698
FLOWERS FOODS INC                     EQUITY  343498101     204       7,884   SH         DEFINED    1                 7,884
FLOWSERVE CORP                        EQUITY  34354P105    2152      72,200   SH            SOLE    2     72,200
FLOWSERVE CORP.                       EQUITY  34354P105    2124      71,272   SH         DEFINED    1                71,272
FLUOR CORP                            EQUITY  343412102    1539      39,508   SH         DEFINED    1                39,508
FLUSHING FINANCIAL CORP               EQUITY  343873105      73       3,560   SH         DEFINED    1                 3,560
FMC CORP.                             EQUITY  302491303    1638      54,285   SH         DEFINED    1                54,285
FMC TECHNOLOGIES INC                  EQUITY  30249U101    1753      84,436   SH         DEFINED    1                84,436
FMC TECHNOLOGIES INC COM              EQUITY  30249U101      30   1,464,346   SH            SOLE    3  1,427,400              36,946
FNB CORP.                             EQUITY  302520101      17         633   SH         DEFINED    1                   633
FOAMEX INTERNATIONAL, INC.            EQUITY  344123104      85       7,694   SH         DEFINED    1                 7,694
FOCAL COMMUNICATION CORP              EQUITY  344155205                   1   SH         DEFINED    1                     1
FOMENTO ECONOMICO MEX-SP ADR          EQUITY  344419106     314       8,000   SH         DEFINED    1                 8,000
FOOT LOCKER INC                       EQUITY  344849104      29       2,002   SH         DEFINED    1                 2,002



                                                                                           
FOOTSTAR, INC.                        EQUITY  344912100     176       7,181   SH         DEFINED    1                 7,181
FORD MOTOR CO.                        EQUITY  345370860   13230     826,870   SH         DEFINED    1               826,870
FORD MOTOR COMPANY NEW                EQUITY  345370860   12313     769,751   SH            SOLE    2    769,751
FORD MTR CO DEL                       EQUITY  345370860    2080     130,000   SH            SOLE    2    130,000
FOREST CITY ENTERPRISES, INC. CLASS A EQUITY  345550107      11         320   SH         DEFINED    1                   321
FOREST LABORATORIES, INC.             EQUITY  345838106    5697      80,460   SH         DEFINED    1                80,460
FOREST LABS INC                       EQUITY  345838106    8277     116,900   SH            SOLE    2    116,900
FOREST OIL CORP                       EQUITY  346091705    1715      60,334   SH         DEFINED    1                60,334
FORRESTER RESEARCH, INC.              EQUITY  346563109      98       5,074   SH         DEFINED    1                 5,074
FORTUNE BRANDS, INC.                  EQUITY  349631101    4069      72,653   SH         DEFINED    1                72,653
FORWARD AIR CORP                      EQUITY  349853101     134       4,093   SH         DEFINED    1                 4,093
FOSSIL, INC.                          EQUITY  349882100     147       7,165   SH         DEFINED    1                 7,165
FOUNDRY NETWORKS INC                  EQUITY  35063R100     216      30,712   SH         DEFINED    1                30,712
FOX ENTMT GROUP INC                   EQUITY  35138T107    4691     215,700   SH            SOLE    2    215,700
FPIC INS GROUP INC                    EQUITY  302563101      47       3,138   SH         DEFINED    1                 3,138
FPL Group                             EQUITY  302571104    1800      30,000   SH         DEFINED    4                30,000
FPL GROUP, INC.                       EQUITY  302571104    4737      78,970   SH         DEFINED    1                78,970
FRANKLIN ELECTRIC CO., INC.           EQUITY  353514102     108       2,288   SH         DEFINED    1                 2,288
FRANKLIN FINL CORP TEN                EQUITY  353523202      25         971   SH         DEFINED    1                   971
FRANKLIN RESOURCES, INC.              EQUITY  354613101    5011     117,520   SH         DEFINED    1               117,520
FREDDIE MAC                           EQUITY  313400301   21970     358,990   SH         DEFINED    1               358,990
FRED'S INC.                           EQUITY  356108100     284       7,724   SH         DEFINED    1                 7,724
FREEMARKETS INC                       EQUITY  356602102     198      14,006   SH         DEFINED    1                14,006
FREEPORT-MCMORAN COPPER & GOLD CLASS  EQUITY  35671D857    1308      73,259   SH         DEFINED    1                73,259
FREMONT GENERAL CORP.                 EQUITY  357288109      87      20,832   SH         DEFINED    1                20,832
FRIEDMAN BILLINGS RAMSEY-A            EQUITY  358433100      68       5,314   SH         DEFINED    1                 5,314
FRIEDMAN'S, INC., CLASS A             EQUITY  358438109      77       5,918   SH         DEFINED    1                 5,918
FRONTIER AIRLINES, INC.               EQUITY  359065109      86      10,538   SH         DEFINED    1                10,538
FRONTIER FINANCIAL CORP.              EQUITY  35907K105     169       5,758   SH         DEFINED    1                 5,758
FRONTIER OIL CORP.                    EQUITY  35914P105     164       9,315   SH         DEFINED    1                 9,315
FSI INTERNATIONAL, INC.               EQUITY  302633102      70       9,347   SH         DEFINED    1                 9,347
FTI CONSULTING INC                    EQUITY  302941109     231       6,587   SH         DEFINED    1                 6,587
FUELCELL ENERGY INC                   EQUITY  35952H106     125      12,192   SH         DEFINED    1                12,192
FULTON FIN CORP                       EQUITY  360271100      28       1,493   SH         DEFINED    1                 1,493
FURNITURE BRANDS INTERNATIONAL        EQUITY  360921100    2196      72,607   SH         DEFINED    1                72,607
FURNITURE BRANDS INTL COM             EQUITY  360921100      45   1,471,215   SH            SOLE    3  1,446,115              25,100
FURNITURE BRANDS INTL INC             EQUITY  360921100    2269      75,000   SH            SOLE    2     75,000
FURNITURE BRANDS INTL INC             EQUITY  360921100    6942     229,500   SH            SOLE    2    229,500
FUTURELINK CORP                       EQUITY  36114Q307              14,556   SH            SOLE    2     14,556
G & K SERVICES, INC. CLASS A          EQUITY  361268105     239       6,966   SH         DEFINED    1                 6,966
GABELLI ASSET MANAGEMENT, INC.        EQUITY  36239Y102      81       2,223   SH         DEFINED    1                 2,223
GABLES RESIDENTIAL TR SH BEN I        EQUITY  362418105       5     162,700   SH            SOLE    3    144,355              18,345
GABLES RESIDENTIAL TRUST              EQUITY  362418105     758      23,754   SH         DEFINED    1                23,754
GAIAM INC                             EQUITY  36268Q103      29       1,957   SH         DEFINED    1                 1,957
GALEN HOLDINGS - ADR                  EQUITY  363240102    1102      39,385   SH         DEFINED    1                39,385
GALLAGHER, ARTHUR J & CO              EQUITY  363576109    7276     209,992   SH         DEFINED    1               209,992
GALYANS TRADING INC                   EQUITY  36458R101      85       3,704   SH         DEFINED    1                 3,704
GAMESTOP CORP                         EQUITY  36466R101       5         255   SH         DEFINED    1                   255
GANNETT CO., INC.                     EQUITY  364730101   13081     172,340   SH         DEFINED    1               172,340
GAP INC                               EQUITY  364760108    3966     279,135   SH            SOLE    2    279,135
GAP, INC.                             EQUITY  364760108    5516     388,450   SH         DEFINED    1               388,450
GARAN INC                             EQUITY  364802108      71       1,228   SH         DEFINED    1                 1,228
GARDNER DENVER, INC.                  EQUITY  365558105     113       5,661   SH         DEFINED    1                 5,661
GART SPORTS CO                        EQUITY  366630101      64       2,244   SH         DEFINED    1                 2,244
GARTNER INC.                          EQUITY  366651206    1014     107,900   SH         DEFINED    1               107,900
GARTNER INC. CLASS A                  EQUITY  366651107     298      29,521   SH         DEFINED    1                29,521
GATEWAY, INC.                         EQUITY  367626108     657     147,890   SH         DEFINED    1               147,890
GATX CORP.                            EQUITY  361448103    1896      63,000   SH         DEFINED    1                63,000
GAYLORD ENTERTAINMENT CO.             EQUITY  367905106     173       7,859   SH         DEFINED    1                 7,859
GCI, INC.                             EQUITY  369385109      98      14,760   SH         DEFINED    1                14,760



                                                                                            
GEMSTAR-TV GUIDE INTERNATIONAL        EQUITY  36866W106      84      15,503   SH         DEFINED    1                15,503
GENCORP, INC.                         EQUITY  368682100     159      11,099   SH         DEFINED    1                11,099
GENE LOGIC, INC.                      EQUITY  368689105     135       9,609   SH         DEFINED    1                 9,609
GENENCOR INTERNATIONAL INC            EQUITY  368709101      34       3,451   SH         DEFINED    1                 3,451
GENENTECH INC                         EQUITY  368710406    1005      30,000   SH            SOLE    2     30,000
GENENTECH, INC.                       EQUITY  368710406     905      27,010   SH         DEFINED    1                27,010
GENERAL BINDING CORP                  EQUITY  369154109      36       2,127   SH         DEFINED    1                 2,127
GENERAL CABLE CORP.                   EQUITY  369300108      74      11,818   SH         DEFINED    1                11,818
GENERAL COMMUNICATION CL A            EQUITY  369385109      14   2,084,078   SH            SOLE    3  2,020,400              63,678
General Dynamics                      EQUITY  369550108    2659      25,000   SH         DEFINED    4                25,000
GENERAL DYNAMICS CORP COM             EQUITY  369550108       5      48,000   SH            SOLE    3     48,000
GENERAL DYNAMICS CORP.                EQUITY  369550108   23794     223,730   SH         DEFINED    1               223,730
General Elec Co                       EQUITY  369604103    2469      85,000   SH         DEFINED    4                85,000
GENERAL ELEC CO                       EQUITY  369604103   16268     560,000   SH            SOLE    2    560,000
GENERAL ELEC CO                       EQUITY  369604103   43873   1,510,400   SH            SOLE    2  1,510,400
GENERAL ELECTRIC CO.                  EQUITY  369604103  195478   6,729,030   SH         DEFINED    1             6,729,030
GENERAL ELECTRONIC COMPANY            EQUITY  369604103      29       1,000   SH            SOLE    2      1,000
GENERAL GROWTH PPTYS                  EQUITY  370021107       2      34,200   SH            SOLE    3     34,200
GENERAL GROWTH PPTYS COM              EQUITY  370021107      29     571,300   SH            SOLE    3    461,927             109,373
GENERAL GROWTH PROPE                  EQUITY  370021107      46         899   SH         DEFINED    1                   900
GENERAL MILLS, INC.                   EQUITY  370334104   10115     229,475   SH         DEFINED    1               229,475
GENERAL MOTORS CORP.                  EQUITY  370442105   13451     251,660   SH         DEFINED    1               251,660
GENERAL MTRS CORP                     EQUITY  370442105   20198     481,902   SH            SOLE    2    481,902
GENERAL MTRS CORP                     EQUITY  370442105    3742      70,000   SH            SOLE    2     70,000
GENESCO, INC.                         EQUITY  371532102     175       7,176   SH         DEFINED    1                 7,176
GENESEE & WYO INC                     EQUITY  371559105      93       4,144   SH         DEFINED    1                 4,144
GENESIS HEALTH VENTURES               EQUITY  37183F115      96      71,292   SH         DEFINED    1                 71292
GENESIS HEALTH VENTURES INC           EQUITY  37183F107     991      49,319   SH         DEFINED    1                49,319
GENESIS MICROCHIP INC                 EQUITY  37184C103      91      10,904   SH         DEFINED    1                10,904
GENETECH INC                          EQUITY  368710406      25         905   SH            SOLE    2        905
GENTA INC                             EQUITY  37245M207     115      13,816   SH         DEFINED    1                13,816
GENTA INC                             EQUITY  37245M207    1658     200,000   SH            SOLE    2    200,000
GENTEX CORP.                          EQUITY  371901109    2680      97,552   SH         DEFINED    1                97,552
GENTIVA HEALTH SERVICES               EQUITY  37247A102     132      14,647   SH         DEFINED    1                14,648
GENUINE PARTS CO                      EQUITY  372460105    1220      35,000   SH            SOLE    2     35,000
GENUINE PARTS CO                      EQUITY  372460105    9724     278,862   SH            SOLE    2    278,862
GENUINE PARTS CO.                     EQUITY  372460105    2815      80,731   SH         DEFINED    1                80,731
GENZYME CORP                          EQUITY  372917708       8       1,708   SH            SOLE    2      1,708
GENZYME-MOLECULAR ONCOLOGY-           EQUITY  372917104    6053     314,620   SH         DEFINED    1               314,620
GENZYME-MOLECULAR ONCOLOGY- BIOSURGER EQUITY  372917708      61      13,395   SH         DEFINED    1                13,395
GEORGIA GULF CORP                     EQUITY  373200203    1933      73,100   SH            SOLE    2     73,100
GEORGIA GULF CORP.                    EQUITY  373200203     259       9,811   SH         DEFINED    1                 9,811
GEORGIA-PACIFIC CORP.                 EQUITY  373298108    2637     107,291   SH         DEFINED    1               107,291
GERDAU SA-SPON ADR                    EQUITY  373737105     451      43,200   SH         DEFINED    1                43,200
GERMAN AMERICAN BANCORP               EQUITY  373865104      62       3,330   SH         DEFINED    1                 3,330
GERON CORP                            EQUITY  374163103      40       8,821   SH         DEFINED    1                 8,821
GETTY IMAGES, INC.                    EQUITY  374276103       9         416   SH         DEFINED    1                   416
GETTY REALTY CORP.                    EQUITY  374297109    2138     105,560   SH         DEFINED    1               105,560
GIBRALTAR STEEL CORP.                 EQUITY  37476F103      67       3,016   SH         DEFINED    1                 3,016
GILEAD SCIENCES INC                   EQUITY  375558103    1315      40,000   SH            SOLE    2     40,000
GILEAD SCIENCES, INC.                 EQUITY  375558103    8445     256,829   SH         DEFINED    1               256,829
GILLETTE CO                           EQUITY  375766102    5019     148,175   SH            SOLE    2    148,175
GILLETTE CO                           EQUITY  375766102   12277     362,475   SH            SOLE    2    362,475
GILLETTE CO.                          EQUITY  375766102   16192     478,060   SH         DEFINED    1               478,060
GLACIER BANCORP, INC.                 EQUITY  37637Q105     139       5,660   SH         DEFINED    1                 5,660
GLADSTONE CAP CORP                    EQUITY  376535100    2153     119,300   SH            SOLE    2    119,300
GLADSTONE CAPITAL CORP                EQUITY  376535100      57       3,165   SH         DEFINED    1                 3,165
GLATFELTER, P.H. CO.                  EQUITY  377316104    1106      58,810   SH         DEFINED    1                58,810
GLAXO PLC                             EQUITY  37733W105      64       1,575   SH            SOLE    2      1,575
GLENBOROUGH REALTY TRUST, INC         EQUITY  37803P105    5826     245,802   SH         DEFINED    1               245,802



                                                                                           
GLIMCHER REALTY TRUST                 EQUITY  379302102    2873     155,317   SH         DEFINED    1               155,317
Glimcher Realty Trust                 EQUITY  379302102     833      45,000   SH         DEFINED    4                45,000
GLIMCHER RLTY TR SH BEN INT           EQUITY  379302102       6     324,300   SH            SOLE    3    287,800              36,500
GLOBAL IMAGING SYSTEMS, INC.          EQUITY  37934A100      54       2,862   SH         DEFINED    1                 2,862
GLOBAL INDUSTRIES LT                  EQUITY  379336100     166      23,774   SH         DEFINED    1                23,774
GLOBAL PAYMENTS INC.                  EQUITY  37940X102      15         512   SH         DEFINED    1                   512
GLOBAL POWER EQUIPME                  EQUITY  37941P108      79       7,957   SH         DEFINED    1                 7,957
GLOBALSANTAFE CORPORATION             EQUITY  G3930E101    2462      90,000   SH            SOLE    2     90,000
GLOBALSANTAFE CORPORATION             EQUITY  G3930E101   12823     468,839   SH            SOLE    2    468,839
GLOBESPAN VIRATA INC                  EQUITY  37957V106     165      42,630   SH         DEFINED    1                42,630
GOLD BANK CORP., INC.                 EQUITY  379907108     116      10,564   SH         DEFINED    1                10,564
GOLD FIELDS LTD-SPONS ADR             EQUITY  38059T106     733      65,300   SH         DEFINED    1                65,300
GOLDCORP INC                          EQUITY  380956409    3075     309,000   SH            SOLE    2    309,000
GOLDEN STATE BANCORP, INC.            EQUITY  381197102    8207     226,395   SH         DEFINED    1               226,395
GOLDEN TELECOM INC                    EQUITY  38122G107     118       6,732   SH         DEFINED    1                 6,732
GOLDEN WEST FINANCIAL CORP.           EQUITY  381317106    4780      69,500   SH         DEFINED    1                69,500
GOLDMAN SACHS GROUP INC               EQUITY  38141G104   28840     393,190   SH         DEFINED    1               393,190
GOODRICH CORP.                        EQUITY  382388106    1289      47,173   SH         DEFINED    1                47,173
GOODYEAR TIRE & RUBBER CO.            EQUITY  382550101    1409      75,330   SH         DEFINED    1                75,330
GOODYS FAMILY CLOTHING                EQUITY  382588101      65       5,648   SH         DEFINED    1                 5,648
GORMAN RUPP CO COM                    EQUITY  383082104      83       2,625   SH         DEFINED    1                 2,625
GRACE, W.R. & CO.                     EQUITY  38388F108     224      74,731   SH         DEFINED    1                74,731
GRACO INC COM                         EQUITY  384109104      21     833,300   SH            SOLE    3    820,100              13,200
GRACO, INC.                           EQUITY  384109104      17         661   SH         DEFINED    1                   661
GRAFTECH INTERNATIONAL LTD            EQUITY  384313102    1128      91,679   SH         DEFINED    1                91,679
GRANITE CONSTRUCTION, INC.            EQUITY  387328107    1623      64,154   SH         DEFINED    1                64,154
GRANITE ST BANKSHARES                 EQUITY  387472103      61       1,848   SH         DEFINED    1                 1,848
GRANT PRIDE INC                       EQUITY  38821G101    1541     113,605   SH            SOLE    2    113,605
GRANT PRIDECO INC                     EQUITY  38821G101    1949     143,336   SH         DEFINED    1               143,336
GRANT PRIDECO INC COM                 EQUITY  38821G101      15   1,090,600   SH            SOLE    3  1,071,300              19,300
GRAPHIC PACKAGING INTL                EQUITY  388690109      75       8,081   SH         DEFINED    1                 8,081
GRAY COMMUNICATIONS SYSTEMS           EQUITY  389190109      57       3,176   SH         DEFINED    1                 3,176
GREAT AMERICAN FINANCIAL RES          EQUITY  389915109      50       2,608   SH         DEFINED    1                 2,608
GREAT ATLANTIC & PACIFIC TEA          EQUITY  390064103     112       5,966   SH         DEFINED    1                 5,966
GREAT LAKES CHEM CORP.                EQUITY  390568103    1011      38,170   SH         DEFINED    1                38,170
GREAT LAKES REIT, INC.                EQUITY  390752103      89       4,688   SH         DEFINED    1                 4,688
GREAT PLAINS ENERGY INC               EQUITY  391164100   11434     536,646   SH         DEFINED    1               524,608
GREAT SOUTHERN BANCORP, INC.          EQUITY  390905107      81       2,025   SH         DEFINED    1                 2,025
GREATER BAY BANCORP                   EQUITY  391648102    2004      65,153   SH         DEFINED    1                65,153
GREEN MOUNTAIN COFFEE INC             EQUITY  393122106      24       1,119   SH         DEFINED    1                 1,119
GREENPOINT FINANCIAL CORP.            EQUITY  395384100    7595     154,682   SH         DEFINED    1               154,682
GREIF BROTHERS CORP., CLASS A         EQUITY  397624107     154       4,609   SH         DEFINED    1                 4,609
GREY GLOBAL GROUP INC                 EQUITY  39787M108     183         265   SH         DEFINED    1                   265
GREY WOLF, INC.                       EQUITY  397888108     244      59,700   SH         DEFINED    1                59,700
GRIFFON CORP COM                      EQUITY  398433102      17     963,500   SH            SOLE    3    949,300              14,200
GRIFFON CORP.                         EQUITY  398433102     171       9,445   SH         DEFINED    1                 9,445
GROUP 1 AUTOMOTIVE, INC.              EQUITY  398905109     255       6,689   SH         DEFINED    1                 6,689
Grupo Televisa S.A. GDR (ADR)         EQUITY  40049J206    1469      39,300   SH         DEFINED    1                39,300
GSI COMMERCE INC                      EQUITY  36238G102      50       6,667   SH         DEFINED    1                 6,667
GT GROUP TELECOM INC  CL B            EQUITY  362359408       2      35,000   SH         DEFINED    1                35,000
GTECH HOLDINGS CORP.                  EQUITY  400518106    1895      74,208   SH         DEFINED    1                74,208
GUESS? INC                            EQUITY  401617105      19       2,678   SH         DEFINED    1                 2,678
GUIDANT CORP.                         EQUITY  401698105   10140     335,430   SH         DEFINED    1               335,430
GUILFORD PHARMACEUTICALS INC          EQUITY  401829106      65       8,625   SH         DEFINED    1                 8,625
GUITAR CENTER, INC.                   EQUITY  402040109      90       4,867   SH         DEFINED    1                 4,867
GULF ISLAND FABRICATION, INC.         EQUITY  402307102      46       2,501   SH         DEFINED    1                 2,501
GULFMARK OFFSHORE, INC.               EQUITY  402629109      99       2,396   SH         DEFINED    1                 2,396
GYMBOREE CORP                         EQUITY  403777105    1849     115,400   SH            SOLE    2    115,400
GYMBOREE CORP.                        EQUITY  403777105     137       8,535   SH         DEFINED    1                 8,535
H J HEINZ CO.                         EQUITY  423074103    6833     166,250   SH         DEFINED    1               166,250



                                                                                             
H.B. FULLER CO.                       EQUITY  359694106    1356      46,310   SH         DEFINED    1                46,310
HAEMONETICS CORP.                     EQUITY  405024100     187       6,419   SH         DEFINED    1                 6,419
HAIN CELESTIAL GROUP INC              EQUITY  405217100     155       8,385   SH         DEFINED    1                 8,385
HALL KINOIN & ASSOCIATES INC.         EQUITY  406069104      27       3,603   SH         DEFINED    1                 3,603
HALLIBURTON CO.                       EQUITY  406216101    4648     291,606   SH         DEFINED    1               291,606
HALLIBURTON COMPANY                   EQUITY  406216101      62       4,375   SH            SOLE    2      4,375
Halliburton Company                   EQUITY  406216101    1435      90,000   SH         DEFINED    4                90,000
HANCOCK FABRICS, INC.                 EQUITY  409900107     112       6,049   SH         DEFINED    1                 6,049
HANCOCK HOLDING CO.                   EQUITY  410120109     213       3,167   SH         DEFINED    1                 3,167
HANDLEMAN CO.                         EQUITY  410252100     128       8,857   SH         DEFINED    1                 8,857
HANDSPRING INC                        EQUITY  410293104      27      15,342   SH         DEFINED    1                15,342
HANGER ORTHOPEDIC GROUP               EQUITY  41043F208     105       6,894   SH         DEFINED    1                 6,894
HANMI FINL CORP                       EQUITY  410495105      53       3,118   SH         DEFINED    1                 3,118
HANOVER COMPRESSOR COMPANY            EQUITY  410768105    1364     101,032   SH         DEFINED    1               101,032
HARBOR FLORIDA BANCSHARES             EQUITY  411901101     158       7,605   SH         DEFINED    1                 7,605
HARLAND, JOHN H. CO.                  EQUITY  412693103     294      10,422   SH         DEFINED    1                10,422
HARLEY DAVIDSON INC                   EQUITY  412822108    2564      50,000   SH            SOLE    2     50,000
HARLEY DAVIDSON INC                   EQUITY  412822108    3589      70,000   SH            SOLE    2     70,000
HARLEY-DAVIDSON FUNDING               EQUITY  412822108    8709     169,870   SH         DEFINED    1               169,870
HARLEYSVILLE GROUP, INC.              EQUITY  412824104     293      10,570   SH         DEFINED    1                10,570
HARLEYSVILLE NATIONAL CORP.           EQUITY  412850109     176       6,511   SH         DEFINED    1                 6,511
HARMAN INT'L INDUSTRIES, INC.         EQUITY  413086109      18         361   SH         DEFINED    1                   361
HARMONIC INC.                         EQUITY  413160102      78      21,262   SH         DEFINED    1                21,262
HARRAH'S ENTERTAINMENT, INC.          EQUITY  413619107    2354      53,082   SH         DEFINED    1                53,082
HARRIS CORP.                          EQUITY  413875105    3101      85,568   SH         DEFINED    1                85,568
HARRIS INTERACTIVE INC                EQUITY  414549105      45      13,207   SH         DEFINED    1                13,207
HARSCO CORP.                          EQUITY  415864107    1946      51,880   SH         DEFINED    1                51,880
HARTE-HANKS COMMUNICATIONS            EQUITY  416196103    2494     121,358   SH         DEFINED    1               121,358
HARTFORD FINANCIAL SVCS GROUP         EQUITY  416515104    7474     125,680   SH         DEFINED    1               125,680
HARVARD BIOSCIENCE INC                EQUITY  416906105      35       6,249   SH         DEFINED    1                 6,249
HARVEST NATURAL RESOUR                EQUITY  41754V103      62      12,380   SH         DEFINED    1                12,380
HASBRO, INC.                          EQUITY  418056107    1081      79,704   SH         DEFINED    1                79,704
HAVERTY FURNITURE COMPANIES           EQUITY  419596101     108       5,445   SH         DEFINED    1                 5,445
HAWAIIAN ELECTRIC INDUSTRIES,         EQUITY  419870100    6885     161,813   SH         DEFINED    1               161,813
HAWTHORNE FINL CORP                   EQUITY  420542102      68       2,097   SH         DEFINED    1                 2,097
HCA INC                               EQUITY  404119109    6650     140,000   SH            SOLE    2    140,000
HCA INC                               EQUITY  404119109   16815     354,000   SH            SOLE    2    354,000
HCA INC.                              EQUITY  404119109   15376     359,026   SH         DEFINED    1               359,026
HCC INSURANCE HOLDINGS, INC.          EQUITY  404132102    2118      80,395   SH         DEFINED    1                80,395
HEADWATERS INC                        EQUITY  42210P102     139       8,837   SH         DEFINED    1                 8,837
HEALTH CARE PPTY INVS COM             EQUITY  421915109       4     103,600   SH            SOLE    3     83,068              20,532
HEALTH CARE PPTYS INVEST INC          EQUITY  421915109      36         828   SH         DEFINED    1                   828
HEALTH CARE REIT INC COM              EQUITY  42217K106      16     535,400   SH            SOLE    3    436,500              98,900
HEALTH CARE REIT, INC.                EQUITY  42217K106     395      13,193   SH         DEFINED    1                13,193
HEALTH MANAGEMENT ASSOC.              EQUITY  421933102    2247     111,500   SH         DEFINED    1               111,500
HEALTH NET INC. CLASS A               EQUITY  42222G108    4335     161,953   SH         DEFINED    1               161,953
HEALTHCARE REALTY TRUST, INC.         EQUITY  421946104     479      14,963   SH         DEFINED    1                14,963
HEALTHCARE RLTY TR COM                EQUITY  421946104       9     288,200   SH            SOLE    3    231,501              56,699
HEALTHCARE SVCS GRP IN                EQUITY  421906108      51       3,310   SH         DEFINED    1                 3,310
HEALTHEXTRAS INC                      EQUITY  422211102     119      23,483   SH         DEFINED    1                23,483
HEALTHSOUTH CORP                      EQUITY  421924101    2331     182,248   SH         DEFINED    1               182,248
HEALTHTRONICS SURGICAL                EQUITY  42222L107      50       2,833   SH         DEFINED    1                 2,833
HEARST-ARGYLE TELEVI                  EQUITY  422317107       6         244   SH         DEFINED    1                   244
HEARTLAND EXPRESS INC                 EQUITY  422347104    2246      93,861   SH            SOLE    2     93,861
HEARTLAND EXPRESS, INC.               EQUITY  422347104     255      10,641   SH         DEFINED    1                10,641
HECLA MNG CO                          EQUITY  422704106     125      26,695   SH         DEFINED    1                26,695
HEICO CORP.                           EQUITY  422806109      71       5,039   SH         DEFINED    1                 5,039
HEIDRICK & STRUGGLES INT'L            EQUITY  422819102     129       6,460   SH         DEFINED    1                 6,460
HELIX TECHNOLOGY CORP.                EQUITY  423319102     192       9,317   SH         DEFINED    1                 9,317
HELMERICH & PAYNE, INC.               EQUITY  423452101    4139     115,872   SH         DEFINED    1               115,872



                                                                                            
HENRY JACK & ASSOCIATES               EQUITY  426281101    1945     116,547   SH         DEFINED    1               116,547
HENRY SCHEIN INC                      EQUITY  806407102    2481      55,764   SH         DEFINED    1                55,764
HERBALIFE INTL INC [B]                EQUITY  426908307     122       6,384   SH         DEFINED    1                 6,384
HERCULES, INC.                        EQUITY  427056106     623      53,744   SH         DEFINED    1                53,744
HERITAGE PPTY INVT TR COM             EQUITY  42725M107      10     390,800   SH            SOLE    3    324,200              66,600
HERITAGE PROPERTY INVESTMENT          EQUITY  42725M107    5514     206,425   SH         DEFINED    1               206,425
HERLEY INDS INC DEL                   EQUITY  427398102      90       4,264   SH         DEFINED    1                 4,264
HERLEY INDS INC DEL COM               EQUITY  427398102       3     162,500   SH            SOLE    3    162,500
HERMAN MILLER, INC.                   EQUITY  600544100    9267     456,499   SH         DEFINED    1               456,499
HERSHEY FOODS CORP.                   EQUITY  427866108    4225      67,606   SH         DEFINED    1                67,606
HEWITT ASSOCS INC COM                 EQUITY  42822Q100       8     360,200   SH            SOLE    3    337,100              22,300
HEWLETT PACKARD CO                    EQUITY  428236103    1528     100,000   SH            SOLE    2    100,000
HEWLETT PACKARD CO                    EQUITY  428236103    3757     245,809   SH            SOLE    2    245,809
HEWLETT PACKARD CO.                   EQUITY  428236103   23457   1,535,166   SH         DEFINED    1             1,535,166
HEXCEL CORP.                          EQUITY  428291108      37       8,509   SH         DEFINED    1                 8,509
HIBBETT SPORTING GOODS, INC.          EQUITY  428565105      63       2,498   SH         DEFINED    1                 2,498
HIBERNIA CORP                         EQUITY  428656102    4033     203,800   SH            SOLE    2    203,800
HIBERNIA CORP. CLASS A                EQUITY  428656102    4095     206,916   SH         DEFINED    1               206,916
HICKORY TECH CORP                     EQUITY  429060106      75       4,992   SH         DEFINED    1                 4,992
HIGHWOODS PPTYS INC COM               EQUITY  431284108       5     180,300   SH            SOLE    3    160,000              20,300
HIGHWOODS PROPERTIES, INC.            EQUITY  431284108      20         765   SH         DEFINED    1                   765
HILB, ROGAL & HAMILTON CO.            EQUITY  431294107     461      10,195   SH         DEFINED    1                10,195
HILFIGER TOMMY CORP ORD               EQUITY  G8915Z102      53   3,735,798   SH            SOLE    3  3,578,700             150,598
HILLENBRAND INDUSTRIES, INC.          EQUITY  431573104    4551      81,047   SH         DEFINED    1                81,047
HILTON HOTELS CORP                    EQUITY  432848109    6374     560,932   SH         DEFINED    1               560,932
HILTON HOTELS CORP COM                EQUITY  432848109       9     654,800   SH            SOLE    3    521,754             133,046
HISPANIC BROADCASTING                 EQUITY  43357b104      80   3,052,493   SH            SOLE    3  2,904,245             141,148
HISPANIC BROADCASTING CORP. CLASS A   EQUITY  43357B104    7170     274,728   SH         DEFINED    1               274,728
HNC SOFTWARE, INC.                    EQUITY  40425P107    3741     224,001   SH         DEFINED    1               224,001
HOLLINGER INTERNATIONAL, INC.         EQUITY  435569108     222      18,503   SH         DEFINED    1                18,503
HOLLY CORP.                           EQUITY  435758305      59       3,511   SH         DEFINED    1                 3,511
HOLLYWOOD CASINO CORP                 EQUITY  436132203      40       3,695   SH         DEFINED    1                 3,695
HOLLYWOOD ENTERTAINMENT CORP.         EQUITY  436141105     390      18,838   SH         DEFINED    1                18,838
HOLLYWOOD PARK, INC.                  EQUITY  723456109      91       8,584   SH         DEFINED    1                 8,584
HOLOGIC INC                           EQUITY  436440101     100       6,880   SH         DEFINED    1                 6,880
HOME DEPOT INC                        EQUITY  437076102   15079     410,547   SH            SOLE    2    410,547
HOME DEPOT INC                        EQUITY  437076102   32803     893,599   SH            SOLE    2    893,599
HOME DEPOT, INC.                      EQUITY  437076102   43043   1,171,880   SH         DEFINED    1             1,171,880
HOME PPTYS N Y INC COM                EQUITY  437306103      18     467,900   SH            SOLE    3    389,220              78,680
HOME PROPERTIES OF NY, INC.           EQUITY  437306103     352       9,270   SH         DEFINED    1                 9,270
HOMESTORE.COM                         EQUITY  437852106      40      27,616   SH         DEFINED    1                27,616
HON INDUSTRIES INC.                   EQUITY  438092108    2073      76,149   SH         DEFINED    1                76,149
HONEYWELL INTERNATIONAL INC.          EQUITY  438516106   13163     373,620   SH         DEFINED    1               373,620
HOOPER HOLMES, INC.                   EQUITY  439104100     153      19,106   SH         DEFINED    1                19,106
HORACE MANN EDUCATORS CORP.           EQUITY  440327104    1211      64,875   SH         DEFINED    1                64,875
HORIZON OFFSHORE, INC.                EQUITY  44043J105      53       6,303   SH         DEFINED    1                 6,303
HORIZON ORGANIC HOLDIN                EQUITY  44043T103      41       2,329   SH         DEFINED    1                 2,329
HORMEL FOODS CORP.                    EQUITY  440452100    4273     178,480   SH         DEFINED    1               178,480
HOSPITALITY PPTYS TR COM SH BE        EQUITY  44106M102       5     137,400   SH            SOLE    3    122,000              15,400
HOSPITALITY PROPERTIES TRUST          EQUITY  44106M102    3497      95,805   SH         DEFINED    1                95,805
HOST MARRIOTT CORP COM                EQUITY  44107p104      17   1,508,200   SH            SOLE    3  1,232,750             275,450
HOST MARRIOTT CORP NEW                EQUITY  44107P104    1790     158,400   SH            SOLE    2    158,400
HOT TOPIC INC                         EQUITY  441339108     301      11,272   SH         DEFINED    1                11,272
HOT TOPIC INC COM                     EQUITY  441339108      24     892,909   SH            SOLE    3    875,909              17,000
HOTELS.COM-CL A                       EQUITY  44147T108       6         133   SH         DEFINED    1                   133
HOUSEHOLD FINANCE CORP.               EQUITY  441815107   12223     245,940   SH         DEFINED    1               245,940
HOUSEHOLD INTL INC                    EQUITY  441815107    3728      75,000   SH            SOLE    2     75,000
HOUSEHOLD INTL INC                    EQUITY  441815107   10268     206,600   SH            SOLE    2    206,600
HOUSTON EXPLORATION COMPAN            EQUITY  442120101     105       3,616   SH         DEFINED    1                 3,616
HOVNANIAN ENTER, INC. COM PAR $0.01   EQUITY  442487203     192       5,353   SH         DEFINED    1                 5,353



                                                                                             
HOVNANIAN ENTERPRISES CL A            EQUITY  442487203       6     177,000   SH            SOLE    3    177,000
HPL TECHNOLOGIES INC                  EQUITY  40426C105      49       3,235   SH         DEFINED    1                 3,235
HRPT PROPERTIES TRUST                 EQUITY  40426W101     407      45,994   SH         DEFINED    1                45,994
HUBBELL INC. CLASS B                  EQUITY  443510201    2599      76,107   SH         DEFINED    1                76,107
HUDSON CITY BANCORP                   EQUITY  443683107      21       1,077   SH         DEFINED    1                 1,077
HUDSON RIVER BANKCORP.                EQUITY  444128102     147       5,436   SH         DEFINED    1                 5,436
HUGHES SUPPLY, INC.                   EQUITY  444482103     382       8,516   SH         DEFINED    1                 8,516
HUMAN GENOME SCIENCES INC             EQUITY  444903108     670      50,000   SH            SOLE    2     50,000
HUMAN GENOME SCIENCES, INC.           EQUITY  444903108      71       5,330   SH         DEFINED    1                 5,330
Humana Inc.                           EQUITY  444859102    1250      80,000   SH         DEFINED    4                80,000
HUMANA, INC.                          EQUITY  444859102    1225      78,398   SH         DEFINED    1                78,398
HUMBOLDT BANCORP                      EQUITY  445069107      54       3,196   SH         DEFINED    1                 3,196
HUNTINGTON BANCSHARES, INC.           EQUITY  446150104    2225     114,847   SH         DEFINED    1               114,847
HUSDON UNITED BANCORP                 EQUITY  444165104      18         647   SH         DEFINED    1                   647
HUTCHINSON TECHNOLOGY, INC.           EQUITY  448407106     141       9,044   SH         DEFINED    1                 9,044
HYDRIL COMPANY                        EQUITY  448774109     111       4,129   SH         DEFINED    1                 4,129
HYPERCOM CORP                         EQUITY  44913M105      93      12,061   SH         DEFINED    1                12,061
HYPERION SOLUTIONS CORP               EQUITY  44914M104     217      11,890   SH         DEFINED    1                11,890
I2 TECHNOLOGIES                       EQUITY  465754109      25      17,103   SH         DEFINED    1                17,103
IBERIABANK CORP                       EQUITY  450828108      87       2,144   SH         DEFINED    1                 2,144
IBM                                   EQUITY  459200101     336       3,671   SH            SOLE    2      3,671
ICN PHARMACEUTICALS, INC.             EQUITY  448924100    2602     107,492   SH         DEFINED    1               107,492
Icon Plc - Sponsored ADR              EQUITY  45103T107    1568      55,000   SH         DEFINED    1                55,000
ICOS CORPORATION                      EQUITY  449295104      41       2,410   SH         DEFINED    1                 2,410
ICT GROUP INC                         EQUITY  44929Y101      20       1,095   SH         DEFINED    1                 1,095
ICTS INTERNATIONAL NV                 EQUITY  N43837108     686      98,000   SH         DEFINED    1                98,000
ICU MEDICAL, INC.                     EQUITY  44930G107     116       3,766   SH         DEFINED    1                 3,766
IDACORP, INC.                         EQUITY  451107106    1345      48,544   SH         DEFINED    1                48,544
IDEC PHARMACEUTICALS CORP             EQUITY  449370105    3545     100,000   SH            SOLE    2    100,000
IDEC PHARMACEUTICALS CORP             EQUITY  449370105   20451     576,900   SH            SOLE    2    576,900
IDEC PHARMACEUTICALS CORP.            EQUITY  449370105    7152     201,757   SH         DEFINED    1               201,757
IDENTIX INC                           EQUITY  451906101     117      16,030   SH         DEFINED    1                16,030
IDEX CORP.                            EQUITY  45167R104     331       9,890   SH         DEFINED    1                 9,890
IDEXX LABORATORIES, INC.              EQUITY  45168D104     293      11,367   SH         DEFINED    1                11,367
IDINE REWARDS NETWORK                 EQUITY  45168A100      58       5,000   SH         DEFINED    1                 5,000
IDT CORP.                             EQUITY  448947101      12         719   SH         DEFINED    1                   719
IDX SYSTEMS CORP.                     EQUITY  449491109      79       6,039   SH         DEFINED    1                 6,039
IGATE CORP                            EQUITY  45169U105      33       7,187   SH         DEFINED    1                 7,187
IGEN INTERNATIONAL, INC.              EQUITY  449536101     170       5,385   SH         DEFINED    1                 5,385
IHOP CORP.                            EQUITY  449623107     208       7,053   SH         DEFINED    1                 7,053
II-VI INC                             EQUITY  902104108      58       3,899   SH         DEFINED    1                 3,899
IKON OFFICE SOLUTIONS INC.            EQUITY  451713101      20       2,083   SH         DEFINED    1                 2,083
ILEX ONCOLOGY INC                     EQUITY  451923106     163      11,587   SH         DEFINED    1                11,587
ILLINOIS TOOL WKS INC COM             EQUITY  452308109       4      65,000   SH            SOLE    3     65,000
Illinois Tool Works Inc               EQUITY  452308109    2391      35,000   SH         DEFINED    4                35,000
ILLINOIS TOOL WORKS, INC.             EQUITY  452308109    9382     137,360   SH         DEFINED    1               137,360
ILLUMINA INC                          EQUITY  452327109      57       8,472   SH         DEFINED    1                 8,472
IMAGEX.COM INC                        EQUITY  45244D102     356     791,393   SH         DEFINED    1               791,393
IMAGISTICS INTL INC                   EQUITY  45247T104     137       6,400   SH         DEFINED    1                 6,400
I-MANY INC                            EQUITY  44973Q103      40      14,397   SH         DEFINED    1                14,397
IMATION CORP.                         EQUITY  45245A107    1706      57,317   SH         DEFINED    1                57,317
IMC GLOBAL INC                        EQUITY  449669100    2250     180,000   SH            SOLE    2    180,000
IMC GLOBAL INC                        EQUITY  449669100   15176     760,500   SH            SOLE    2    760,500
IMC GLOBAL, INC.                      EQUITY  449669100    9850     788,036   SH         DEFINED    1               788,036
IMCLONE SYSTEMS                       EQUITY  45245W109     177      20,388   SH         DEFINED    1                20,388
IMCO RECYCLING INC                    EQUITY  449681105      42       4,247   SH         DEFINED    1                 4,247
IMMUCOR INC                           EQUITY  452526106      52       2,234   SH         DEFINED    1                 2,234
IMMUNEX CORP.                         EQUITY  452528102   20659     924,760   SH         DEFINED    1               924,760
IMMUNOGEN INC                         EQUITY  45253H101      39      14,337   SH         DEFINED    1                14,337
IMMUNOMEDICS, INC.                    EQUITY  452907108      76      14,599   SH         DEFINED    1                14,599



                                                                                            
IMPAC MORTGAGE HOLDINGS INC           EQUITY  45254P102     190      14,077   SH         DEFINED    1                14,077
IMPATH INC.                           EQUITY  45255G101     113       6,292   SH         DEFINED    1                 6,292
IMPAX LABORATORIES INC                EQUITY  45256B101      70       9,307   SH         DEFINED    1                 9,307
IMPCO TECHNOLOGIES INC                EQUITY  45255W106      45       3,472   SH         DEFINED    1                 3,472
IMS HEALTH, INC.                      EQUITY  449934108    3315     184,701   SH         DEFINED    1               184,701
INAMED CORP                           EQUITY  453235103     114       4,256   SH         DEFINED    1                 4,256
INCO LIMITED                          EQUITY  453258402    1851      81,760   SH         DEFINED    1                81,760
Incyte Genomics                       EQUITY  45337C102     145      20,000   SH         DEFINED    4                20,000
INCYTE GENOMICS, INC.                 EQUITY  45337C102     799     109,897   SH         DEFINED    1               109,897
INDEPENDENCE COMMUNITY BANK           EQUITY  453414104    2142      74,549   SH         DEFINED    1                74,549
INDEPENDENCE HLDG CO N                EQUITY  453440307      26       1,168   SH         DEFINED    1                 1,168
INDEPENDENT BANK CORP.                EQUITY  453838104     231       8,490   SH         DEFINED    1                 8,490
INDEVUS PHARMACEUTICALS INC           EQUITY  454072109      16      13,497   SH         DEFINED    1                13,497
INDYMAC BANCORP, INC.                 EQUITY  456607100    1778      78,377   SH         DEFINED    1                78,377
INET TECHNOLOGY                       EQUITY  45662V105      28       4,185   SH         DEFINED    1                 4,185
INFOCUS CORPORATION                   EQUITY  45665B106     745      63,271   SH         DEFINED    1                63,271
INFOGRAMES INC.                       EQUITY  45665T107       5       1,995   SH         DEFINED    1                 1,995
INFONET SERVICES COR                  EQUITY  45666T106      56      22,399   SH         DEFINED    1                22,399
INFORMATICA CORP                      EQUITY  45666Q102     145      20,435   SH         DEFINED    1                20,435
INFORMATION HOLDINGS INC.             EQUITY  456727106      89       3,640   SH         DEFINED    1                 3,640
INFORMATION RESOURCES, INC.           EQUITY  456905108      92       9,792   SH         DEFINED    1                 9,792
INFORTE CORP                          EQUITY  45677R107      23       2,288   SH         DEFINED    1                 2,288
INFOUSA INC. CLASS B                  EQUITY  456818301      50       9,144   SH         DEFINED    1                 9,144
INGERSOLL RAND COMPANY LIM            EQUITY  G4776G101    1142      25,000   SH            SOLE    2     25,000
INGERSOLL-RAND CO CL A                EQUITY  G4776G101    3867      84,690   SH         DEFINED    1                84,690
INGLES MARKETS, INC., CLASS A         EQUITY  457030104      45       3,551   SH         DEFINED    1                 3,551
INGRAM MICRO INC. CLASS A             EQUITY  457153104      16       1,170   SH         DEFINED    1                 1,170
INHALE THERAPEUTIC S                  EQUITY  457191104     187      19,710   SH         DEFINED    1                19,710
Inhale Therapeutic System             EQUITY  457191104     190      20,000   SH         DEFINED    4                20,000
INKTOMI CORP.                         EQUITY  457277101      46      51,884   SH         DEFINED    1                51,884
INNKEEPERS USA TRUST                  EQUITY  4576J0104      80       8,359   SH         DEFINED    1                 8,359
INPUT/OUTPUT, INC.                    EQUITY  457652105     144      15,988   SH         DEFINED    1                15,988
INRANGE TECHNOLOGIES CL B             EQUITY  45769V206      15       3,102   SH         DEFINED    1                 3,102
INSIGHT COMMUNICATIO                  EQUITY  45768V108     173      14,743   SH         DEFINED    1                14,743
INSIGHT ENTERPRISES, INC.             EQUITY  45765U103     369      14,633   SH         DEFINED    1                14,633
INSIGNIA FINANCIAL GROUP INC.         EQUITY  45767A105      68       6,952   SH         DEFINED    1                 6,952
INSITUFORM TECHNOLOGIES, INC. CLASS A EQUITY  457667103     171       8,089   SH         DEFINED    1                 8,089
INSTINET GROUP INCORPORATED           EQUITY  457750107       4         601   SH         DEFINED    1                   601
INSURANCE AUTO AUCTIONS INC COM       EQUITY  457875102      69       3,547   SH         DEFINED    1                 3,547
INSWEB CORP                           EQUITY  45809K202      21       9,194   SH         DEFINED    1                 9,194
INTEGRA BANK CORP.                    EQUITY  45814P105     123       5,511   SH         DEFINED    1                 5,511
INTEGRA LIFESCIENCES CORP             EQUITY  457985208   10092     483,900   SH            SOLE    2    483,900
INTEGRA LIFESCIENCES HOLDINGS         EQUITY  457985208     144       6,606   SH         DEFINED    1                 6,606
INTEGRAL SYS INC MD COM               EQUITY  45810H107       3     158,200   SH            SOLE    3    158,200
INTEGRAL SYSTEMS INC/MD               EQUITY  45810H107      72       3,294   SH         DEFINED    1                 3,294
INTEGRATED CIRCUIT SYSTEMS            EQUITY  45811K208      13         660   SH         DEFINED    1                   660
INTEGRATED DEFENSE TEC                EQUITY  45819B101      74       2,504   SH         DEFINED    1                 2,504
INTEGRATED DEFENSE TEC COM            EQUITY  45819B101      18     608,100   SH            SOLE    3    599,700               8,400
INTEGRATED DEVICE TECHNOLOGY,         EQUITY  458118106    2496     137,591   SH         DEFINED    1               137,591
INTEGRATED ELECTRICAL SERVICES        EQUITY  45811E103      68      10,859   SH         DEFINED    1                10,859
INTEGRATED SILICON SOLUTION           EQUITY  45812P107      85       9,548   SH         DEFINED    1                 9,548
Intel                                 EQUITY  458140100     438      24,000   SH         DEFINED    4                24,000
INTEL CORP                            EQUITY  458140100    8042     440,198   SH            SOLE    2    440,198
INTEL CORP                            EQUITY  458140100   18630   1,019,762   SH            SOLE    2  1,019,762
INTEL CORP.                           EQUITY  458140100   88679   4,853,780   SH         DEFINED    1             4,853,780
INTER PARFUMS INC                     EQUITY  458334109       8       1,175   SH         DEFINED    1                 1,175
INTERACTIVE DATA CORP                 EQUITY  45840J107       7         499   SH         DEFINED    1                   499
INTERCEPT INC                         EQUITY  45845L107     107       5,187   SH         DEFINED    1                 5,187
INTERCHANGE FINL SVCS                 EQUITY  458447109      57       2,042   SH         DEFINED    1                 2,042
INTERDIGITAL COMMUNICATION            EQUITY  45866A105     176      19,413   SH         DEFINED    1                19,413




                                                                                          
INTERFACE, INC. CLASS A         EQUITY  458665106     125      15,573  SH        DEFINED  1                     15,573
INTERGRAPH CORP.                EQUITY  458683109     312      17,885  SH        DEFINED  1                     17,885
INTERLAND INC                   EQUITY  458727104     138      43,704  SH        DEFINED  1                     43,704
INTERMAGNETICS GENERAL CORP.    EQUITY  458771102     106       5,271  SH        DEFINED  1                      5,271
INTERMET CORP                   EQUITY  45881K104      82       7,681  SH        DEFINED  1                      7,681
INTERMUNE INC.                  EQUITY  45884X103     188       8,894  SH        DEFINED  1                      8,894
INTERNATIONAL BANCSHARES CORP.  EQUITY  459044103     342       8,101  SH        DEFINED  1                      8,101
INTERNATIONAL GAME TECHNOLOGY   EQUITY  459902102    2363      41,675  SH        DEFINED  1                     41,675
INTERNATIONAL MULTIFOODS CORP.  EQUITY  460043102     147       5,637  SH        DEFINED  1                      5,637
INTERNATIONAL PAPER CO          EQUITY  460146103    1307      30,000  SH           SOLE  2        30,000
INTERNATIONAL PAPER CO          EQUITY  460146103   11595     266,059  SH           SOLE  2       266,059
INTERNATIONAL PAPER CO.         EQUITY  460146103    9442     216,660  SH        DEFINED  1                    216,660
International Rectifier         EQUITY  460254105     583      20,000  SH        DEFINED  4                     20,000
INTERNATIONAL RECTIFIER CORP.   EQUITY  460254105    2393      82,089  SH        DEFINED  1                     82,089
INTERNATIONAL SPEEDWAY CORP.    EQUITY  460335201    2739      68,293  SH        DEFINED  1                     68,293
INTERNATIONAL WIRELESS COM      EQUITY  46058G504      18     181,292  SH           SOLE  2       181,292
INTERNET SECURITY SY            EQUITY  46060X107     988      75,279  SH        DEFINED  1                     75,279
INTERPOOL, INC.                 EQUITY  46062R108      35       2,003  SH        DEFINED  1                      2,003
INTERPORE INTERNATIONAL         EQUITY  46062W107      60       6,154  SH        DEFINED  1                      6,154
INTERPUBLIC GROUP CORP          EQUITY  460690100    4266     172,300  SH        DEFINED  1                    172,300
INTERSIL CORP -CL A             EQUITY  46069S109    3750     175,387  SH        DEFINED  1                    175,387
INTERSILL CORP                  EQUITY  46069S109      38   1,789,326  SH           SOLE  3     1,601,924                 174,602
INTERSTATE BAKERIES CORP.       EQUITY  46072H108    2058      71,257  SH        DEFINED  1                     71,257
INTERTAN INC.                   EQUITY  461120107      93       8,343  SH        DEFINED  1                      8,343
INTER-TEL, INC.                 EQUITY  458372109     111       6,462  SH        DEFINED  1                      6,462
INTERTRUST TECHNOLOGIES CORP.   EQUITY  46113Q109      79      26,153  SH        DEFINED  1                     26,153
INTERWOVEN INC                  EQUITY  46114T102     115      37,851  SH        DEFINED  1                     37,851
INTL BUSINESS MACHINES CORP     EQUITY  459200101   88825   1,233,675  SH        DEFINED  1                  1,233,675
INTL SPECIALTY PRODUCTS, INC.   EQUITY  460337108      29       3,772  SH        DEFINED  1                      3,772
INT'L. FLAVORS & FRAGRANCES,    EQUITY  459506101    1407      43,309  SH        DEFINED  1                     43,309
INTRADO INC                     EQUITY  46117A100     105       5,432  SH        DEFINED  1                      5,432
INTROGEN THERAPEUTICS INC       EQUITY  46119F107     152      75,000  SH           SOLE  2        75,000
Intuit                          EQUITY  461202103    1094      22,000  SH        DEFINED  4                     22,000
INTUIT                          EQUITY  461202103    2983      60,000  SH           SOLE  2        60,000
INTUIT                          EQUITY  461202103    5797     116,600  SH           SOLE  2       116,600
INTUIT, INC.                    EQUITY  461202103    6061     121,901  SH        DEFINED  1                    121,901
INTUITIVE SURGICAL INC          EQUITY  46120E107      91      10,742  SH        DEFINED  1                     10,742
INVACARE CORP.                  EQUITY  461203101     348       9,395  SH        DEFINED  1                      9,395
INVERESK RESH GROUP COM         EQUITY  461238107       6     450,000  SH           SOLE  3       450,000
INVERESK RESH GROUP INC         EQUITY  461238107    1301     100,000  SH           SOLE  2       100,000
INVERNESS MEDICAL INNOVATION    EQUITY  46126P106      48       2,375  SH        DEFINED  1                      2,375
INVESTMENT TEC GRP NEW COM      EQUITY  46145F105      25     776,190  SH           SOLE  3       763,540                  12,650
INVESTMENT TECHNOLOGY GROUP     EQUITY  46145F105    2079      63,585  SH        DEFINED  1                     63,585
INVESTORS FINANCIAL SERVICES    EQUITY  461915100    2784      82,995  SH        DEFINED  1                     82,995
INVESTORS REAL ESTATE TRUST     EQUITY  461730103     105       9,866  SH        DEFINED  1                      9,866
INVISION TECHNOLOGIES           EQUITY  461851107     100       4,129  SH        DEFINED  1                      4,129
INVITROGEN CORP                 EQUITY  46185R100      69       2,166  SH        DEFINED  1                      2,166
IOMEGA CORP                     EQUITY  462030305     235      18,271  SH        DEFINED  1                     18,271
IONICS, INC.                    EQUITY  462218108     152       6,261  SH        DEFINED  1                      6,261
IPC HOLDINGS LTD                EQUITY  G4933P101  357990  11,722,000  SH        DEFINED  1                 11,722,000
IRON MOUNTAIN INC.              EQUITY  462846106      27         871  SH        DEFINED  1                        871
IRON MTN INC DEL COM            EQUITY  462846106      91   2,944,320  SH           SOLE  3     2,784,154                 152,666
IRON MTN INC PA                 EQUITY  462846106    4011     130,000  SH           SOLE  2       130,000
IRT PROPERTY CO.                EQUITY  450058102     153      11,983  SH        DEFINED  1                     11,983
IRWIN FINANCIAL CORP.           EQUITY  464119106     110       5,486  SH        DEFINED  1                      5,486
IRWIN FINL CORP COM             EQUITY  464119106      14     706,100  SH           SOLE  3       706,100
ISHARES RUSSELL MIDCAP GRWTH    EQUITY  464287481     114       2,000  SH        DEFINED  1                      2,000
ISHARES RUSSELL MIDCAP VALUE    EQUITY  464287473     428       5,425  SH        DEFINED  1                      5,425
ISHARES S&P 500/BARRA GROWTH    EQUITY  464287309     188       3,800  SH        DEFINED  1                      3,800
ISHARES S&P 500/BARRA VALUE     EQUITY  464287408     873      17,600  SH        DEFINED  1                     17,600



                                                                                          
ISIS PHARMACEUTICALS, INC.      EQUITY  464330109     158      16,653  SH        DEFINED  1                     16,653
ISLE OF CAPRI CASINOS           EQUITY  464592104     115       5,663  SH        DEFINED  1                      5,663
ISTAR FINANCIAL INC             EQUITY  45031U101   12831     450,227  SH        DEFINED  1                    450,227
ITLA CAP CORP                   EQUITY  450565106      49       1,649  SH        DEFINED  1                      1,649
ITRON, INC.                     EQUITY  465741106     179       6,827  SH        DEFINED  1                      6,827
ITT EDUCATIONAL SERVICES, INC.  EQUITY  45068B109     330      15,155  SH        DEFINED  1                     15,155
ITT INDUSTRIAL INC              EQUITY  450911102    2967      42,029  SH        DEFINED  1                     42,029
ITXC CORP                       EQUITY  45069F109      35       6,774  SH        DEFINED  1                      6,774
IVAX CORP.                      EQUITY  465823102    3154     292,067  SH        DEFINED  1                    292,067
IVEX PACKAGING CORP.            EQUITY  465855104     118       5,172  SH        DEFINED  1                      5,172
IXIA                            EQUITY  45071R109      45       7,674  SH        DEFINED  1                      7,674
IXYS CORP.                      EQUITY  46600W106      20       3,735  SH        DEFINED  1                      3,735
J & J SNACK FOODS CORP          EQUITY  466032109      98       2,169  SH        DEFINED  1                      2,169
J JILL GROUP INC                EQUITY  466189107     163       4,286  SH        DEFINED  1                      4,286
J P MORGAN CHASE + CO           EQUITY  46625H100   10029     295,675  SH           SOLE  2       295,675
J P MORGAN CHASE + CO           EQUITY  46625H100   32933     970,889  SH           SOLE  2       970,889
J.B. HUNT TRANSPORT SERVICES    EQUITY  445658107    1595      54,031  SH        DEFINED  1                     54,031
J.C. PENNEY CO., INC.           EQUITY  708160106    2741     124,462  SH        DEFINED  1                    124,462
J.D. EDWARDS & CO.              EQUITY  281667105      17       1,399  SH        DEFINED  1                      1,399
J.P. MORGAN CHASE AND CO.       EQUITY  46625H100   47118   1,389,080  SH        DEFINED  1                  1,389,080
J2 GLOBAL COMMUNICATIO          EQUITY  46626E205      29       1,783  SH        DEFINED  1                      1,783
JABIL CIRCUT, INC.              EQUITY  466313103    1917      90,830  SH        DEFINED  1                     90,830
JACK IN THE BOX INC.            EQUITY  466367109     419      13,170  SH        DEFINED  1                     13,170
JACOBS ENGINEERING GROUP, INC.  EQUITY  469814107    2437      70,065  SH        DEFINED  1                     70,065
JACOBS ENGR GROUP INC           EQUITY  469814107    2643      76,000  SH           SOLE  2        76,000
JAKKS PACIFIC, INC.             EQUITY  47012E106     146       8,220  SH        DEFINED  1                      8,220
JARDEN CORP                     EQUITY  471109108      81       4,109  SH        DEFINED  1                      4,109
JDA SOFTWARE GROUP, INC.        EQUITY  46612K108     282       9,989  SH        DEFINED  1                      9,989
JDN REALITY CORP.               EQUITY  465917102     155      12,431  SH        DEFINED  1                     12,431
JDS UNIPHASE CORP               EQUITY  46612J101    1785     668,671  SH        DEFINED  1                    668,671
JEFFERIES GROUP, INC.           EQUITY  472319102     291       6,902  SH        DEFINED  1                      6,902
JEFFERSON-PILOT CORP.           EQUITY  475070108     361      69,603  SH        DEFINED  1                     69,603
JETBLUE AIRWAYS CORP            EQUITY  477143101       4          84  SH        DEFINED  1                         84
JLG INDUSTRIES, INC.            EQUITY  466210101     211      15,047  SH        DEFINED  1                     15,047
JM SMUCKER CO/THE NEW COM WI    EQUITY  832696405    2690      78,819  SH        DEFINED  1                     78,819
JO-ANN STORES INC [A]           EQUITY  47758P109     149       5,112  SH        DEFINED  1                      5,112
JOHN HANCOCK FINANCIAL SERVICE  EQUITY  41014S106    7967     226,340  SH        DEFINED  1                    226,340
JOHN NUVEEN CO-CL A             EQUITY  478035108       8         300  SH        DEFINED  1                        300
JOHN WILEY & SONS, INC. CLASS A EQUITY  968223206      16         649  SH        DEFINED  1                        649
JOHNSON & JOHNSON               EQUITY  478160104   39156     749,265  SH           SOLE  2       749,265
JOHNSON & JOHNSON               EQUITY  478160104   76404   1,462,000  SH        DEFINED  1            SH
JOHNSON + JOHNSON               EQUITY  478160104   12813     245,175  SH           SOLE  2       245,175
Johnson and Johnson             EQUITY  478160104    3920      75,000  SH        DEFINED  4                     75,000
JOHNSON CONTROLS, INC.          EQUITY  478366107    5864      71,852  SH        DEFINED  1                     71,852
JOHNSON CTLS INC                EQUITY  478366107    1224      15,000  SH           SOLE  2        15,000
JOHNSON CTLS INC                EQUITY  478366107    3313      40,600  SH           SOLE  2        40,600
JOHNSON OUTDOORS INC            EQUITY  479167108      22       1,310  SH        DEFINED  1                      1,310
JONES APPAREL GROUP COM         EQUITY  480074103      14     360,302  SH           SOLE  3       305,200                  51,702
JONES APPAREL GROUP, INC.       EQUITY  480074103   15545     414,540  SH        DEFINED  1                    414,540
JONES LANG LASALLE, INC.        EQUITY  48020Q107     267      10,807  SH        DEFINED  1                     10,807
JOURNAL REGISTER CO.            EQUITY  481138105     195       9,722  SH        DEFINED  1                      9,722
JOY GLOBAL INC.                 EQUITY  481165108     267      15,405  SH        DEFINED  1                     15,405
JP MORGAN CHASE CO              EQUITY  46622H100      82       2,500  SH           SOLE  2         2,500
JP REALITY, INC.                EQUITY  46624A106     127       4,769  SH        DEFINED  1                      4,769
JUNIPER NETWORKS, INC.          EQUITY  48203R104      99      17,524  SH        DEFINED  1                     17,524
K V PHARMACEUT [A]              EQUITY  482740206     198       7,330  SH        DEFINED  1                      7,330
K.FORCE INC.                    EQUITY  493732101      41       6,920  SH        DEFINED  1                      6,920
K2, INC.                        EQUITY  482732104      66       6,406  SH        DEFINED  1                      6,406
KADANT INC                      EQUITY  48282T104      72       4,373  SH        DEFINED  1                      4,373
KAMAN CORP., CLASS A            EQUITY  483548103     134       7,998  SH        DEFINED  1                      7,998



                                                                                          
KANA SOFTWARE INC.              EQUITY  483600300                  43  SH        DEFINED  1                         43
KANEB SERVICES LLC              EQUITY  484173109     491      24,540  SH        DEFINED  1                     24,540
KANSAS CITY LIFE INSURANCE CO.  EQUITY  484836101      50       1,302  SH        DEFINED  1                      1,302
KANSAS CITY SOUTHERN            EQUITY  485170302     365      21,453  SH        DEFINED  1                     21,453
KAYDON CORP.                    EQUITY  486587108    1138      48,212  SH        DEFINED  1                     48,212
KB HOME                         EQUITY  48666K109    1220      23,688  SH        DEFINED  1                     23,688
KEANE, INC.                     EQUITY  486665102    1460     117,767  SH        DEFINED  1                    117,767
KEITHLEY INSTRUMENTS, INC.      EQUITY  487584104      30       2,111  SH        DEFINED  1                      2,111
KELLOGG CO.                     EQUITY  487836108    6575     183,360  SH        DEFINED  1                    183,360
KELLWOOD CO.                    EQUITY  488044108     266       8,195  SH        DEFINED  1                      8,195
KELLY SERVICES, INC., CLASS A   EQUITY  488152208    1406      52,038  SH        DEFINED  1                     52,038
KEMET CORP.                     EQUITY  488360108    2715     151,992  SH        DEFINED  1                    151,992
KENDLE INTERNATIONAL, INC.      EQUITY  48880L107      51       3,769  SH        DEFINED  1                      3,769
KENNAMETAL INC COM              EQUITY  489170100      29     788,983  SH           SOLE  3       775,483                  13,500
KENNAMETAL, INC.                EQUITY  489170100    2007      54,830  SH        DEFINED  1                     54,830
KENSEY NASH CORP                EQUITY  490057106      42       2,583  SH        DEFINED  1                      2,583
KERR MCGEE CORP                 EQUITY  492386107    2724      50,871  SH        DEFINED  1                     50,871
KERR-MC GEE CORPORATION         EQUITY  492386107      54       1,000  SH           SOLE  2         1,000
KEY BANK NA                     EQUITY  493267108    5554     203,440  SH        DEFINED  1                    203,440
KEY ENERGY SERVICES INC         EQUITY  492914106     363      34,532  SH        DEFINED  1                     34,532
KEY PRODUCTION COMPANY, INC.    EQUITY  493138101      98       5,027  SH        DEFINED  1                      5,027
KEYNOTE SYSTEMS INC             EQUITY  493308100      63       8,585  SH        DEFINED  1                      8,586
KEYSPAN CORPORATION             EQUITY  49337W100   10462     277,866  SH        DEFINED  1                    277,866
KEYSTONE AUTOMOTIVE IN          EQUITY  49338N109      70       3,668  SH        DEFINED  1                      3,668
KEYSTONE PROPERTY TRUST         EQUITY  493596100      81       5,107  SH        DEFINED  1                      5,107
KILROY REALTY CORP.             EQUITY  49427F108    3088     115,433  SH        DEFINED  1                    115,433
KIMBALL INTERNATIONAL, INC.
CLASS B                         EQUITY  494274103     198      12,084  SH        DEFINED  1                     12,084
KIMBERLY-CLARK CORP.            EQUITY  494368103   23106     372,680  SH        DEFINED  1                    372,680
KIMCO REALTY                    EQUITY  49446R109    2841      84,826  SH        DEFINED  1                     84,826
KIMCO REALTY CORP COM           EQUITY  49446R109      26     780,250  SH           SOLE  3       631,423                 148,827
Kinder Morgan Energy Partners   EQUITY  494550106    1885      60,000  SH        DEFINED  4                     60,000
KINDER MORGAN INC.              EQUITY  49455P101    2133      56,115  SH        DEFINED  1                     55,455
KINDRED HEALTHCARE INC          EQUITY  494580103     179       4,034  SH        DEFINED  1                      4,034
KING PHARMACEUTICALS INC        EQUITY  495582108      27       1,460  SH           SOLE  2         1,460
KING PHARMACEUTICALS, INC.      EQUITY  495582108    2858     128,446  SH        DEFINED  1                    128,446
KIRBY CORP.                     EQUITY  497266106     163       6,652  SH        DEFINED  1                      6,652
KLA-TENCOR CORP.                EQUITY  482480100    4131      93,914  SH        DEFINED  1                     93,914
KMART CORP.                     EQUITY  482584109     183     177,969  SH        DEFINED  1                    177,969
KNIGHT TRADING GROUP            EQUITY  499063105     152      29,067  SH        DEFINED  1                     29,067
KNIGHT TRANSPORTATION, INC.     EQUITY  499064103     198       8,541  SH        DEFINED  1                      8,541
KNIGHTBRIDGE TANKERS LTD        EQUITY  G5299G106   20267   1,408,530  SH        DEFINED  1                  1,408,530
KNIGHT-RIDDER, INC.             EQUITY  499040103    2447      38,865  SH        DEFINED  1                     38,865
KOGER EQUITY, INC.              EQUITY  500228101    4511     233,712  SH        DEFINED  1                    233,712
KOHLS CORP                      EQUITY  500255104    8953     127,758  SH           SOLE  2       127,758
KOHLS CORP                      EQUITY  500255104   22952     327,514  SH           SOLE  2       327,514
KOHLS CORP.                     EQUITY  500255104   32099     458,040  SH        DEFINED  1                    458,040
KONNKLIJKE PHILIPS ELECTRS      EQUITY  500472303    1656      60,000  SH           SOLE  2        60,000
KOOKMIN BANK SPONS ADR          EQUITY  50049M109    4293      87,347  SH        DEFINED  1                     87,347
KOPIN CORP.                     EQUITY  500600101     163      24,756  SH        DEFINED  1                     24,756
Korea Electric Power Corp.
 Kepco Sp A                     EQUITY  500631106     974      59,500  SH        DEFINED  1                     59,500
KORN/FERRY INTERNATIONAL        EQUITY  500643200     562      61,785  SH        DEFINED  1                     61,785
KOS PHARMACEUTICALS, INC.       EQUITY  500648100      39       1,934  SH        DEFINED  1                      1,934
KOSAN BIOSCIENCES INC           EQUITY  50064W107      53       6,125  SH        DEFINED  1                      6,125
KPMG CONSULTING INC             EQUITY  48265R109      29       1,984  SH        DEFINED  1                      1,984
KRAFT FOODS INC                 EQUITY  50075N104    6759     165,060  SH        DEFINED  1                    165,060
KRAMONT REALTY TRUST            EQUITY  50075Q107    2419     151,275  SH        DEFINED  1                    151,275
KRISPY KREME DOUGHNU            EQUITY  501014104      19         577  SH        DEFINED  1                        577
KROGER CO.                      EQUITY  501044101    7082     355,860  SH        DEFINED  1                    355,860
KROLL INC.                      EQUITY  501049100     161       7,691  SH        DEFINED  1                      7,691
KROLL INC.                      EQUITY  501049100   30300   1,444,212  SH        DEFINED  1                  1,444,212



                                                                                         
KRONOS, INC.                    EQUITY  501052104     214       7,027  SH        DEFINED  1                      7,027
K-SWISS, INC.                   EQUITY  482686102     109       4,200  SH        DEFINED  1                      4,200
KT CORP ADR                     EQUITY  48268K101     318      14,700  SH        DEFINED  1                     14,700
KULICKE & SOFFA INDUSTRIES      EQUITY  501242101     218      17,592  SH        DEFINED  1                     17,592
KULICKE + SOFFA INDS INC        EQUITY  501242101    1487     120,000  SH           SOLE  2       120,000
KYPHON INC                      EQUITY  501577100      31       2,151  SH        DEFINED  1                      2,151
KYPHON INC                      EQUITY  501577100     109       7,500  SH           SOLE  2         7,500
L S B BANCSHARES N C            EQUITY  502158108      60       3,017  SH        DEFINED  1                      3,017
L-3 COMMUNICATIONS HOLDINGS,    EQUITY  502424104    6491     120,211  SH        DEFINED  1                    120,211
L-3 COMMUNICATNS HLDGS COM      EQUITY  502424104      13     242,100  SH           SOLE  3       210,400                  29,200
LA JOLLA PHARMACEUTICAL CO      EQUITY  503459109      94      15,116  SH        DEFINED  1                     15,116
LA QUINTA PROPERTIES-PAIRED     EQUITY  50419U202     356      49,093  SH        DEFINED  1                     49,093
Lab Corp of America Holdings    EQUITY  50540R409    1095      23,996  SH        DEFINED  4                     23,996
LABONE INC NEW                  EQUITY  50540L105      49       1,894  SH        DEFINED  1                      1,894
LABOR READY, INC.               EQUITY  505401208      85      14,606  SH        DEFINED  1                     14,606
LABORATORY CORP OF AMERICA      EQUITY  50540R409      15     323,600  SH           SOLE  3       280,800                  39,400
LABRANCHE & CO. INC.            EQUITY  505447102    1740      75,973  SH        DEFINED  1                     75,973
LACLEDE GAS CO.                 EQUITY  505597104    1861      79,250  SH        DEFINED  1                     79,250
LADISH CO., INC.                EQUITY  505754200      40       3,257  SH        DEFINED  1                      3,257
LAFARGE NORTH AMERIC            EQUITY  505862102     557      15,857  SH        DEFINED  1                     15,857
LAKELAND BANCORP INC            EQUITY  511637100      88       3,978  SH        DEFINED  1                      3,978
LAKELAND FINL CORP              EQUITY  511656100      53       1,821  SH        DEFINED  1                      1,821
LAM RESEARCH CORP.              EQUITY  512807108    2959     164,574  SH        DEFINED  1                    164,574
LAM RESH CORP                   EQUITY  512807108    4074     226,600  SH           SOLE  2       226,600
LAMAR ADVERTISING CO            EQUITY  512815101      39       1,042  SH        DEFINED  1                      1,042
LAMAR CORP CV                   EQUITY  512815AF8      13  13,228,000  PRN          SOLE  3    11,016,000               2,050,000
LANCASTER COLONY CORP.          EQUITY  513847103    1683      47,208  SH        DEFINED  1                     47,208
LANCE, INC.                     EQUITY  514606102     126       8,658  SH        DEFINED  1                      8,658
LANDAMERICA FINANCIAL GROUP     EQUITY  514936103     209       6,629  SH        DEFINED  1                      6,629
LANDAUER, INC.                  EQUITY  51476K103     113       2,908  SH        DEFINED  1                      2,908
LANDRY'S RESTAURANTS INC.       EQUITY  51508L103     200       7,823  SH        DEFINED  1                      7,823
LANDSTAR SYSTEM, INC.           EQUITY  515098101     291       2,720  SH        DEFINED  1                      2,720
LANNETT CO INC                  EQUITY  516012101      48       1,326  SH        DEFINED  1                      1,326
LASALLE HOTEL PPTYS COM SH BEN  EQUITY  517942108       7     424,000  SH           SOLE  3       345,337                  78,663
LASALLE HOTEL PROPERTIES        EQUITY  517942108      95       6,010  SH        DEFINED  1                      6,010
LATTICE SEMICONDUCTOR CORP.     EQUITY  518415104    1491     170,557  SH        DEFINED  1                    170,557
LAWSON PRODUCTS, INC.           EQUITY  520776105      54       1,748  SH        DEFINED  1                      1,748
LAWSON SOFTWARE                 EQUITY  520780107      29       5,014  SH        DEFINED  1                      5,014
LA-Z-BOY CHAIR CO.              EQUITY  505336107      19         736  SH        DEFINED  1                        736
LEAR CORP                       EQUITY  521865105    3901      84,344  SH        DEFINED  1                     84,344
LEARNING TREE INTERNATIONAL     EQUITY  522015106      69       3,730  SH        DEFINED  1                      3,730
LECROY CORP                     EQUITY  52324W109      35       2,949  SH        DEFINED  1                      2,949
LEE ENTERPRISES, INC.           EQUITY  523768109    2000      57,140  SH        DEFINED  1                     57,140
LEEDS FED BANKSHARES I          EQUITY  524226107      14         442  SH        DEFINED  1                        442
LEGATO SYSTEMS, INC.            EQUITY  524651106     635     176,384  SH        DEFINED  1                    176,384
LEGG MASON, INC.                EQUITY  524901105    4096      83,010  SH        DEFINED  1                     83,011
LEGGETT & PLATT, INC.           EQUITY  524660107    2123      90,713  SH        DEFINED  1                     90,713
LEHMAN BROTHERS HLDGS INC       EQUITY  524908100    5627      90,000  SH           SOLE  2        90,000
LEHMAN BROTHERS HLDGS INC       EQUITY  524908100   15311     244,900  SH           SOLE  2       244,900
LEHMAN BROTHERS HOLDINGS, INC.  EQUITY  524908100    7703     123,210  SH        DEFINED  1                    123,210
LENDING TREE INC                EQUITY  52602Q105      30       2,347  SH        DEFINED  1                      2,347
LENNAR CORP COM                 EQUITY  526057104      53     863,296  SH           SOLE  3       826,151                  37,145
LENNAR CORP.                    EQUITY  526057104    6335     103,516  SH        DEFINED  1                    103,516
LENNOX INTERNATIONAL INC        EQUITY  526107107     274      15,241  SH        DEFINED  1                     15,241
LEUCADIA NATIONAL CORP.         EQUITY  527288104    2255      71,221  SH        DEFINED  1                     71,221
LEVEL 3 COMMUNICATIONS, INC.    EQUITY  52729N100      13       4,479  SH        DEFINED  1                      4,479
LEXAR MEDIA INC                 EQUITY  52886P104    1057     247,626  SH        DEFINED  1                    247,626
LEXICON GENETICS INC.           EQUITY  528872104      58      11,948  SH        DEFINED  1                     11,948
LEXINGTON CORP. PROPERTRIES     EQUITY  529043101     138       8,340  SH        DEFINED  1                      8,340
LEXMARK INTERNATIONAL GROUP     EQUITY  529771107    3956      72,717  SH        DEFINED  1                     72,017



                                                                                          
LIBBEY, INC.                    EQUITY  529898108     187       5,485  SH        DEFINED  1                      5,485
LIBERATE TECHNOLOGIES, INC.     EQUITY  530129105     101      38,146  SH        DEFINED  1                     38,146
LIBERTY CORP.                   EQUITY  530370105     240       6,015  SH        DEFINED  1                      6,015
LIBERTY LIVEWIRE CORP           EQUITY  530709104       5       1,725  SH        DEFINED  1                      1,725
LIBERTY MEDIA CORP A            EQUITY  530718105     137      15,700  SH           SOLE  2        15,700
LIBERTY PROPERTY TRUST          EQUITY  531172104    5435     155,282  SH        DEFINED  1                    155,282
LIFECORE BIOMEDICAL IN          EQUITY  532187101      40       3,563  SH        DEFINED  1                      3,563
LIFELINE SYS INC                EQUITY  532192101      38       1,428  SH        DEFINED  1                      1,428
LIFEPOINT HOSPITALS HLDG        EQUITY  53219L109    1850      50,949  SH        DEFINED  1                     50,949
LIGAND PHARMACEUTICALS, INC.,
 CLASS B                        EQUITY  53220K207     267      18,429  SH        DEFINED  1                     18,429
LIGHTBRIDGE INC                 EQUITY  532226107      85      10,089  SH        DEFINED  1                     10,089
Lilly (Eli) & Co Com Stk        EQUITY  532457108     342       6,070  SH        DEFINED  1                      6,070
LILLY ELI COMPANY               EQUITY  532457108      68       1,250  SH           SOLE  2         1,250
LIMITED BRANDS INC              EQUITY  532716107    8393     340,000  SH           SOLE  2       340,000
LIMITED BRANDS INC              EQUITY  532716107   12725     597,400  SH           SOLE  2       597,400
LIMITED BRANDS, INC.            EQUITY  532716107    4966     233,140  SH        DEFINED  1                    233,140
LIN TV CORP                     EQUITY  532774106       7         241  SH        DEFINED  1                        241
LIN TV CORP                     EQUITY  532774106    2231      82,500  SH           SOLE  2        82,500
LIN TV CORP CL A                EQUITY  532774106      14     516,778  SH           SOLE  3       496,200                  20,578
LINCARE HOLDINGS, INC.          EQUITY  532791100    4486     138,898  SH        DEFINED  1                    138,898
LINCOLN ELECTRIC HOLDINGS, INC  EQUITY  533900106     305      11,341  SH        DEFINED  1                     11,341
LINCOLN NATIONAL CORP.          EQUITY  534187109    5074     120,816  SH        DEFINED  1                    120,816
LINCOLN NATL CORP IND           EQUITY  534187109      32         830  SH           SOLE  2           830
LINDSAY MANUFACTURING CO.       EQUITY  535555106      82       3,557  SH        DEFINED  1                      3,557
LINEAR TECHNOLOGY CORP.         EQUITY  535678106    4848     154,260  SH        DEFINED  1                    154,260
LINENS N THINGS INC             EQUITY  535679104    9010     274,600  SH           SOLE  2       274,600
LINENS 'N THINGS, INC.          EQUITY  535679104     392      11,939  SH        DEFINED  1                     11,939
LITHIA MOTORS, INC.             EQUITY  536797103     104       3,879  SH        DEFINED  1                      3,879
LITTELFUSE, INC.                EQUITY  537008104     162       6,988  SH        DEFINED  1                      6,988
LIZ CLAIBORNE, INC.             EQUITY  539320101    1570      49,383  SH        DEFINED  1                     49,383
LNR PROPERTY CORP.              EQUITY  501940100     276       8,006  SH        DEFINED  1                      8,006
LOCAL FINANCIAL CORP.           EQUITY  539553107     112       6,840  SH        DEFINED  1                      6,840
LOCKHEED MARTIN CORP            EQUITY  539830109   17424     250,700  SH           SOLE  2       250,700
LOCKHEED MARTIN CORP            EQUITY  539830109   38531     554,400  SH           SOLE  2       554,400
LOCKHEED MARTIN CORP.           EQUITY  539830109   14054     202,220  SH        DEFINED  1                    202,220
LODGENET ENTERTAINMENT CORP.    EQUITY  540211109      57       3,933  SH        DEFINED  1                      3,933
LOEWS CORP.                     EQUITY  540424108    4874      91,979  SH        DEFINED  1                     91,979
LO-JACK CORPORATION             EQUITY  539451104     665     190,100  SH        DEFINED  1                    190,100
LONE STAR STEAKHOUSE & SALOON   EQUITY  542307103     161       6,815  SH        DEFINED  1                      6,815
LONE STAR TECHNOLOGIES, INC.    EQUITY  542312103     233      10,186  SH        DEFINED  1                     10,186
LONGS DRUG STORES CORP.         EQUITY  543162101    1692      59,803  SH        DEFINED  1                     59,803
LONGVIEW FIBRE CO.              EQUITY  543213102     787      83,538  SH        DEFINED  1                     83,538
LOOKSMART LTD                   EQUITY  543442107      48      24,408  SH        DEFINED  1                     24,408
LOUDCLOUD INC                   EQUITY  545735102       8       5,732  SH        DEFINED  1                      5,732
LOUISIANA PACIFIC CORP.         EQUITY  546347105     962      90,808  SH        DEFINED  1                     90,808
LOWE'S COMPANIES, INC.          EQUITY  548661107   30270     666,750  SH        DEFINED  1                    666,750
LOWES COS INC COM               EQUITY  548661107       5     104,000  SH           SOLE  3       104,000
LSI INDUSTRIES, INC.            EQUITY  50216C108      94       5,105  SH        DEFINED  1                      5,105
LSI LOGIC CORP                  EQUITY  502161102    2188     250,000  SH           SOLE  2       250,000
LSI LOGIC CORP.                 EQUITY  502161102    2192     250,562  SH        DEFINED  1                    250,562
LTC PROP INC                    EQUITY  502175102      43       5,031  SH        DEFINED  1                      5,031
LTX CORP.                       EQUITY  502392103    1122      78,562  SH        DEFINED  1                     78,562
LUBRIZOL CORP COM               EQUITY  549271104      53   1,578,534  SH           SOLE  3     1,550,634                  27,900
LUBRIZOL CORP.                  EQUITY  549271104    2222      66,343  SH        DEFINED  1                     66,343
LUBY'S, INC.                    EQUITY  549282101      53       8,010  SH        DEFINED  1                      8,010
LUCENT TECHNOLOGIES INC         EQUITY  549463107       3       1,600  SH           SOLE  2         1,600
LUCENT TECHNOLOGIES INC         EQUITY  549463107    2912   1,754,282  SH        DEFINED  1                  1,754,282
LUFKIN INDS INC COM             EQUITY  549764108      58       2,009  SH        DEFINED  1                      2,009
LUMINEX CORP                    EQUITY  55027E102      52       6,871  SH        DEFINED  1                      6,871
LYDALL, INC.                    EQUITY  550819106      80       5,247  SH        DEFINED  1                      5,247



                                                                                          
LYON WILLIAM HOMES              EQUITY  552074106      46       1,769  SH        DEFINED  1                      1,769
LYONDELL CHEMICAL CO            EQUITY  552078107    1208      80,000  SH           SOLE  2        80,000
LYONDELL CHEMICAL CO            EQUITY  552078107    3700     245,000  SH           SOLE  2       245,000
LYONDELL CHEMICAL CO.           EQUITY  552078107    5477     362,701  SH        DEFINED  1                    362,701
M&T BANK CORP.                  EQUITY  55261F104   10261     119,643  SH        DEFINED  1                    119,643
M.D.C. HOLDINGS, INC.           EQUITY  552676108     359       6,911  SH        DEFINED  1                      6,911
M/I SCHOTTENSTEIN HOMES INC     EQUITY  55305B101     162       4,308  SH        DEFINED  1                      4,308
MACATAWA BK CORP                EQUITY  554225102      52       2,385  SH        DEFINED  1                      2,385
MACDERMID, INC.                 EQUITY  554273102     199       9,247  SH        DEFINED  1                      9,247
MACERICH CO.                    EQUITY  554382101     361      11,642  SH        DEFINED  1                     11,642
MACK-CALI REALTY CORP           EQUITY  554489104    5484     156,020  SH        DEFINED  1                    156,020
MACROMEDIA, INC.                EQUITY  556100105     853      96,212  SH        DEFINED  1                     96,212
MACROVISION CORP                EQUITY  555904101    1056      80,563  SH        DEFINED  1                     80,563
MADDEN STEVEN LTD COM           EQUITY  556269108       6     278,400  SH           SOLE  3       278,400
MADISON GAS & ELECTRIC CO.      EQUITY  557497104     161       5,790  SH        DEFINED  1                      5,790
MAF BANCORP, INC.               EQUITY  55261R108     255       6,780  SH        DEFINED  1                      6,780
MAGELLAN HEALTH SERVICES, INC.  EQUITY  559079108       9       8,670  SH        DEFINED  1                      8,670
MAGMA DESIGN AUTOMATIO          EQUITY  559181102     111       6,608  SH        DEFINED  1                      6,608
MAGNA ENTERTAINMENT CL A        EQUITY  559211107     110      15,794  SH        DEFINED  1                     15,794
MAGNATEK, INC.                  EQUITY  559424106      69       7,014  SH        DEFINED  1                      7,014
MAGNUM HUNTER RES INC COM PAR   EQUITY  55972F203       5     601,500  SH           SOLE  3       601,500
MAGNUM HUNTER RESOURCES INC     EQUITY  55972F203     136      17,275  SH        DEFINED  1                     17,275
MAIL-WELL, INC.                 EQUITY  560321200      53      10,148  SH        DEFINED  1                     10,148
MAIN STREET BANKS INC           EQUITY  56034R102      77       3,718  SH        DEFINED  1                      3,718
MAINSOURCE FINANCIAL G          EQUITY  56062Y102      48       1,995  SH        DEFINED  1                      1,995
MANDALAY RESORT GROUP           EQUITY  562567107    2423      87,884  SH        DEFINED  1                     87,884
MANHATTAN ASSOCIATES, INC.      EQUITY  562750109     223       6,922  SH        DEFINED  1                      6,922
MANITOWOC CO., INC.             EQUITY  563571108     305       8,596  SH        DEFINED  1                      8,596
MANOR CARE, INC.                EQUITY  564055101    1121      48,759  SH        DEFINED  1                     48,759
MANPOWER, INC.                  EQUITY  56418H100    3586      97,566  SH        DEFINED  1                     97,566
MANTECH INTL CORP               EQUITY  564563104      62       2,576  SH        DEFINED  1                      2,576
MANUFACTURED HOME CMNT COM      EQUITY  564682102       8     227,100  SH           SOLE  3       183,727                  43,373
MANUFACTURED HOME COMMUNITIES   EQUITY  564682102     161       4,586  SH        DEFINED  1                      4,586
MANUFACTURERS SERVICES LTD      EQUITY  565005105      25       5,133  SH        DEFINED  1                      5,133
MANUGISTICS GROUP IN            EQUITY  565011103     129      21,193  SH        DEFINED  1                     21,193
MAPICS INC                      EQUITY  564910107      29       5,124  SH        DEFINED  1                      5,124
MAPINFO CORP COM                EQUITY  565105103      49       5,398  SH        DEFINED  1                      5,398
MARATHON OIL CORP               EQUITY  565849106    4161     153,411  SH        DEFINED  1                    153,411
MARCUS CORP                     EQUITY  566330106     117       7,033  SH        DEFINED  1                      7,033
MARINEMAX INC                   EQUITY  567908108      34       2,608  SH        DEFINED  1                      2,608
MARKEL CORP                     EQUITY  570535104      22         112  SH        DEFINED  1                        112
MARRIOTT INTERNATIONAL, INC.    EQUITY  571903202    4248     111,640  SH        DEFINED  1                    111,640
MARSH & MCLENNAN COMPANIES INC  EQUITY  571748102   34486     357,000  SH        DEFINED  1                    357,000
MARSHALL & ILSLEY CORP.         EQUITY  571834100    2993      96,775  SH        DEFINED  1                     96,775
MARTEK BIOSCIENCES CORP.        EQUITY  572901106     149       7,117  SH        DEFINED  1                      7,117
MARTHA STEWART LIVING INC       EQUITY  573083102     750      65,400  SH           SOLE  2        65,400
MARTHA STEWART LIVING-CL A      EQUITY  573083102      41       3,563  SH        DEFINED  1                      3,563
MARTIN MARIETTA MATERIALS       EQUITY  573284106    2457      63,003  SH        DEFINED  1                     63,003
MARVEL ENTERPRISES INC          EQUITY  57383M108      33       6,075  SH        DEFINED  1                      6,075
MARVELL TECHNOLOGY GROUP L      EQUITY  G5876H105    3656     183,800  SH           SOLE  2       183,800
MASCO CORP                      EQUITY  574599106    4216     155,500  SH           SOLE  2       155,500
MASCO CORP                      EQUITY  574599106   15304     564,500  SH           SOLE  2       564,500
MASCO CORP.                     EQUITY  574599106    6176     227,830  SH        DEFINED  1                    227,830
MASSBANK CORP READ MAS          EQUITY  576152102      48       1,359  SH        DEFINED  1                      1,359
MASSEY ENERGY COMPANY           EQUITY  576206106     284      22,399  SH        DEFINED  1                     22,399
MASTEC, INC.                    EQUITY  576323109      53       7,170  SH        DEFINED  1                      7,170
MATERIAL SCIENCES CORP          EQUITY  576674105      51       3,645  SH        DEFINED  1                      3,645
MATRIA HEALTHCARE INC           EQUITY  576817209      18       2,207  SH        DEFINED  1                      2,207
MATRIXONE INC                   EQUITY  57685P304     113      18,515  SH        DEFINED  1                     18,515
MATTEL INC                      EQUITY  577081102    2108     100,000  SH           SOLE  2       100,000



                                                                                          
MATTEL INC                      EQUITY  577081102    3120     148,000  SH           SOLE  2       148,000
MATTEL, INC.                    EQUITY  577081102    6632     314,617  SH        DEFINED  1                    314,617
MATTHEWS INTERNATIONAL CORP.
 CLASS A                        EQUITY  577128101     228       9,777  SH        DEFINED  1                      9,777
MATTSON TECHNOLOGY, INC.        EQUITY  577223100      35       7,476  SH        DEFINED  1                      7,476
MAUI LAND & PINEAPPLE CO        EQUITY  577345101      21       1,051  SH        DEFINED  1                      1,051
MAVERICK TUBE CORP.             EQUITY  577914104     201      13,429  SH        DEFINED  1                     13,429
MAXIM INTEGRATED PRODUCTS INC.  EQUITY  57772K101    6038     157,530  SH        DEFINED  1                    157,530
MAXIMUS, INC.                   EQUITY  577933104     194       6,127  SH        DEFINED  1                      6,127
MAXTOR CORP                     EQUITY  577729205     321      71,120  SH        DEFINED  1                     71,120
MAXWELL SHOE INC                EQUITY  577766108      78       4,892  SH        DEFINED  1                      4,892
MAXYGEN                         EQUITY  577776107     122      10,211  SH        DEFINED  1                     10,211
MAY DEPARTMENT STORES CO.       EQUITY  577778103    8314     252,464  SH        DEFINED  1                    252,464
MAY DEPT STORES CO              EQUITY  577778103    5900     179,182  SH           SOLE  2       179,182
MAYTAG CORP COM                 EQUITY  578592107      16     380,000  SH           SOLE  3       336,100                  40,500
MAYTAG CORP.                    EQUITY  578592107    1528      35,830  SH        DEFINED  1                     35,830
MB FINANCIAL INC                EQUITY  55264U108     135       4,032  SH        DEFINED  1                      4,032
MBIA, INC                       EQUITY  55262C100    3866      68,397  SH        DEFINED  1                     68,397
MBNA CORP                       EQUITY  55262L100    5448     164,750  SH           SOLE  2       164,750
MBNA CORP                       EQUITY  55262L100    5448     164,750  SH           SOLE  2       164,750
MBNA CORP.                      EQUITY  55262L100   14611     441,820  SH        DEFINED  1                    441,820
MCAFEE.COM CORP.                EQUITY  579062100      62       4,217  SH        DEFINED  1                      4,217
MCCLATCHY COMPANY-CL            EQUITY  579489105      17         266  SH        DEFINED  1                        266
MCCORMICK & CO., INC.           EQUITY  579780206    4632     179,875  SH        DEFINED  1                    179,875
MCDATA CORP CL A                EQUITY  580031201      34         258  SH           SOLE  2           258
MCDERMOTT INTERNATIONAL, INC.   EQUITY  580037109     286      35,280  SH        DEFINED  1                     35,280
MCDONALDS CORP                  EQUITY  580135101    2276      80,000  SH           SOLE  2        80,000
MCDONALDS CORP                  EQUITY  580135101    9056     318,300  SH           SOLE  2       318,300
MCDONALDS CORP COM              EQUITY  580135101       3     110,000  SH           SOLE  3       110,000
MCDONALD'S CORP.                EQUITY  580135101   16322     573,700  SH        DEFINED  1                    573,700
MCG CAPITAL CORP                EQUITY  58047P107   39498   2,363,740  SH        DEFINED  1                   2,363,740
MCGRATH RENTCORP                EQUITY  580589109      85       3,267  SH        DEFINED  1                      3,267
MCGRAW-HILL, INC.               EQUITY  580645109    6448     108,010  SH        DEFINED  1                    108,010
MCKESSON CORP.                  EQUITY  58155Q103    5215     159,474  SH        DEFINED  1                    159,474
MCSI INC                        EQUITY  55270M108      89       7,850  SH        DEFINED  1                      7,850
MDU RESOURCES GROUP, INC.       EQUITY  552690109    2406      91,525  SH        DEFINED  1                     91,525
MEADWESTVACO CORP               EQUITY  583334107    3106      92,541  SH        DEFINED  1                     92,541
MEDAREX INC                     EQUITY  583916101     184      24,858  SH        DEFINED  1                     24,858
MEDAREX INC                     EQUITY  583916101    1484     200,000  SH           SOLE  2       200,000
MEDCATH CORP                    EQUITY  58404W109      39       2,270  SH        DEFINED  1                      2,270
MED-DESIGN CORP                 EQUITY  583926100      39       3,038  SH        DEFINED  1                      3,038
MEDFORD BANCORP INC             EQUITY  584131106      83       2,388  SH        DEFINED  1                      2,388
MEDIA GENERAL, INC. CLASS A     EQUITY  584404107    1787      29,783  SH        DEFINED  1                     29,783
MEDIACOM COMMUNICATI            EQUITY  58446K105     149      19,143  SH        DEFINED  1                     19,143
MEDICAL STAFFING NETWORK H      EQUITY  58463F104     184       7,500  SH           SOLE  2         7,500
MEDICAL STAFFING NETWORK
 HOLDINGS                       EQUITY  58463F104      68       2,787  SH        DEFINED  1                      2,787
MEDICINES CO                    EQUITY  584688105    2775     225,100  SH           SOLE  2       225,100
MEDICINES COMPANY               EQUITY  584688105      93       7,549  SH        DEFINED  1                      7,549
MEDICIS PHARMACEUTIC            EQUITY  584690309      19         433  SH        DEFINED  1                        433
MEDICIS PHARMACEUTICAL CL A NE  EQUITY  584690309      35     827,428  SH           SOLE  3       786,422                  39,306
MEDICIS PHARMACEUTICAL SR NT C  EQUITY  584690AA9             150,000  PRN          SOLE  3       150,000
MEDIMMUNE INC                   EQUITY  584699102    5990     226,900  SH           SOLE  2       226,900
MEDIMMUNE, INC.                 EQUITY  584699102    3252     123,194  SH        DEFINED  1                    123,194
MEDIS TECHNOLOGIES LTD          EQUITY  58500P107      31       3,857  SH        DEFINED  1                      3,857
MEDQUIST, INC.                  EQUITY  584949101      96       3,604  SH        DEFINED  1                      3,604
MEDSOURCE TECHNOLOGIES          EQUITY  58505Y103      36       2,974  SH        DEFINED  1                      2,974
Medtronic                       EQUITY  585055106     857      20,000  SH        DEFINED  4                     20,000
MEDTRONIC, INC.                 EQUITY  585055106   23396     546,000  SH        DEFINED  1                    546,000
MEEMIC HOLDINGS INC             EQUITY  585135106      11         381  SH        DEFINED  1                        381
MELLON FINANCIAL CORPORATION    EQUITY  58551A108    7731     245,970  SH        DEFINED  1                    245,970
MELLON FINL CORP                EQUITY  58551A108     943      30,000  SH           SOLE  2        30,000



                                                                                          
MELLON FINL CORP                EQUITY  58551A108    4834     153,800  SH           SOLE  2       153,800
MEMBERWORKS INCORPORATED        EQUITY  586002107      61       3,306  SH        DEFINED  1                      3,306
MEMC ELECTRONIC MATERIALS, INC  EQUITY  552715104      36       7,248  SH        DEFINED  1                      7,248
MENS WEARHOUSE, INC.            EQUITY  587118100     280      10,981  SH        DEFINED  1                     10,981
MENTOR CORP.                    EQUITY  587188103     258       7,035  SH        DEFINED  1                      7,035
MENTOR GRAPHICS CORP.           EQUITY  587200106    1521     106,953  SH        DEFINED  1                    106,953
MERCANTILE BANKSHARES CORP.     EQUITY  587405101    3723      90,731  SH        DEFINED  1                     90,731
MERCHANTS BANCSHARES            EQUITY  588448100      40       1,424  SH        DEFINED  1                      1,424
MERCK & CO INC                  EQUITY  589331107   18361     363,297  SH           SOLE  2       363,297
MERCK & CO., INC.               EQUITY  589331107   57154   1,128,640  SH        DEFINED  1                  1,128,640
MERCK + CO INC                  EQUITY  589331107    4558      90,000  SH           SOLE  2        90,000
Merck and Co Inc                EQUITY  589331107    2375      46,900  SH        DEFINED  4                     46,900
MERCURY COMPUTER SYSTEMS INC    EQUITY  589378108     160       7,725  SH        DEFINED  1                      7,725
MERCURY GENERAL CORP            EQUITY  589400100      18         374  SH        DEFINED  1                        374
MERCURY INTERACTIVE CORP.       EQUITY  589405109     944      41,132  SH        DEFINED  1                     41,132
MERCURY INTERACTIVE CP COM      EQUITY  589405109      38   1,657,383  SH           SOLE  3     1,559,680                  92,803
MEREDITH CORP                   EQUITY  589433101     877      22,860  SH        DEFINED  1                     22,860
MERIDIAN GOLD INC               EQUITY  589975101    3130     195,000  SH           SOLE  2       195,000
MERIDIAN MED TECHNOLOG          EQUITY  589658103      44       1,205  SH        DEFINED  1                      1,205
MERIDIAN RESOURCE CORP          EQUITY  58977Q109      42      11,286  SH        DEFINED  1                     11,286
MERISTAR HOSPITALITY CORP.      EQUITY  58984Y103     222      14,561  SH        DEFINED  1                     14,561
MERIT MED SYS INC               EQUITY  589889104      85       4,102  SH        DEFINED  1                      4,102
MERITAGE CORPORATION            EQUITY  59001A102     124       2,726  SH        DEFINED  1                      2,726
MERIX CORPORATION               EQUITY  590049102      42       4,854  SH        DEFINED  1                      4,854
MERRILL LYNCH & CO., INC.       EQUITY  590188108   15677     387,080  SH        DEFINED  1                    387,080
MERRILL LYNCH + CO INC          EQUITY  590188108    6278     155,000  SH           SOLE  2       155,000
MERRILL LYNCH + CO INC          EQUITY  590188108   14461     357,050  SH           SOLE  2       357,050
MESA AIR GROUP INC              EQUITY  590479101     990     107,600  SH           SOLE  2       107,600
MESA AIRLINES, INC.             EQUITY  590479101     101      11,007  SH        DEFINED  1                     11,007
MESABA HOLDINGS, INC.           EQUITY  59066B102      20       3,420  SH        DEFINED  1                      3,420
MESTEK, INC.                    EQUITY  590829107      21       1,084  SH        DEFINED  1                      1,084
METAL MGMT INC                  EQUITY  591097209     596     183,347  SH           SOLE  2       183,347
METASOLV INC.                   EQUITY  59139P104      41      10,338  SH        DEFINED  1                     10,338
METHODE ELECTRONICS, INC.,
 CLASS A                        EQUITY  591520200     156      12,191  SH        DEFINED  1                     12,191
METLIFE INC                     EQUITY  59156R108    9461     400,000  SH           SOLE  2       400,000
METLIFE INC                     EQUITY  59156R108   10526     365,500  SH           SOLE  2       365,500
METLIFE, INC.                   EQUITY  59156R108    9116     316,520  SH        DEFINED  1                    316,520
METRIS COMPANIES INC            EQUITY  591598107     757      91,126  SH        DEFINED  1                     91,126
METRO ONE TELECOMMUNICATIONS    EQUITY  59163F105      92       6,611  SH        DEFINED  1                      6,611
METRO-GOLDWYN-MAYER             EQUITY  591610100     293      25,036  SH        DEFINED  1                     25,036
METTLER-TOLEDO INTERNATIONAL    EQUITY  592688105      18         495  SH        DEFINED  1                        495
MGI PHARMA INC                  EQUITY  552880106      63       8,947  SH        DEFINED  1                      8,947
MGIC INVESTMENT CORP.           EQUITY  552848103    3486      51,418  SH        DEFINED  1                     51,418
MGM GRAND INC                   EQUITY  552953101      33         980  SH        DEFINED  1                        980
MICHAELS STORES INC COM         EQUITY  594087108      18     449,076  SH           SOLE  3       388,500                  56,976
MICHAELS STORES, INC.           EQUITY  594087108    3328      85,323  SH        DEFINED  1                     85,323
MICREL, INC.                    EQUITY  594793101    1719     119,571  SH        DEFINED  1                    119,571
MICRO GENERAL CORP              EQUITY  594838302      57       3,433  SH        DEFINED  1                      3,433
MICROCHIP TECHNOLOGY COM        EQUITY  595017104      20     717,467  SH           SOLE  3       608,450                 102,317
MICROCHIP TECHNOLOGY, INC.      EQUITY  595017104    7198     262,398  SH        DEFINED  1                    262,398
MICROMUSE INC                   EQUITY  595094103     124      26,673  SH        DEFINED  1                     26,673
MICRON TECHNOLOGY INC           EQUITY  595112103    9681     478,800  SH           SOLE  2       478,800
MICRON TECHNOLOGY, INC.         EQUITY  595112103    7138     353,020  SH        DEFINED  1                    353,020
MICROS SYSTEMS, INC.            EQUITY  594901100     164       5,920  SH        DEFINED  1                      5,920
MICROSEMI CORP.                 EQUITY  595137100      68      10,310  SH        DEFINED  1                     10,310
Microsoft Corp                  EQUITY  594918104    1094      20,000  SH        DEFINED  4                     20,000
MICROSOFT CORP                  EQUITY  594918104   22154     405,000  SH           SOLE  2       405,000
MICROSOFT CORP                  EQUITY  594918104   56271   1,028,798  SH           SOLE  2     1,028,798
MICROSOFT CORP.                 EQUITY  594918104  196004   3,564,980  SH        DEFINED  1                  3,564,980
MICROTUNE INC                   EQUITY  59514P109     139      15,561  SH        DEFINED  1                     15,561



                                                                                          
MICROTUNE INC DEL COM           EQUITY  59514P109       5     527,300  SH           SOLE  3       527,300
MID ATLANTIC MED SERVICES, INC  EQUITY  59523C107      21         657  SH        DEFINED  1                        657
MID ATLANTIC REALTY TRUST       EQUITY  595232109     110       6,222  SH        DEFINED  1                      6,222
MID STATE BANCSHARES            EQUITY  595440108     166       8,598  SH        DEFINED  1                      8,598
MID-AMERICA APT. COMMUNITIES    EQUITY  59522J103     134       5,026  SH        DEFINED  1                      5,026
MIDAS, INC.                     EQUITY  595626102      25       1,978  SH        DEFINED  1                      1,978
MIDDLESEX WATER CO              EQUITY  596680108      72       2,735  SH        DEFINED  1                      2,735
MIDLAND CO COM                  EQUITY  597486109      70       1,394  SH        DEFINED  1                      1,394
MIDWAY GAMES INC.               EQUITY  598148104      83       9,816  SH        DEFINED  1                      9,816
MIDWEST BANC HOLDINGS INC.      EQUITY  598251106      66       2,202  SH        DEFINED  1                      2,202
MIDWEST EXPRESS HOLDINGS, INC.  EQUITY  597911106      55       4,170  SH        DEFINED  1                      4,170
MILACRON, INC.                  EQUITY  598709103      62       6,103  SH        DEFINED  1                      6,103
MILLENNIUM CHEMICALS INC.       EQUITY  599903101     316      22,465  SH        DEFINED  1                     22,465
MILLENNIUM PHARMACEUTICALS, IN  EQUITY  599902103    4531     372,942  SH        DEFINED  1                    372,942
MILLIPORE CORP.                 EQUITY  601073109     769      24,053  SH        DEFINED  1                     24,053
MILLS CORP COM                  EQUITY  601148109       4     136,400  SH           SOLE  3       110,300                  26,100
MILLS CORP.                     EQUITY  601148109     242       7,803  SH        DEFINED  1                      7,803
MIM CORP                        EQUITY  553044108      99       8,183  SH        DEFINED  1                      8,183
MINAS BUENAVENTURA-SPON ADR     EQUITY  204448104     947      37,000  SH        DEFINED  1                     37,000
MINE SAFETY APPLIANCES CO.      EQUITY  602720104     112       2,803  SH        DEFINED  1                      2,803
MINERALS TECHNOLOGIES, INC.     EQUITY  603158106    1647      33,395  SH        DEFINED  1                     33,395
MIPS TECHNOLOGIES INC           EQUITY  604567107      78      12,713  SH        DEFINED  1                     12,713
MIPS TECHNOLOGIES INC CL B      EQUITY  604567206     279      50,100  SH        DEFINED  1                     50,100
MIRANT CORP.                    EQUITY  604675108    2114     289,536  SH        DEFINED  1                    289,536
MISSION WEST PROPERTIES         EQUITY  605203108      63       5,155  SH        DEFINED  1                      5,155
MISSISSIPPI VALLEY BANCSHARES,  EQUITY  605720101     108       2,093  SH        DEFINED  1                      2,093
MKS INSTRUMENTS, INC.           EQUITY  55306N104       6         321  SH        DEFINED  1                        321
MOBILE MINI INC.                EQUITY  60740F105      76       4,421  SH        DEFINED  1                      4,421
MOBILE TELESYSTEMS-SP ADR       EQUITY  607409109    1609      53,105  SH        DEFINED  1                     53,105
MODINE MANUFACTURING CO.        EQUITY  607828100    1296      52,712  SH        DEFINED  1                     52,712
MODTECH HLDGS INC               EQUITY  60783C100      40       3,174  SH        DEFINED  1                      3,174
MOHAWK INDS INC COM             EQUITY  608190104      58     941,846  SH           SOLE  3       894,898                  44,848
MOHAWK INDUSTRIES, INC.         EQUITY  608190104    5348      86,916  SH        DEFINED  1                     86,916
MOLECULAR DEVICES CORP.         EQUITY  60851C107      97       5,458  SH        DEFINED  1                      5,458
MOLEX, INC.                     EQUITY  608554101    3062      91,333  SH        DEFINED  1                     91,333
MONACO COACH CORP               EQUITY  60886R103     182       8,527  SH        DEFINED  1                      8,527
MONARCH CASINO & RESOR          EQUITY  609027107      17       1,146  SH        DEFINED  1                      1,146
MONDAVI, ROBERT CORP. CLASS A   EQUITY  609200100     114       3,316  SH        DEFINED  1                      3,316
MONOLITHIC SYS TECHNOL          EQUITY  609842109      72       6,395  SH        DEFINED  1                      6,395
MONRO MUFFLER BRAKE IN          EQUITY  610236101      44       1,928  SH        DEFINED  1                      1,928
MONSANTO CO                     EQUITY  61166W101      10         559  SH        DEFINED  1                        559
MONTEREY PASTA CO               EQUITY  612570101      47       5,015  SH        DEFINED  1                      5,015
MONY GROUP, INC.                EQUITY  615337102    2134      62,751  SH        DEFINED  1                     62,751
MOODY'S CORP.                   EQUITY  615369105    3533      71,006  SH        DEFINED  1                     71,006
MOOG INC.                       EQUITY  615394202     231       5,385  SH        DEFINED  1                      5,385
MORGAN STANLEY                  EQUITY  617446448   12372     287,200  SH           SOLE  2       287,200
MORGAN STANLEY                  EQUITY  617446448   21550     500,240  SH        DEFINED  1                    500,240
MORGAN STANLEY DEAN WITTER      EQUITY  617446448    5385     125,000  SH           SOLE  2       125,000
MORGAN STANLEY DEAN WITTER &
  C REPO                        EQUITY  568427108      27       2,353  SH        DEFINED  1                      2,353
MORGAN STANLY DN WTTR DISCVR    EQUITY  651229106     577      13,840  SH           SOLE  2        13,840
MOSSIMO INC                     EQUITY  619696107      16       1,746  SH        DEFINED  1                      1,746
MOTHERS WK INC                  EQUITY  619903107      28         719  SH        DEFINED  1                        719
MOTOROLA, INC.                  EQUITY  620076109   17215   1,179,895  SH        DEFINED  1                   1,179,895
MOVADO GROUP, INC.              EQUITY  624580106      73       2,918  SH        DEFINED  1                      2,918
MOVIE GALLERY, INC.             EQUITY  624581104     130       6,171  SH        DEFINED  1                      6,171
MPS GROUP INC                   EQUITY  553409103    1361     160,103  SH        DEFINED  1                    160,103
MRO SOFTWARE                    EQUITY  55347W105      71       6,280  SH        DEFINED  1                      6,280
MRV COMMUNICATIONS, INC.        EQUITY  553477100      49      32,347  SH        DEFINED  1                     32,347
MSC INDUSTRIAL DIRECT CO.       EQUITY  553530106     194       9,950  SH        DEFINED  1                      9,950
MSC SOFTWARE CORPORATION        EQUITY  553531104      81       9,087  SH        DEFINED  1                      9,087



                                                                                          
MTR GAMING GROUP INC            EQUITY  553769100     125       7,500  SH        DEFINED  1                      7,500
MTS SYSTEMS CORP.               EQUITY  553777103      94       7,517  SH        DEFINED  1                      7,517
MUELLER INDUSTRIES, INC.        EQUITY  624756102     319      10,037  SH        DEFINED  1                     10,037
MULTIMEDIA GAMES INC            EQUITY  625453105      80       3,654  SH        DEFINED  1                      3,654
MURPHY OIL CORP.                EQUITY  626717102    4860      58,915  SH        DEFINED  1                     58,915
MYERS INDUSTRIES, INC.          EQUITY  628464109      90       5,280  SH        DEFINED  1                      5,280
MYKROLIS CORP                   EQUITY  62852P103     167      14,159  SH        DEFINED  1                     14,159
MYLAN LABORATORIES INC.         EQUITY  628530107    5096     162,557  SH        DEFINED  1                    162,557
MYRIAD GENETICS INC             EQUITY  62855J104     173       8,493  SH        DEFINED  1                      8,493
MYRIAD GENETICS INC             EQUITY  62855J104    1015      49,900  SH           SOLE  2        49,900
NABI BIOPHARMACEUTICALS         EQUITY  629519109      74      13,790  SH        DEFINED  1                     13,790
NABORS INDUSTRIES LTD           EQUITY  G6359F103    6001     170,000  SH           SOLE  2       170,000
NABORS INDUSTRIES LTD           EQUITY  G6359F103   33895     960,200  SH           SOLE  2       960,200
NABORS INDUSTRIES LTD           EQUITY  G6359F103      40       1,115  SH           SOLE  2         1,115
NACCO INDUSTRIES, INC. CLASS A  EQUITY  629579103     111       1,917  SH        DEFINED  1                      1,917
NANOMETRICS INC.                EQUITY  630077105      41       2,572  SH        DEFINED  1                      2,572
NAPRO BIOTHERAPEUTICS INC       EQUITY  630795102      60       9,108  SH        DEFINED  1                      9,108
NARA BANCORP INC                EQUITY  63080P105      33       1,423  SH        DEFINED  1                      1,423
NASB FINL INC                   EQUITY  628968109      24       1,088  SH        DEFINED  1                      1,088
NASHFINCH CO.                   EQUITY  631158102     125       3,922  SH        DEFINED  1                      3,922
NASSDA CORP                     EQUITY  63172M101      22       1,786  SH        DEFINED  1                      1,786
NASTECH PHARMACEUTICAL          EQUITY  631728409      46       2,820  SH        DEFINED  1                      2,820
NATCO GROUP INC                 EQUITY  63227W203      28       3,273  SH        DEFINED  1                      3,273
NATIONAL BEVERAGE CORP.         EQUITY  635017106      18       1,285  SH        DEFINED  1                      1,285
NATIONAL CITY CORP              EQUITY  635405103    2394      72,000  SH           SOLE  2        72,000
NATIONAL CITY CORP.             EQUITY  635405103    9255     278,360  SH        DEFINED  1                    278,360
NATIONAL COMMERCE BANCORP.      EQUITY  63545P104    7011     266,585  SH        DEFINED  1                    266,585
NATIONAL DATA CORP.             EQUITY  639480102     321      11,497  SH        DEFINED  1                     11,497
NATIONAL EQUIPMENT SERVICES     EQUITY  635847106     116      75,000  SH        DEFINED  1                     75,000
NATIONAL FUEL GAS CO.           EQUITY  636180101    4892     217,336  SH        DEFINED  1                    217,336
NATIONAL HEALTH INVESTORS, INC  EQUITY  63633D104    1245      77,803  SH        DEFINED  1                     77,803
NATIONAL HEALTH REALTY          EQUITY  635905102      40       2,116  SH        DEFINED  1                      2,116
NATIONAL HEALTHCARE CORP        EQUITY  635906100      64       2,999  SH        DEFINED  1                      2,999
NATIONAL INSTRUMENTS CORP.      EQUITY  636518102    2152      66,106  SH        DEFINED  1                     66,106
NATIONAL PENN BANCSHARES, INC.  EQUITY  637138108     166       6,351  SH        DEFINED  1                      6,351
NATIONAL PRESTO INDUSTRIES      EQUITY  637215104      54       1,683  SH        DEFINED  1                      1,683
NATIONAL PROCESSING INC         EQUITY  637229105       3         104  SH        DEFINED  1                        104
NATIONAL SEMICONDUCTOR CORP.    EQUITY  637640103    2418      82,902  SH        DEFINED  1                     82,902
NATIONAL WESTERN LIFE INS. CO.
 CLASS                          EQUITY  638522102      89         770  SH        DEFINED  1                        770
NATIONAL-OILWELL INC COM        EQUITY  637071101      23   1,070,032  SH           SOLE  3     1,054,232                  15,800
NATIONAL-OILWELL, INC.          EQUITY  637071101   24580   1,167,694  SH        DEFINED  1                   1,167,694
NATIONWIDE FINANCIAL            EQUITY  638612101      12         299  SH        DEFINED  1                        299
NATIONWIDE HEALTH PROPERTIES    EQUITY  638620104    2365     126,109  SH        DEFINED  1                    126,109
NATURES SUNSHINE PRODUCTS, INC  EQUITY  639027101      46       4,105  SH        DEFINED  1                      4,105
NAUTICA ENTERPRISES, INC.       EQUITY  639089101     116       8,967  SH        DEFINED  1                      8,967
NAUTILUS GROUP INC              EQUITY  63910B102     327      10,677  SH        DEFINED  1                     10,677
NAVIGANT CONSULTING CO.         EQUITY  63935N107      97      13,926  SH        DEFINED  1                     13,926
NAVIGANT INTERNATIONAL, INC.    EQUITY  63935R108      67       4,321  SH        DEFINED  1                      4,321
NAVIGATORS GROUP INC            EQUITY  638904102      39       1,442  SH        DEFINED  1                      1,442
NAVISTAR INTERNATIONAL CORP.    EQUITY  63934E108     894      27,947  SH        DEFINED  1                     27,947
NBC CAPITAL CORP                EQUITY  628729105      71       1,871  SH        DEFINED  1                      1,871
NBT BANCORP, INC.               EQUITY  628778102     193      10,674  SH        DEFINED  1                     10,674
NBTY, INC.                      EQUITY  628782104     226      14,607  SH        DEFINED  1                     14,607
NCI BUILDING SYSTEMS, INC.      EQUITY  628852105     117       6,553  SH        DEFINED  1                      6,553
NCO GROUP, INC.                 EQUITY  628858102     866      39,771  SH        DEFINED  1                     39,771
NCR CORP.                       EQUITY  62886E108    1570      45,377  SH        DEFINED  1                     45,377
NEIMAN MARCUS GROUP INC CL A    EQUITY  640204202    2145      61,823  SH        DEFINED  1                     61,823
NEOFORMA INC                    EQUITY  640475505      35       2,669  SH        DEFINED  1                      2,669
NEOPHARM INC                    EQUITY  640919106      51       4,031  SH        DEFINED  1                      4,031
NEOSE TECHNOLOGIES, INC.        EQUITY  640522108      43       3,904  SH        DEFINED  1                      3,904














                                                                                         
NET.B@NK INC                            EQUITY  640933107    203     17,455  SH   DEFINED  1                  17,455
NET2PHONE, INC.                         EQUITY  64108N106     27      6,328  SH   DEFINED  1                   6,328
NETEGRITY, INC.                         EQUITY  64110P107     59      9,580  SH   DEFINED  1                   9,580
NETFLIX.COM INC                         EQUITY  64110L106     28      1,972  SH   DEFINED  1                   1,972
NETIQ CORP.                             EQUITY  64115P102    319     14,108  SH   DEFINED  1                  14,108
NETRATINGS INC                          EQUITY  64116M108     25      2,728  SH   DEFINED  1                   2,728
NETRO CORP                              EQUITY  64114R109     31     13,732  SH   DEFINED  1                  13,732
NETSCOUT SYSTEMS INC                    EQUITY  64115T104     44      6,430  SH   DEFINED  1                   6,430
NETSCREEN TECHNOLOGIES INC              EQUITY  64117V107     33      3,582  SH   DEFINED  1                   3,582
NETWORK APPLIANCE INC                   EQUITY  64120L104   2116    170,100  SH      SOLE  2     170,100
NETWORK APPLIANCE, INC.                 EQUITY  64120L104   2035    163,579  SH   DEFINED  1                 163,579
Network Associates                      EQUITY  640938106    771     40,000  SH   DEFINED  4                  40,000
NETWORKS ASSOCIATES, INC.               EQUITY  640938106   3654    189,645  SH   DEFINED  1                 189,645
NETWORKS ASSOCS INC                     EQUITY  640938106   2443    126,800  SH      SOLE  2     126,800
NEUBERGER BERMAN INC                    EQUITY  641234109   3323     90,781  SH   DEFINED  1                  90,781
NEUROCRINE BIOSCIENCES, INC.            EQUITY  64125C109    288     10,047  SH   DEFINED  1                  10,047
NEUROGEN CORP.                          EQUITY  64124E106     54      4,619  SH   DEFINED  1                   4,619
NEW CENTURY FINANCIAL CORP              EQUITY  64352D101    196      5,616  SH   DEFINED  1                   5,616
NEW ENGLAND BUSINESS SERVICE            EQUITY  643872104    104      4,128  SH   DEFINED  1                   4,128
NEW JERSEY RESOURCES CORP.              EQUITY  646025106    287      9,623  SH   DEFINED  1                   9,623
NEW PLAN EXCEL REALTY TRUST             EQUITY  648053106     23  1,122,100  SH      SOLE  3     929,264               192,836
NEW PLAN EXCEL REALTY TRUST             EQUITY  648053106   2551    122,471  SH   DEFINED  1                 122,471
NEW YORK COMMUNITY BANCORP INC          EQUITY  649445103   3757    138,633  SH   DEFINED  1                 138,633
NEW YORK TIMES CO                       EQUITY  650111107   2575     50,000  SH      SOLE  2      50,000
NEW YORK TIMES CO                       EQUITY  650111107   7071    137,300  SH      SOLE  2     137,300
NEW YORK TIMES CO. CLASS  A             EQUITY  650111107   3594     69,796  SH   DEFINED  1                  69,796
NEWELL RUBBERMAID INC                   EQUITY  651229106   6837    195,000  SH      SOLE  2     195,000
NEWELL RUBBERMAID INC                   EQUITY  651229106  28002    798,680  SH      SOLE  2     798,680
NEWELL RUBBERMAID, INC.                 EQUITY  651229106   4330    123,505  SH   DEFINED  1                 123,505
NEWFIELD EXPLORATION                    EQUITY  651290108     23        628  SH   DEFINED  1                     628
NEWFOCUS, INC.                          EQUITY  644383101     71     23,764  SH   DEFINED  1                  23,764
NEWMONT MINING CORP COM                 EQUITY  651639106      4    135,000  SH      SOLE  3     135,000
NEWMONT MINING CORP HLDG CO             EQUITY  651639106   4800    182,293  SH   DEFINED  1                 182,293
NEWPARK RESOURCES, INC.                 EQUITY  651718504    189     25,649  SH   DEFINED  1                  25,649
NEWPORT CORP                            EQUITY  651824104    970     61,932  SH   DEFINED  1                  61,932
NEWTEK CAPITAL INC                      EQUITY  652526104   3376    803,805  SH   DEFINED  1                 803,805
NEXT LEVEL COMMUNICATION                EQUITY  65333U104      6      5,905  SH   DEFINED  1                   5,905
NEXTEL COMMUNICATIONS, INC. CLASS A     EQUITY  65332V103   1374    428,009  SH   DEFINED  1                 427,969
NEXTEL PARTNERS INC                     EQUITY  65333F107    223     74,140  SH   DEFINED  1                  74,140
NIC INC                                 EQUITY  62914B100     13      8,592  SH   DEFINED  1                   8,592
NICOR, INC.                             EQUITY  654086107    936     20,460  SH   DEFINED  1                  20,460
Nike Inc                                EQUITY  654106103   1341     25,000  SH   DEFINED  4                  25,000
NIKE INC                                EQUITY  654106103   5460    101,775  SH      SOLE  2     101,775
NIKE INC                                EQUITY  654106103   7815    145,500  SH      SOLE  2     145,500
NIKE, INC. CLASS  B                     EQUITY  654106103   6462    120,450  SH   DEFINED  1                 120,450
NISOURCE, INC.                          EQUITY  65473P105   2123     97,233  SH   DEFINED  1                  97,233
NITCHES INC                             EQUITY  65476M109    562     93,050  SH   DEFINED  1                  93,050
NL INDUSTRIES, INC.                     EQUITY  629156407     46      3,034  SH   DEFINED  1                   3,034
NN INC                                  EQUITY  629337106     52      4,058  SH   DEFINED  1                   4,058
NOBLE CORPORATION                       EQUITY  G65422100   2329     60,340  SH   DEFINED  1                  60,340
NOBLE ENERGYINC                         EQUITY  655044105   2657     73,707  SH   DEFINED  1                 73,707
NOBLE ENRGY INC COM                     EQUITY  655044105     40  1,117,378  SH      SOLE  3    1,097,978                19,400
NOKIA CORP A ADR                        EQUITY  654902204     27      1,890  SH      SOLE  2       1,890
NOKIA CORP SPON-ADR                     EQUITY  654902204   2690    185,780  SH   DEFINED  1                 185,780
NORDSON CORP.                           EQUITY  655663102   1251     50,748  SH   DEFINED  1                  50,748
NORDSTROM, INC.                         EQUITY  655664100   1400     61,809  SH   DEFINED  1                  61,809
NORFOLK SOUTHERN CORP.                  EQUITY  655844108   4201    179,695  SH   DEFINED  1                 179,695
NORTEK, INC.                            EQUITY  656559101    137      3,033  SH   DEFINED  1                   3,033
NORTEL NETWORKS CORP                    EQUITY  656568102      6      3,550  SH      SOLE  2       3,550
NORTEL NETWORKS CORP.                   EQUITY  656568102   2725  1,879,540  SH   DEFINED  1               1,879,540



                                                                                         
NORTH FORK BANCORPORATION               EQUITY  659424105   1194     30,000  SH      SOLE  2      30,000
NORTH FORK BANCORPORATION INC.          EQUITY  659424105   8430    211,748  SH   DEFINED  1                 211,748
NORTH PITTSBURGH SYSTEMS                EQUITY  661562108     86      5,358  SH   DEFINED  1                   5,358
NORTHEAST UTILITIES                     EQUITY  664397106   3344    177,775  SH   DEFINED  1                 177,775
NORTHERN TRUST CORP.                    EQUITY  665859104   4565    103,610  SH   DEFINED  1                 103,610
NORTHROP GRUMMAN CORP                   EQUITY  666807102   3125     25,000  SH      SOLE  2      25,000
NORTHROP GRUMMAN CORP                   EQUITY  666807102   6125     49,000  SH      SOLE  2      49,000
NORTHROP GRUMMAN CORP.                  EQUITY  666807102   6361     50,890  SH   DEFINED  1                  50,890
NORTHWEST AIRLINES CORP CL-A            EQUITY  667280101      9        778  SH   DEFINED  1                     778
NORTHWEST BANCORP INC.                  EQUITY  667328108     51      3,869  SH   DEFINED  1                   3,869
NORTHWEST NATURAL GAS CO.               EQUITY  667655104    280      9,727  SH   DEFINED  1                   9,727
NORTHWEST PIPE COMPANY                  EQUITY  667746101     48      2,055  SH   DEFINED  1                   2,055
NORTHWESTERN CORP.                      EQUITY  668074107   9997    589,783  SH   DEFINED  1                 589,783
NOVADIGM INC                            EQUITY  669937104     35      4,829  SH   DEFINED  1                   4,829
NOVASTAR FINL INC                       EQUITY  669947400    133      3,718  SH   DEFINED  1                   3,718
NOVELL, INC .                           EQUITY  670006105    975    303,801  SH   DEFINED  1                 303,801
NOVELLUS SYS INC                        EQUITY  670008101   4080    120,000  SH      SOLE  2     120,000
NOVELLUS SYS INC                        EQUITY  670008101   7749    227,900  SH      SOLE  2     227,900
NOVELLUS SYSTEMS, INC.                  EQUITY  670008101   2524     74,237  SH   DEFINED  1                  74,237
NOVEN PHARMACEUTICALS, INC.             EQUITY  670009109    189      7,412  SH   DEFINED  1                   7,412
NPS  PHARMACEUTICALS INC.               EQUITY  62936P103    141      9,212  SH   DEFINED  1                   9,212
NS GROUP, INC.                          EQUITY  628916108     58      6,105  SH   DEFINED  1                   6,105
NU HORIZONS ELEC CORP                   EQUITY  669908105     42      5,119  SH   DEFINED  1                   5,119
NU SKIN ENTERPRISES, INC. CLASS A       EQUITY  67018T105    230     15,784  SH   DEFINED  1                  15,784
NUANCE COMMUNICATIONS, INC.             EQUITY  669967101     43     10,316  SH   DEFINED  1                  10,316
NUCOR CORP.                             EQUITY  670346105   2350     36,139  SH   DEFINED  1                  36,139
NUEVO ENERGY CO.                        EQUITY  670509108     89      5,612  SH   DEFINED  1                   5,612
NUI CORPORATION                         EQUITY  629431107    155      5,626  SH   DEFINED  1                   5,626
NUMERICAL TECHNOLOGIES, INC.            EQUITY  67053T101     35      8,673  SH   DEFINED  1                   8,673
NVIDIA CORP                             EQUITY  67066G104   1731    100,783  SH   DEFINED  1                 100,783
NVR, INC.                               EQUITY  62944T105     24         75  SH   DEFINED  1                      75
NYFIX INC                               EQUITY  670712108     76      8,922  SH   DEFINED  1                   8,922
NYMAGIC, INC.                           EQUITY  629484106      8        513  SH   DEFINED  1                     513
O CHARLEYS INC COM                      EQUITY  670823103      8    305,000  SH      SOLE  3     305,000
OAK TECHNOLOGY, INC.                    EQUITY  671802106     90     19,946  SH   DEFINED  1                  19,946
OAKLEY INC.                             EQUITY  673662102    159      9,154  SH   DEFINED  1                   9,154
OCCIDENTAL PETROLEUM CORP.              EQUITY  674599105   4986    166,260  SH   DEFINED  1                 166,260
Occidental Petroleum Corporation USD.   EQUITY  674599105     61      2,020  SH   DEFINED  1                   2,020
OCEAN ENERGY INC NEW                    EQUITY  67481E106   2167    100,000  SH      SOLE  2     100,000
OCEAN ENERGY INC NEW                    EQUITY  67481E106   5498    253,700  SH      SOLE  2     253,700
OCEAN ENERGY INC TEX COM                EQUITY  67481E106     28  1,287,300  SH      SOLE  3   1,142,500               133,100
OCEAN ENERGY, INC.                      EQUITY  67481E106   4905    226,367  SH   DEFINED  1                 226,367
OCEANEERING INTERNATIONAL, INC          EQUITY  675232102    222      8,220  SH   DEFINED  1                   8,220
OCEANFIRST FINANCIAL CORP               EQUITY  675234108     90      3,729  SH   DEFINED  1                   3,729
O'CHARLEY'S INC.                        EQUITY  670823103    143      5,650  SH   DEFINED  1                   5,650
OCTEL CORP.                             EQUITY  675727101     89      3,516  SH   DEFINED  1                   3,516
OCULAR SCIENCES, INC.                   EQUITY  675744106    160      6,054  SH   DEFINED  1                   6,054
OCWEN FINANCIAL CORP.                   EQUITY  675746101     73     13,317  SH   DEFINED  1                  13,317
ODYSSEY HEALTHCARE INC                  EQUITY  67611V101    154      4,237  SH   DEFINED  1                   4,237
ODYSSEY HEALTHCARE INC                  EQUITY  67611V101      4    105,200  SH      SOLE  3     105,200
ODYSSEY RE HLDGS CORP                   EQUITY  67612W108    104      5,978  SH   DEFINED  1                   5,978
OFFICE DEPOT INC                        EQUITY  676220106   4536    270,000  SH      SOLE  2     270,000
OFFICE DEPOT INC                        EQUITY  676220106  15555    925,900  SH      SOLE  2     925,900
OFFICE DEPOT, INC.                      EQUITY  676220106   2399    142,791  SH   DEFINED  1                 142,791
OFFICEMAX, INC.                         EQUITY  67622M108    242     41,110  SH   DEFINED  1                  41,110
OFFSHORE LOGISTICS INC                  EQUITY  676255102   1555     65,100  SH      SOLE  2      65,100
OFFSHORE LOGISTICS, INC.                EQUITY  676255102    167      7,007  SH   DEFINED  1                   7,007
OGE ENERGY CORP.                        EQUITY  670837103   6256    273,679  SH   DEFINED  1                 273,679
OHIO CASUALTY CORP.                     EQUITY  677240103   1991     95,251  SH   DEFINED  1                  95,251
OIL STATES INTERNATIONAL INC            EQUITY  678026105     72      6,077  SH   DEFINED  1                   6,077



                                                                                         
OLD NATL BANCORP                        EQUITY  680033107     23        885  SH   DEFINED  1                     885
OLD REPUBLIC INTL CORP.                 EQUITY  680223104   4896    155,427  SH   DEFINED  1                 155,427
OLD SECOND BANCORP INC                  EQUITY  680277100     69      1,880  SH   DEFINED  1                   1,880
OLIN CORP.                              EQUITY  680665205   1698     76,641  SH   DEFINED  1                  76,641
OM GROUP INC                            EQUITY  670872100     25        406  SH   DEFINED  1                     406
OMEGA FINANCIAL CORP.                   EQUITY  682092101    107      2,941  SH   DEFINED  1                   2,941
OMEGA HEALTHCARE INVESTORS              EQUITY  681936100     44      5,740  SH   DEFINED  1                   5,740
OMNICARE, INC.                          EQUITY  681904108   3190    121,466  SH   DEFINED  1                 121,466
OMNICELL INC                            EQUITY  68213N109     36      5,184  SH   DEFINED  1                   5,184
OMNICOM GROUP, INC.                     EQUITY  681919106   4626    101,010  SH   DEFINED  1                 101,010
OMNIVISION TECHNOLOGIE                  EQUITY  682128103    101      7,077  SH   DEFINED  1                   7,077
OMNOVA SOLUTIONS                        EQUITY  682129101    119     14,138  SH   DEFINED  1                  14,138
ON ASSIGNMENT, INC.                     EQUITY  682159108    134      7,538  SH   DEFINED  1                   7,538
ON SEMICONDUCTOR CORPORATION            EQUITY  682189105     21      9,955  SH   DEFINED  1                   9,955
ONEIDA LTD.                             EQUITY  682505102     99      5,152  SH   DEFINED  1                   5,152
ONEOK, INC.                             EQUITY  682680103   2450    111,634  SH   DEFINED  1                 111,634
ONYX PHARMACEUTICALS INC                EQUITY  683399109     24      4,236  SH   DEFINED  1                   4,236
ONYX SOFTWARE CORP.                     EQUITY  683402101     53     15,671  SH   DEFINED  1                  15,671
OPENWAVE SYSTEMS INC.                   EQUITY  683718100    518     92,394  SH   DEFINED  1                  92,394
OPLINK COMMUNICATIONS INC               EQUITY  68375Q106     27     36,661  SH   DEFINED  1                  36,661
OPNET TECHNOLOGIES                      EQUITY  683757108     32      3,607  SH   DEFINED  1                   3,607
OPTICAL COMMUNICATION PROD              EQUITY  68382T101      7      5,331  SH   DEFINED  1                   5,331
OPTION CARE INC                         EQUITY  683948103     62      4,544  SH   DEFINED  1                   4,544
OPTION CARE INC COM                     EQUITY  683948103      6    439,700  SH      SOLE  3     439,700
Oracle                                  EQUITY  68389X105   1222    129,000  SH   DEFINED  4                 129,000
ORACLE CORP.                            EQUITY  68389X105  37791  3,990,650  SH   DEFINED  1               3,990,650
ORASURE TECHNOLOGIES INC                EQUITY  68554V108     61      9,353  SH   DEFINED  1                   9,353
ORBITAL SCIENCES CORP.                  EQUITY  685564106    339     42,484  SH   DEFINED  1                  42,484
OREGON STEEL MILLS, INC.                EQUITY  686079104     55      9,209  SH   DEFINED  1                   9,209
O'REILLY AUTOMOTIVE, INC.               EQUITY  686091109     15        558  SH   DEFINED  1                     558
ORIENTAL FINANCIAL GROUP                EQUITY  68618W100    110      4,344  SH   DEFINED  1                   4,344
ORTHODONTIC CENTERS OF AMERICA          EQUITY  68750P103    393     17,038  SH   DEFINED  1                  17,038
ORTHOLOGIC CORP                         EQUITY  68750J107     63     11,397  SH   DEFINED  1                  11,397
OSHKOSH B'GOSH, INC. CLASS A            EQUITY  688222207    159      3,662  SH   DEFINED  1                   3,662
OSHKOSH TRUCK CORP CL B                 EQUITY  688239201    317      5,368  SH   DEFINED  1                   5,368
OSI PHARMACEUTICALS                     EQUITY  671040103    311     12,955  SH   DEFINED  1                  12,955
OSI PHARMACEUTICALS INC                 EQUITY  671040103   2402    100,000  SH      SOLE  2     100,000
OSI SYSTEMS INC                         EQUITY  671044105     47      2,392  SH   DEFINED  1                   2,392
OSMONICS INC                            EQUITY  688350107     60      3,788  SH   DEFINED  1                   3,788
OTTER TAIL POWER CO.                    EQUITY  689648103    279      8,855  SH   DEFINED  1                   8,855
OUTBACK STEAKHOUSE INC.                 EQUITY  689899102   3494     99,550  SH   DEFINED  1                  99,550
OVERLAND DATA INC                       EQUITY  690213103     45      2,715  SH   DEFINED  1                   2,715
OVERSEAS SHIPHOLDING GROUP              EQUITY  690368105   1132     53,716  SH   DEFINED  1                  53,716
OVERTURE SERVICES INC                   EQUITY  69039R100    455     18,213  SH   DEFINED  1                  18,213
OWENS & MINOR, INC.                     EQUITY  690732102    240     12,164  SH   DEFINED  1                  12,164
OWENS-ILLINOIS, INC.                    EQUITY  690768403     22      1,608  SH   DEFINED  1                   1,608
OXFORD HEALTH PLANS, INC.               EQUITY  691471106   6949    149,575  SH   DEFINED  1                 149,575
OXFORD INDS INC.                        EQUITY  691497309     61      2,168  SH   DEFINED  1                   2,168
P A M TRANSN SVCS INC                   EQUITY  693149106     26      1,100  SH   DEFINED  1                   1,100
P G & E CORP.                           EQUITY  69331C108   3413    190,764  SH   DEFINED  1                 190,764
P. F. CHANGS CHINA BISTRO INC.          EQUITY  69333Y108    181      5,761  SH   DEFINED  1                   5,761
PACCAR INC                              EQUITY  693718108   1332     30,000  SH      SOLE  2      30,000
PACCAR INC                              EQUITY  693718108   4175     94,050  SH      SOLE  2      94,050
PACCAR, INC                             EQUITY  693718108   2538     57,186  SH   DEFINED  1                  57,186
PACER INTL INC TN                       EQUITY  69373H106   2469    143,200  SH      SOLE  2     143,200
PACIFIC CAPITAL BANCORP                 EQUITY  69404P101    298     12,487  SH   DEFINED  1                  12,487
PACIFIC NORTHWEST BANCORP               EQUITY  69466M103    172      5,500  SH   DEFINED  1                   5,500
PACIFIC SUNWEAR OF CALIFORNIA           EQUITY  694873100    238     10,756  SH   DEFINED  1                  10,756
PACIFIC UN BK CALIF                     EQUITY  695025106     66      3,785  SH   DEFINED  1                   3,785
PACIFICARE HEALTH SYSTEMS INC CLASS A   EQUITY  695112102   1549     56,940  SH   DEFINED  1                  56,940



                                                                                         
PACKAGING CORP OF AMERICA               EQUITY  695156109   2700    135,755  SH   DEFINED  1                 135,755
PACKETEER, INC                          EQUITY  695210104     35      8,030  SH   DEFINED  1                   8,030
PACTIV CORPORATION                      EQUITY  695257105   1744     73,278  SH   DEFINED  1                  73,278
PAIN THERAPEUTICS INC                   EQUITY  69562K100     48      5,696  SH   DEFINED  1                   5,696
PALL CORP                               EQUITY  696429307   1176     56,698  SH   DEFINED  1                  56,698
PALM HARBOR HOMES, INC                  EQUITY  696639103    122      6,154  SH   DEFINED  1                   6,154
PALM, INC                               EQUITY  696642107   1011    574,710  SH   DEFINED  1                 574,710
PAN PACIFIC RETAIL COM                  EQUITY  69806L104     12    342,400  SH      SOLE  3     277,385                65,015
PAN PACIFIC RETAIL PROPERTIES           EQUITY  69806L104    406     11,891  SH   DEFINED  1                  11,891
PANAMSAT CORP                           EQUITY  697933109    139      6,133  SH   DEFINED  1                   6,133
PANERA BREAD COMPANY CL A               EQUITY  69840W108    282      8,190  SH   DEFINED  1                   8,190
PAPA JOHNS INTERNATIONAL, INC           EQUITY  698813102   1043     31,232  SH   DEFINED  1                  31,232
PARADYNE NETWORKS INC                   EQUITY  69911G107     39      9,795  SH   DEFINED  1                   9,795
PARAMETRIC TECHNOLOGY CORP.             EQUITY  699173100    737    214,974  SH   DEFINED  1                 214,974
PAREXEL INTERNATIONAL CORP.             EQUITY  699462107    117      8,444  SH   DEFINED  1                   8,444
PARK ELECTROCHEMICAL CORP.              EQUITY  700416209    161      6,093  SH   DEFINED  1                   6,093
PARK NATIONAL CORP.                     EQUITY  700658107     15        175  SH   DEFINED  1                     175
PARKER DRILLING CO.                     EQUITY  701081101     91     27,720  SH   DEFINED  1                  27,720
PARKER HANNIFIN CORP.                   EQUITY  701094104   3192     66,793  SH   DEFINED  1                  66,793
PARKERVISION, INC                       EQUITY  701354102     58      3,039  SH   DEFINED  1                   3,039
PARKVALE FINL CORP                      EQUITY  701492100     49      1,710  SH   DEFINED  1                   1,710
PARKWAY PROPERTIES, INC.                EQUITY  70159Q104    964     26,495  SH   DEFINED  1                  26,495
PARTNERS TRUST FINCL G                  EQUITY  70213A103     38      2,356  SH   DEFINED  1                   2,356
PARTY CITY CORP                         EQUITY  702145103     34      2,109  SH   DEFINED  1                   2,109
PATHMARK STORES INC                     EQUITY  70322A101    202     10,736  SH   DEFINED  1                  10,736
PATINA OIL & GAS CORP                   EQUITY  703224105    234      8,548  SH   DEFINED  1                   8,548
PATTERSON DENTAL CO.                    EQUITY  703412106   4393     87,291  SH   DEFINED  1                  87,291
PATTERSON UTI ENERGY INC                EQUITY  703481101   6259    221,700  SH      SOLE  2     221,700
PATTERSON-UTI ENERGY INC                EQUITY  703481101   2873    101,782  SH   DEFINED  1                 101,782
PAXAR CORP.                             EQUITY  704227107    878     52,396  SH   DEFINED  1                  52,396
PAXSON COMMUNICATIONS CORP.             EQUITY  704231109     60     10,980  SH   DEFINED  1                  10,980
PAYCHEX INC                             EQUITY  704326107   1787     57,100  SH      SOLE  2      57,100
PAYCHEX, INC.                           EQUITY  704326107   6725    214,910  SH   DEFINED  1                 214,910
PAYLESS SHOESOURCE, INC.                EQUITY  704379106   2117     36,729  SH   DEFINED  1                  36,729
PAYPAL INC                              EQUITY  704508100      2         76  SH   DEFINED  1                      76
PAYPAL INC COM                          EQUITY  704508100     28  1,398,628  SH      SOLE  3   1,357,800                40,828
PC CONNECTION INC                       EQUITY  69318J100     10      2,351  SH   DEFINED  1                   2,351
PC-TEL  INC.                            EQUITY  69325Q105     48      7,152  SH   DEFINED  1                   7,152
PDF SOLUTIONS INC                       EQUITY  693282105     31      4,269  SH   DEFINED  1                   4,269
PEABODY ENERGY CORP                     EQUITY  704549104      9        328  SH   DEFINED  1                     328
PEAPACK-GLADSTONE FINL                  EQUITY  704699107     66      1,071  SH   DEFINED  1                   1,071
PEC SOLUTIONS INC                       EQUITY  705107100     72      2,991  SH   DEFINED  1                   2,991
PEDIATRIX MEDICAL GROUP                 EQUITY  705324101    211      8,458  SH   DEFINED  1                   8,458
PEETS COFFEE & TEA INC                  EQUITY  705560100     57      3,098  SH   DEFINED  1                   3,098
PEGASUS SOLUTIONS INC.                  EQUITY  705906105    155      8,854  SH   DEFINED  1                   8,854
PEGASYSTEMS INC                         EQUITY  705573103     20      2,175  SH   DEFINED  1                   2,175
PENFORD CORP                            EQUITY  707051108     49      2,723  SH   DEFINED  1                   2,723
PENN ENGINERRING & MFG CORP             EQUITY  707389300     73      4,166  SH   DEFINED  1                   4,166
PENN NATIONAL GAMING, INC.              EQUITY  707569109    197     10,836  SH   DEFINED  1                  10,836
PENN TRAFFIC CO NEW                     EQUITY  707832200     38      3,811  SH   DEFINED  1                   3,811
PENN VIRGINIA CORPORATION               EQUITY  707882106    111      2,850  SH   DEFINED  1                   2,850
PENNFED FINANCIAL SVCS INC              EQUITY  708167101     50      1,780  SH   DEFINED  1                   1,780
PENNROCK FINL SVCS COR                  EQUITY  708352109     74      2,257  SH   DEFINED  1                   2,257
PENNSYLVANIA REAL ESTATE INV.           EQUITY  709102107    136      5,029  SH   DEFINED  1                   5,029
PENNZOIL-QUAKER STATE CO.               EQUITY  709323109   6458    299,963  SH   DEFINED  1                 299,963
PENTAIR INC COM                         EQUITY  709631105     31    647,776  SH      SOLE  3     629,700                18,076
PENTAIR INC.                            EQUITY  709631105   3058     63,612  SH   DEFINED  1                  63,612
PENTON MEDIA INC                        EQUITY  709668107     11      5,314  SH   DEFINED  1                   5,314
PENWEST PHARMACEUTICALS CO              EQUITY  709754105     96      4,942  SH   DEFINED  1                   4,942
PEOPLES BANCORP INC                     EQUITY  709789101     84      2,812  SH   DEFINED  1                   2,812



                                                                                         
PEOPLES BANK                            EQUITY  710198102      9        358  SH   DEFINED  1                     358
PEOPLES ENERGY CORP.                    EQUITY  711030106   1048     28,743  SH   DEFINED  1                  28,743
PEOPLES HOLDING COMPANY                 EQUITY  711148106     82      2,007  SH   DEFINED  1                   2,007
PEOPLESOFT, INC.                        EQUITY  712713106   5453    366,492  SH   DEFINED  1                 366,492
PEP BOYS-MANNY, MOE & JACK              EQUITY  713278109    289     17,144  SH   DEFINED  1                  17,144
PEPSI BOTTLING                          EQUITY  713409100   4056    131,694  SH   DEFINED  1                 131,694
PEPSIAMERICAS INC                       EQUITY  71343P200   2970    198,826  SH   DEFINED  1                 198,826
Pepsico                                 EQUITY  713448108   1928     40,000  SH   DEFINED  4                  40,000
PEPSICO INC                             EQUITY  713448108   8239    170,930  SH      SOLE  2     170,930
PEPSICO INC                             EQUITY  713448108  20592    427,205  SH      SOLE  2     427,205
PEPSICO, INC.                           EQUITY  713448108  45295    939,730  SH   DEFINED  1                 939,730
PEREGRINE PHARMACEUTICALS INC           EQUITY  713661106     40     34,084  SH   DEFINED  1                  34,084
PEREGRINE SYSTEMS, INC.                 EQUITY  71366Q101     21     68,667  SH   DEFINED  1                  68,667
PEREZ COMPANC SA- SPON ADR              EQUITY  71367B103     67     44,400  SH   DEFINED  1                  44,400
PERFORMANCE FOOD GROUP CO.              EQUITY  713755106     21        620  SH   DEFINED  1                     620
PERICOM SEMICONDUCTOR CORP              EQUITY  713831105     81      7,025  SH   DEFINED  1                   7,025
PERINI CORP                             EQUITY  713839108  18824  4,705,882  SH   DEFINED  1               4,705,882
PERKINELMER INC.                        EQUITY  714046109    642     58,055  SH   DEFINED  1                  58,055
PEROT SYSTEM CORP.                      EQUITY  714265105     11        965  SH   DEFINED  1                     965
PERRIGO CO.                             EQUITY  714290103   1488    114,466  SH   DEFINED  1                 114,466
PER-SE TECHNOLOGIES                     EQUITY  713569309    102     11,104  SH   DEFINED  1                  11,104
PETCO ANIMAL SUPPLIES                   EQUITY  716016209      5        202  SH   DEFINED  1                     202
PETROCHINA CO LTD ADR                   EQUITY  71646E100    752     34,240  SH   DEFINED  1                  34,240
PETROLEO BRASILEIRO S.A. - ADR          EQUITY  71654V101   1147     65,900  SH   DEFINED  1                  65,900
PETROLEO BRASILEIRO S.A. ADR            EQUITY  71654V408    538     28,520  SH   DEFINED  1                  28,520
PETROLEUM HELICOPTERS -VTG              EQUITY  716604103     30        899  SH   DEFINED  1                     899
PETROQUEST ENERGY INC                   EQUITY  716748108     54      9,656  SH   DEFINED  1                   9,656
PETSMART, INC                           EQUITY  716768106     30      1,857  SH   DEFINED  1                   1,857
PF CHANGS CHINA BISTRO COM              EQUITY  69333Y108      7    226,900  SH      SOLE  3     226,900
PFF BANCORP, INC.                       EQUITY  69331W104    155      4,041  SH   DEFINED  1                   4,041
PFIZER INC                              EQUITY  717081103  14551    415,751  SH      SOLE  2     415,751
PFIZER INC                              EQUITY  717081103  34958  1,000,459  SH      SOLE  2   1,000,459
PFIZER, INC.                            EQUITY  717081103 159089  4,545,403  SH   DEFINED  1               4,545,403
PHARMACEUTICAL PRODUCT DEVELOPMENT      EQUITY  717124101     17        654  SH   DEFINED  1                     654
PHARMACEUTICAL RES INC COM              EQUITY  717125108    179      6,436  SH   DEFINED  1                   6,436
PHARMACIA  CORP                         EQUITY  71713U102  12426    331,802  SH      SOLE  2     331,802
PHARMACIA CORP                          EQUITY  71713U102   4777    127,552  SH      SOLE  2     127,552
PHARMACIA CORPORATION                   EQUITY  71713U102  46996  1,254,910  SH   DEFINED  1               1,254,910
PHARMACOPEIA INC                        EQUITY  71713B104     71      8,364  SH   DEFINED  1                   8,364
PHASE METRICS INC COM CL A              EQUITY  717217103   3422    989,395  SH   DEFINED  1                 989,395
Phelps Dodge Corp  USD6.25              EQUITY  717265102     20        480  SH   DEFINED  1                     480
PHELPS DODGE CORP.                      EQUITY  717265102   1714     41,609  SH   DEFINED  1                  41,609
PHILADELPHIA CONS. HLDG. CO.            EQUITY  717528103    273      6,012  SH   DEFINED  1                   6,012
PHILADELPHIA SUBURBAN CORP.             EQUITY  718009608     17        826  SH   DEFINED  1                     826
PHILIP MORRIS COMPANIES, INC.           EQUITY  718154107  69021  1,580,150  SH   DEFINED  1               1,580,150
PHILIP MORRIS COS INC                   EQUITY  718154107   7291    166,925  SH      SOLE  2     166,925
PHILIP MORRIS COS INC                   EQUITY  718154107  29437    673,931  SH      SOLE  2     673,931
PHILLIPS PETROLEUM CO.                  EQUITY  718507106  10726    182,170  SH   DEFINED  1                 182,170
Phillips Petroleum Company Com USD1.2   EQUITY  718507106    122      2,070  SH   DEFINED  1                   2,070
PHILLIPS-VAN HEUSEN CORP.               EQUITY  718592108    128      8,223  SH   DEFINED  1                   8,223
PHOENIX COMPANIES INC                   EQUITY  71902E109     27      1,450  SH   DEFINED  1                   1,450
PHOENIX TECHNOLOGIES, LTD.              EQUITY  719153108     92      9,249  SH   DEFINED  1                   9,249
PHOTON DYNAMICS                         EQUITY  719364101    182      6,069  SH   DEFINED  1                   6,069
PHOTRONICS INC.                         EQUITY  719405102    178      9,420  SH   DEFINED  1                   9,420
PICO HOLDINGS INC                       EQUITY  693366205     39      2,331  SH   DEFINED  1                   2,331
PIEDMONT NATURAL GAS CO., INC.          EQUITY  720186105    406     10,988  SH   DEFINED  1                  10,988
PIER 1 IMPORTS INC                      EQUITY  720279108   1260     60,000  SH      SOLE  2      60,000
PIER 1 IMPORTS, INC.                    EQUITY  720279108     28      1,347  SH   DEFINED  1                   1,347
PILGRIMS PRIDE CORP.                    EQUITY  721467108     76      5,446  SH   DEFINED  1                   5,446
PINNACLE SYSTEMS, INC.                  EQUITY  723481107    230     20,966  SH   DEFINED  1                  20,966



                                                                                         
PINNACLE WEST CAPITAL CORP.             EQUITY  723484101   1547     39,154  SH   DEFINED  1                  39,154
PIONEER NATURAL RESOURCES CORP          EQUITY  723787107   3901    149,754  SH   DEFINED  1                 149,754
PIONEER-STANDARD ELECTRONICS            EQUITY  723877106    111     10,715  SH   DEFINED  1                  10,715
PITNEY BOWES INC                        EQUITY  724479100   9809    423,525  SH      SOLE  2     423,525
PITNEY BOWES, INC.                      EQUITY  724479100   4630    116,572  SH   DEFINED  1                 116,572
PITTSTON BRINK'S GROUP                  EQUITY  725701106   1682     70,085  SH   DEFINED  1                  70,085
PIXAR INC                               EQUITY  725811103     11        246  SH   DEFINED  1                     246
PIXELWORKS INC                          EQUITY  72581M107     99     11,824  SH   DEFINED  1                  11,824
PLACER DOME INC.                        EQUITY  725906101   1659    148,020  SH   DEFINED  1                 148,020
PLAINS RESOURCES, INC.                  EQUITY  726540503    228      8,516  SH   DEFINED  1                   8,516
PLANAR SYSTEMS, INC.                    EQUITY  726900103     88      4,595  SH   DEFINED  1                   4,595
PLANTRONICS, INC.                       EQUITY  727493108   1384     72,779  SH   DEFINED  1                  72,779
PLATO LEARNING INC                      EQUITY  72764Y100     58      5,891  SH   DEFINED  1                   5,891
PLAYBOY ENTERPRISES, INC.               EQUITY  728117300     63      4,973  SH   DEFINED  1                   4,973
PLAYTEX PRODUCTS, INC.                  EQUITY  72813P100    129      9,950  SH   DEFINED  1                   9,950
PLEXUS CORP.                            EQUITY  729132100   1239     68,463  SH   DEFINED  1                  68,463
PLUG POWER INC                          EQUITY  72919P103     47      5,927  SH   DEFINED  1                   5,927
PLUM CREEK TIMBER CO INC                EQUITY  729251108   2625     85,512  SH   DEFINED  1                  85,512
Plum Creek Timber Co.                   EQUITY  729251108   1075     35,000  SH   DEFINED  4                  35,000
PLX TECHNOLOGY, INC.                    EQUITY  693417107     26      6,060  SH   DEFINED  1                   6,060
PMA CAPITAL CORP.                       EQUITY  693419202    199      9,420  SH   DEFINED  1                   9,420
PMC-SIERRA, INC.                        EQUITY  69344F106    761     82,076  SH   DEFINED  1                  82,076
PMI GROUP INC COM                       EQUITY  69344M101     85  2,231,838  SH      SOLE  3   2,127,340                99,798
PMI GROUP, INC.                         EQUITY  69344M101   5530    144,752  SH   DEFINED  1                 144,752
PNC FINANCIAL SERVICES                  EQUITY  693475105   7468    142,850  SH   DEFINED  1                 142,850
PNM RESOURCES INC                       EQUITY  69349H107   1523     62,946  SH   DEFINED  1                  62,946
POGO PRODUCING CO                       EQUITY  730448107     24        741  SH   DEFINED  1                     741
POGO PRODUCING CO COM                   EQUITY  730448107     61  1,865,832  SH      SOLE  3   1,816,126                49,706
POHANG IRON AND STEEL COMPANY ADR       EQUITY  730450103    545     20,000  SH   DEFINED  1                  20,000
POLARIS INDUSTRIES, INC.                EQUITY  731068102     21        324  SH   DEFINED  1                     324
POLO RALPH LAUREN CO                    EQUITY  731572103     10        444  SH   DEFINED  1                     444
POLYCOM, INC.                           EQUITY  73172K104   1550    129,307  SH   DEFINED  1                 129,307
POLYMEDICA CORP                         EQUITY  731738100     85      3,316  SH   DEFINED  1                   3,316
POLYONE CORPORATION                     EQUITY  73179P106    316     28,096  SH   DEFINED  1                  28,096
POMEROY COMPUTER RESOURCES              EQUITY  731822102     52      3,539  SH   DEFINED  1                   3,539
POPE & TALBOT, INC.                     EQUITY  732827100    104      5,578  SH   DEFINED  1                   5,578
POPULAR INC                             EQUITY  733174106     67      1,976  SH   DEFINED  1                   1,976
PORT FINANCIAL CORPORATION              EQUITY  734119100     71      1,762  SH   DEFINED  1                   1,762
PORTAL SOFTWARE                         EQUITY  736126103     32     42,612  SH   DEFINED  1                  42,612
POSSIS MEDICAL INC                      EQUITY  737407106     75      6,111  SH   DEFINED  1                   6,111
POST PROPERTIES, INC.                   EQUITY  737464107  11598    384,539  SH   DEFINED  1                 384,539
POTLATCH CORP.                          EQUITY  737628107   1580     46,432  SH   DEFINED  1                  46,432
POTOMAC ELECTRIC POWER CO.              EQUITY  737679100   2971    138,303  SH   DEFINED  1                 138,303
POWELL INDUSTRIES INC                   EQUITY  739128106     57      2,340  SH   DEFINED  1                   2,340
POWER INTEGRATIONS, INC.                EQUITY  739276103    161      8,990  SH   DEFINED  1                   8,990
POWER-ONE , INC.                        EQUITY  739308104    340     54,700  SH   DEFINED  1                  54,700
POWERWAVE TECHNOLOGIES INC              EQUITY  739363109    980    106,956  SH   DEFINED  1                 106,956
POZEN INC.                              EQUITY  73941U102     42      8,051  SH   DEFINED  1                   8,051
PPG INDS INC                            EQUITY  693506107   8102    130,893  SH      SOLE  2     130,893
PPG INDUSTRIES, INC.                    EQUITY  693506107   6486    104,782  SH   DEFINED  1                 104,782
PPL CORPORATION                         EQUITY  69351T106   2409     72,809  SH   DEFINED  1                  72,809
PRACTICEWORKS INC                       EQUITY  739419109     69      3,731  SH   DEFINED  1                   3,731
PRACTICEWORKS INC COM                   EQUITY  739419109      3    171,500  SH      SOLE  3     171,500
PRAECIS PHARMACEUTICALS INC             EQUITY  739421105     64     18,468  SH   DEFINED  1                  18,468
PRAXAIR INC                             EQUITY  74005P104   1994     35,000  SH      SOLE  2      35,000
PRAXAIR INC                             EQUITY  74005P104   5691     99,900  SH      SOLE  2      99,900
PRAXAIR, INC.                           EQUITY  74005P104   6647    116,684  SH   DEFINED  1                 116,684
PRECISE SOFTWARE SOLUTIONS              EQUITY  M41450103    166     17,400  SH   DEFINED  1                  17,400
PRECISION CASTPARTS CORP.               EQUITY  740189105   2213     67,051  SH   DEFINED  1                  67,051
PREMCOR INC                             EQUITY  74045Q104      7        260  SH   DEFINED  1                     260



                                                                                         
PRENTISS PROPERTIES TRUST               EQUITY  740706106    349     10,979  SH   DEFINED  1                  10,979
PREPAID LEGAL SERVICES, INC.            EQUITY  740065107     98      4,949  SH   DEFINED  1                   4,949
PRESIDENTIAL LIFE CORP.                 EQUITY  740884101    149      7,364  SH   DEFINED  1                   7,364
PRESSTEK INC                            EQUITY  741113104     44     10,929  SH   DEFINED  1                  10,929
PRG-SCHULTZ INTERNATIONAL               EQUITY  69357C107    157     12,724  SH   DEFINED  1                  12,724
PRICE COMMUNICATIONS CO.                EQUITY  741437305   1392     87,002  SH   DEFINED  1                  87,002
PRICE ENTERP INC                        EQUITY  74144P106     25      6,587  SH   DEFINED  1                   6,587
PRICELINE.COM INC.                      EQUITY  741503106    126     45,173  SH   DEFINED  1                  45,173
PRICESMART, INC.                        EQUITY  741511109     52      1,352  SH   DEFINED  1                   1,352
PRIDE INTERNATIONAL                     EQUITY  74153Q102   2688    171,672  SH   DEFINED  1                 171,672
PRIDE INTERNATIONAL INC                 EQUITY  74153Q102   4072    260,000  SH      SOLE  2     260,000
PRIMA ENERGY CORP                       EQUITY  741901201     82      3,597  SH   DEFINED  1                   3,597
PRIME HOSPITALITY CORP.                 EQUITY  741917108    209     16,096  SH   DEFINED  1                  16,096
PRIME MED SVCS INC NEW                  EQUITY  74156D108     52      4,492  SH   DEFINED  1                   4,492
PRIMEDIA INC                            EQUITY  74157K101     61     46,770  SH   DEFINED  1                  46,770
PRINCETON REVIEW INC                    EQUITY  742352107     52      5,742  SH   DEFINED  1                   5,742
PRIORITY HEALTHCARE                     EQUITY  74264T102    202      8,587  SH   DEFINED  1                   8,587
PRIVATE MEDIA GROUP INC                 EQUITY  74266R104     15      5,138  SH   DEFINED  1                   5,138
PRIVATEBANCORP INC                      EQUITY  742962103     39      1,305  SH   DEFINED  1                   1,305
PROASSURANCE CORPORATION                EQUITY  74267C106    134      7,642  SH   DEFINED  1                   7,642
PROBUSINESS SERVICES INC.               EQUITY  742674104    109      7,502  SH   DEFINED  1                   7,502
PROCTER & GAMBLE CO.                    EQUITY  742718109  95973  1,074,725  SH   DEFINED  1               1,074,725
PROCTER + GAMBLE CO                     EQUITY  742718109   3751     42,000  SH      SOLE  2      42,000
PROCTER + GAMBLE CO                     EQUITY  742718109  17187    192,462  SH      SOLE  2     192,462
PROFESSIONAL DETAILING, INC.            EQUITY  69329V100     45      2,922  SH   DEFINED  1                   2,922
PROGENICS PHARMACEUTICALS               EQUITY  743187106     35      2,817  SH   DEFINED  1                   2,817
Progress Energy                         EQUITY  743263105   8062    155,000  SH   DEFINED  4                 155,000
PROGRESS ENERGY INC.                    EQUITY  743263105  15262    293,440  SH   DEFINED  1                 293,440
PROGRESS SOFTWARE CORP.                 EQUITY  743312100    165     11,193  SH   DEFINED  1                  11,193
PROGRESSIVE CORP.                       EQUITY  743315103   5709     98,680  SH   DEFINED  1                  98,680
PROLOGIS                                EQUITY  743410102    119      4,579  SH   DEFINED  1                   4,579
PROLOGIS TR SH BEN INT                  EQUITY  743410102     21    823,690  SH      SOLE  3     666,874               156,816
PROQUEST CO.                            EQUITY  74346P102    175      4,938  SH   DEFINED  1                   4,938
PROSPERITY BANCSHARES INC               EQUITY  743606105     88      4,808  SH   DEFINED  1                   4,808
PROTECTION ONE INC                      EQUITY  743663304     12      4,231  SH   DEFINED  1                   4,231
PROTECTIVE LIFE CORP COM                EQUITY  743674103   2936     88,693  SH   DEFINED  1                  88,693
PROTEIN DESIGN LABS, INC.               EQUITY  74369L103   1602    147,513  SH   DEFINED  1                 147,513
PROTON ENERGY SYSTEMS                   EQUITY  74371K101     28      8,635  SH   DEFINED  1                   8,635
PROVIDENT BANCORP INC                   EQUITY  743835100     30      1,066  SH   DEFINED  1                   1,066
PROVIDENT BANKSHARES CORP.              EQUITY  743859100    202      8,522  SH   DEFINED  1                   8,522
PROVIDENT FINANCIAL GROUP               EQUITY  743866105   1845     63,598  SH   DEFINED  1                  63,598
PROVIDIAN FINANCIAL CORP.               EQUITY  74406A102    783    133,236  SH   DEFINED  1                 133,236
PROVIDIAN FINL CP                       EQUITY  74406A102      8      1,300  SH      SOLE  2       1,300
PROVINCE HEALTHCARE CO.                 EQUITY  743977100    382     17,067  SH   DEFINED  1                  17,067
PROXIM CORP CL-A                        EQUITY  744283102    128     42,544  SH   DEFINED  1                  42,544
PROXYMED PHARMACY INC                   EQUITY  744290305     34      1,634  SH   DEFINED  1                   1,634
PRUDENTIAL FINANCIAL INC                EQUITY  744320102  94210  2,824,040  SH   DEFINED  1               2,824,040
PS BUSINESS PARKS, INC.                 EQUITY  69360J107    125      3,580  SH   DEFINED  1                   3,580
PS BUSINESS PKS INC CA COM              EQUITY  69360J107     15    439,500  SH      SOLE  3     356,020                83,480
PSEG ENERGY HOLDINGS                    EQUITY  744573106   4272     98,664  SH   DEFINED  1                  98,664
PSS WORLD MEDICAL, INC                  EQUITY  69366A100    206     25,429  SH   DEFINED  1                  25,429
PTEK HLDGS INC                          EQUITY  69366M104     97     16,852  SH   DEFINED  1                  16,852
PUBLIC STORAGE INC                      EQUITY  74460D109     53      1,436  SH   DEFINED  1                   1,436
Public Svc Enterprise Group             EQUITY  744573106   8444    195,000  SH   DEFINED  4                 195,000
PUGET ENEGY INC.                        EQUITY  745310102   4905    237,513  SH   DEFINED  1                 237,513
PULITZER INC.                           EQUITY  745769109    165      3,188  SH   DEFINED  1                   3,188
PULTE HOMES INC                         EQUITY  745867101    977     17,000  SH      SOLE  2      17,000
PULTE HOMES INC                         EQUITY  745867101   6294    109,500  SH      SOLE  2     109,500
PULTE HOMES INC.                        EQUITY  745867101   2568     44,671  SH   DEFINED  1                  44,671
PURE RESOURCES INC                      EQUITY  74622E102    130      6,245  SH   DEFINED  1                   6,245



                                                                                        
Q MED                                   EQUITY  747914109     23      2,745  SH   DEFINED  1                   2,745
QLOGIC CORP COM                         EQUITY  747277101     16    413,500  SH      SOLE  3     364,000                45,700
QLOGIC CORP.                            EQUITY  747277101   1735     45,547  SH   DEFINED  1                  45,547
QRS CORP.                               EQUITY  74726X105     38      4,864  SH   DEFINED  1                   4,864
QUADRAMED CORP                          EQUITY  74730W101     68      9,690  SH   DEFINED  1                   9,690
QUAKER CHEM CORP COM                    EQUITY  747316107     68      2,756  SH   DEFINED  1                   2,756
QUAKER CIRY BANCORP INC                 EQUITY  74731K106     60      1,450  SH   DEFINED  1                   1,450
QUAKER FABRIC CORP.                     EQUITY  747399103     65      4,175  SH   DEFINED  1                   4,175
QUALCOMM INC                            EQUITY  747525103   2199     80,000  SH      SOLE  2      80,000
QUALCOMM INC                            EQUITY  747525103   7095    258,100  SH      SOLE  2     258,100
QUALCOMM, INC.                          EQUITY  747525103  16553    602,130  SH   DEFINED  1                 602,130
QUANEX CORP.                            EQUITY  747620102    211      4,823  SH   DEFINED  1                   4,823
QUANTA SERVICES, INC.                   EQUITY  74762E102   1257    127,308  SH   DEFINED  1                 127,308
QUANTUM CORP DLT & STORAGE              EQUITY  747906204   1030    245,206  SH   DEFINED  1                 245,206
Quest Diagnostics                       EQUITY  74834L100   2659     30,900  SH   DEFINED  4                  30,900
QUEST DIAGNOSTICS INC                   EQUITY  74834L100   4819     56,000  SH      SOLE  2      56,000
QUEST DIAGNOSTICS, INC.                 EQUITY  74834L100  10826    125,812  SH   DEFINED  1                 125,812
QUEST SOFTWARE INC                      EQUITY  74834T103    192     13,248  SH   DEFINED  1                  13,248
QUESTAR CORP.                           EQUITY  748356102   3648    147,710  SH   DEFINED  1                 147,710
QUICKSILVER RESOURCES COM               EQUITY  74837R104      6    240,500  SH      SOLE  3     240,500
QUICKSILVER RESOURCES INC               EQUITY  74837R104     88      3,419  SH   DEFINED  1                   3,419
QUICKSILVER, INC.                       EQUITY  74838C106    172      6,944  SH   DEFINED  1                   6,944
QUIDEL CORPORATION                      EQUITY  74838J101     63      9,160  SH   DEFINED  1                   9,160
QUIKSILVER INC                          EQUITY  74838C106   1396     56,300  SH      SOLE  2      56,300
QUINTILES TRANSNATIONAL CORP.           EQUITY  748767100    686     54,896  SH   DEFINED  1                  54,896
QUINTON CARDIOLOGY                      EQUITY  748773108      3    335,500  SH      SOLE  3     335,500
QUINTON CARDIOLOGY SYS INC              EQUITY  748773108   1812    200,000  SH      SOLE  2     200,000
QUIXOTE CORP                            EQUITY  749056107     40      2,338  SH   DEFINED  1                   2,339
QUOVADX INC                             EQUITY  74913K106     47      7,466  SH   DEFINED  1                   7,466
QWEST COMMUNICATIONS INTL.              EQUITY  749121109   2161    771,674  SH   DEFINED  1                 771,674
R&G FINANCIAL CO.                       EQUITY  749136107    119      5,040  SH   DEFINED  1                   5,040
R. R. DONNELLEY AND SONS CO.            EQUITY  257867101   1518     55,117  SH   DEFINED  1                  55,117
R.H. DONNELLEY CORP.                    EQUITY  74955W307    273      9,774  SH   DEFINED  1                   9,774
R.O.C. TAIWAN FUND                      EQUITY  749651105   1412    320,800  SH   DEFINED  1                 320,800
RACING CHAMPIONS ERTL                   EQUITY  750069106     54      3,030  SH   DEFINED  1                   3,030
RADIAN GROUP INC COM                    EQUITY  750236101    114  2,324,502  SH      SOLE  3   2,192,450               125,952
RADIAN GROUP, INC.                      EQUITY  750236101   5974    122,300  SH   DEFINED  1                 122,300
RADIANT SYSTEMS, INC.                   EQUITY  75025N102     80      6,144  SH   DEFINED  1                   6,144
RADIO ONE INC                           EQUITY  75040P405   5245    352,700  SH      SOLE  2     352,700
RADIO ONE INC -CL D                     EQUITY  75040P405     15      1,041  SH   DEFINED  1                   1,041
RADIO ONE INC CL D NON VTG              EQUITY  75040P405     43  2,869,762  SH      SOLE  3   2,790,864                78,898
RADIOLOGIX INC                          EQUITY  75040K109    104      6,813  SH   DEFINED  1                   6,813
RADIOSHACK CORP.                        EQUITY  750438103   2415     80,331  SH   DEFINED  1                  80,331
RADISYS CORP.                           EQUITY  750459109     68      5,841  SH   DEFINED  1                   5,841
RAILAMERICA INC                         EQUITY  750753105    110     10,184  SH   DEFINED  1                  10,184
RAINBOW TECHNOLOGIES INC                EQUITY  750862104     42      8,449  SH   DEFINED  1                   8,449
RAINDANCE COMM                          EQUITY  75086X106     89     15,443  SH   DEFINED  1                  15,443
RAINDANCE COMMUNICATIONS I              EQUITY  75086X106    531     92,300  SH      SOLE  2      92,300
RAIT INVESTMENT TRUST                   EQUITY  749227104    133      5,589  SH   DEFINED  1                   5,589
RALCORP HOLDINGS, INC.                  EQUITY  751028101    334     10,695  SH   DEFINED  1                  10,695
RAMBUS INC.                             EQUITY  750917106    122     29,802  SH   DEFINED  1                  29,802
RAMCO-GERSHENSON PROPERTIES             EQUITY  751452202   1170     58,042  SH   DEFINED  1                  58,042
RANGE RESOURCES CORP                    EQUITY  75281A109    102     18,292  SH   DEFINED  1                  18,292
RARE HOSPITALITY INTERNATIONAL          EQUITY  753820109    190      7,042  SH   DEFINED  1                   7,042
RATIONALE SOFTWARE CORP                 EQUITY  75409P202    784     95,454  SH   DEFINED  1                  95,454
RAYMOND JAMES FINANCIAL, INC.           EQUITY  754730109     16        563  SH   DEFINED  1                     563
RAYONIER, INC.                          EQUITY  754907103   3272     66,601  SH   DEFINED  1                  66,601
RAYOVAC CORP.                           EQUITY  755081106    212     11,437  SH   DEFINED  1                  11,437
RAYTECH CORP DEL                        EQUITY  755103108    134     14,840  SH   DEFINED  1                  14,840
RAYTHEON CO                             EQUITY  755111507   4890    120,000  SH      SOLE  2     120,000



                                                                                  
RAYTHEON CO                      EQUITY  755111507  21357    524,100  SH      SOLE  2      524,100
RAYTHEON CO COM NEW              EQUITY  755111507      4    110,000  SH      SOLE  3      110,000
RAYTHEON CO.                     EQUITY  755111507   9251    227,010  SH   DEFINED  1                 227,010
RCN CORP.                        EQUITY  749361101     29     21,091  SH   DEFINED  1                  21,091
READER'S DIGEST ASSOC., INC.
  CLASS A                        EQUITY  755267101   2411    128,727  SH   DEFINED  1                 128,727
READ-RITE CORP.                  EQUITY  755246105     21     43,215  SH   DEFINED  1                  43,215
REALNETWORKS, INC.               EQUITY  75605L104      5      1,246  SH   DEFINED  1                   1,246
REALTY INCOME CORP COM           EQUITY  756109104      5    134,400  SH      SOLE  3      119,300               15,100
REALTY INCOME CORP.              EQUITY  756109104    439     11,896  SH   DEFINED  1                  11,896
RECKSON ASSOC REALTY CORP.       EQUITY  75621K106     19        773  SH   DEFINED  1                     773
RECKSON ASSOCS RLTY CL B         EQUITY  75621K304      5    187,200  SH      SOLE  3      166,200               21,000
RECKSON ASSOCS RLTY COM          EQUITY  75621K106      1     50,500  SH      SOLE  3       50,500
RECKSON ASSOCS RLTY COM          EQUITY  75621K106     16    656,600  SH      SOLE  3      531,311              125,289
RED HAT, INC.                    EQUITY  756577102    237     40,411  SH   DEFINED  1                  40,411
REDBACK NETWORKS INC             EQUITY  757209101     86     48,027  SH   DEFINED  1                  48,027
REDWOOD TRUST, INC.              EQUITY  758075402   3130     99,365  SH   DEFINED  1                  99,365
REEBOK INTERNATIONAL, LTD.       EQUITY  758110100    809     27,435  SH   DEFINED  1                  27,435
REGAL ENTMT GROUP                EQUITY  758766109      6        256  SH   DEFINED  1                     256
REGAL-BELOIT CORP.               EQUITY  758750103    201      8,248  SH   DEFINED  1                   8,248
REGENCY CENTERS CORPORATION      EQUITY  758849103     10        345  SH   DEFINED  1                     345
REGENERON PHARMACEUTICALS INC.   EQUITY  75886F107    173     11,927  SH   DEFINED  1                  11,927
REGENT COMMUNICATIONS, INC       EQUITY  758865109     67      9,519  SH   DEFINED  1                   9,519
REGIONS FINANCIAL CORP.          EQUITY  758940100   3733    106,208  SH   DEFINED  1                 106,208
REGIS CORP.                      EQUITY  758932107    417     15,452  SH   DEFINED  1                  15,452
REGISTER.COM                     EQUITY  75914G101     80     10,540  SH   DEFINED  1                  10,540
REHAB CARE GROUP                 EQUITY  759148109    149      6,204  SH   DEFINED  1                   6,204
REINSURANCE GROUP OF             EQUITY  759351109      8        248  SH   DEFINED  1                     248
RELIANCE STEEL & ALUMINIUM CO.   EQUITY  759509102    258      8,462  SH   DEFINED  1                   8,462
RELIANT ENERGY, INC.             EQUITY  75952J108  11696    692,077  SH   DEFINED  1                 692,077
RELIANT RESOURCES INC            EQUITY  75952B105    541     61,817  SH   DEFINED  1                  61,817
REMEC, INC.                      EQUITY  759543101     90     16,066  SH   DEFINED  1                  16,066
REMEDYTEMP INC                   EQUITY  759549108     36      1,958  SH   DEFINED  1                   1,958
REMINGTON OIL & GAS CORP         EQUITY  759594302    144      7,249  SH   DEFINED  1                   7,249
RENAISSANCE LEARNING, INC.       EQUITY  75968L105     78      3,875  SH   DEFINED  1                   3,875
RENAL CARE GROUP, INC.           EQUITY  759930100     22        702  SH   DEFINED  1                     702
RENT-A-CENTER INC                EQUITY  76009N100     22        386  SH   DEFINED  1                     386
RENT-WAY, INC.                   EQUITY  76009U104    118      9,120  SH   DEFINED  1                   9,120
REPUBLIC BANCORP, INC.           EQUITY  760281204    283     19,498  SH   DEFINED  1                  19,498
REPUBLIC BANCSHARES, INC.        EQUITY  759929102     36      1,791  SH   DEFINED  1                   1,791
REPUBLIC SERVICES IN             EQUITY  760759100   4093    214,629  SH   DEFINED  1                 214,629
REPUBLIC SVCS INC                EQUITY  760759100   1421     74,500  SH      SOLE  2       74,500
RES-CARE INC                     EQUITY  760943100     36      5,510  SH   DEFINED  1                   5,510
RESEARCH FRONTIERS               EQUITY  760911107     51      3,428  SH   DEFINED  1                   3,428
RESMED INC                       EQUITY  761152107    319     10,856  SH   DEFINED  1                  10,856
RESOURCE AMERICA, INC.           EQUITY  761195205     56      5,351  SH   DEFINED  1                   5,351
RESOURCES CONNECTION INC         EQUITY  76122Q105    183      6,797  SH   DEFINED  1                   6,797
RESPIRONICS INC.                 EQUITY  761230101    372     10,936  SH   DEFINED  1                  10,936
RESTORATION HARDWARE I           EQUITY  760981100     56      6,376  SH   DEFINED  1                   6,376
RETEK INC                        EQUITY  76128Q109   7446    306,400  SH      SOLE  2      306,400
RETEK INC COM                    EQUITY  76128Q109     30  1,234,223  SH      SOLE  3    1,211,323               22,900
RETEK INC.                       EQUITY  76128Q109   2082     85,695  SH   DEFINED  1                  85,695
REVLON, INC.-CL A                EQUITY  761525500     15      3,050  SH   DEFINED  1                   3,050
REX STORES CORP                  EQUITY  761624105     41      3,003  SH   DEFINED  1                   3,003
REYNOLDS AND REYNOLDS CO.,
  CLASS A                        EQUITY  761695105   2528     90,460  SH   DEFINED  1                  90,460
RF MICRO DEVICES INC             EQUITY  749941100   1686    221,200  SH   DEFINED  1                 221,200
RF MONOLITHICS INC COM
  (OXFORD PTNRS L                EQUITY  74955F106     21      4,973  SH   DEFINED  1                   4,973
RFS HOTEL INVESTORS, INC.        EQUITY  74955J108    128      9,449  SH   DEFINED  1                   9,449
RGS ENERGY GROUP, INC.           EQUITY  74956K104     20        502  SH   DEFINED  1                     502
RIBAPHARM INC                    EQUITY  762537108      3        364  SH   DEFINED  1                     364
RICHARDSON ELEC LTD              EQUITY  763165107     25      2,289  SH   DEFINED  1                   2,289



                                                                                         
RIGEL PHARMACEUTICALS INC               EQUITY  766559108     34      9,367  SH   DEFINED  1                   9,367
RIGGS NATIONAL CORP.                    EQUITY  766570105     74      4,977  SH   DEFINED  1                   4,977
RIGHT MANAGEMENT CONSULTANTS            EQUITY  766573109    103      3,913  SH   DEFINED  1                   3,913
RITA MED SYS INC DEL                    EQUITY  76774E103     36      3,566  SH   DEFINED  1                   3,566
RITE AID CORP                           EQUITY  767754104     14      5,749  SH   DEFINED  1                   5,749
Riverdeep Group PLC USD0.01 Spons ADR   EQUITY  76870Q109   1128     72,500  SH   DEFINED  1                  72,500
RIVERSTONE NETWORKS INC                 EQUITY  769320102    135     43,280  SH   DEFINED  1                  43,280
RIVIANA FOODS                           EQUITY  769536103     54      2,133  SH   DEFINED  1                   2,133
RIVIERA HOLDINGS CORP                   EQUITY  769627100   2165    352,000  SH   DEFINED  1                 352,000
RJ Reynolds                             EQUITY  76182K105   5429    101,000  SH   DEFINED  4                 101,000
RJ REYNOLDS TOBACCO HOLDINGS            EQUITY  76182K105   6382    118,729  SH   DEFINED  1                 118,729
RLI CORP.                               EQUITY  749607107    114      2,240  SH   DEFINED  1                   2,240
RMH TELESERVICES INC                    EQUITY  749938106     29      4,168  SH   DEFINED  1                   4,168
ROADWAY CORP.                           EQUITY  769742107    151      4,205  SH   DEFINED  1                   4,205
ROANOKE ELECTRIC STEEL CORP             EQUITY  769841107     54      3,498  SH   DEFINED  1                   3,498
ROBBINS & MYERS, INC.                   EQUITY  770196103     78      2,989  SH   DEFINED  1                   2,989
ROBERT HALF INTERNATIONAL INC.          EQUITY  770323103   1890     81,129  SH   DEFINED  1                  81,129
ROCK-TENN CO., CLASS A                  EQUITY  772739207     74      4,017  SH   DEFINED  1                   4,017
ROCKWELL AUTOMATION INC                 EQUITY  773903109   3051    152,683  SH   DEFINED  1                 152,683
Rockwell Collins                        EQUITY  774341101     27        990  SH   DEFINED  1                     990
ROCKWELL COLLINS INC                    EQUITY  774341101   4936    180,000  SH      SOLE  2     180,000
ROCKWELL COLLINS INC                    EQUITY  774341101  12446    453,900  SH      SOLE  2     453,900
ROGERS CORP.                            EQUITY  775133101    154      5,645  SH   DEFINED  1                   5,645
ROHM + HAAS CO                          EQUITY  775371107   1417     35,000  SH      SOLE  2      35,000
ROHM + HAAS CO                          EQUITY  775371107  11708    289,164  SH      SOLE  2     289,164
ROHM AND HAAS CO.                       EQUITY  775371107   4105    101,386  SH   DEFINED  1                 101,386
ROLLINS, INC.                           EQUITY  775711104    886     43,540  SH   DEFINED  1                  43,540
ROPER INDS INC NEW COM                  EQUITY  776696106     15    410,282  SH      SOLE  3     401,582                 8,700
ROPER INDUSTRIES, INC.                  EQUITY  776696106    388     10,394  SH   DEFINED  1                  10,394
ROSLYN BANCORP, INC.                    EQUITY  778162107   2381    109,064  SH   DEFINED  1                 109,064
ROSS STORES INC                         EQUITY  778296103   5738    140,800  SH      SOLE  2     140,800
ROSS STORES, INC.                       EQUITY  778296103   4165    102,202  SH   DEFINED  1                 102,202
Rostelecom ADR                          EQUITY  778529107    582     97,000  SH   DEFINED  1                  97,000
ROUSE CO                                EQUITY  779273101     36      1,078  SH   DEFINED  1                   1,078
ROUSE CO COM                            EQUITY  779273101     25    754,600  SH      SOLE  3     610,879               143,721
ROWAN COMPANIES, INC.                   EQUITY  779382100   1262     58,849  SH   DEFINED  1                  58,849
ROXIO INC                               EQUITY  780008108     49      6,850  SH   DEFINED  1                   6,850
ROYAL BANCSHARES OF PENN-A              EQUITY  780081105     39      1,813  SH   DEFINED  1                   1,813
ROYAL CARIBBEAN CRUISES LTD             EQUITY  V7780T103     14        685  SH      SOLE  2         685
ROYAL DUTCH PETROLEUM CO. NY REG SH P   EQUITY  780257804  53180    962,180  SH   DEFINED  1                 962,180
ROYAL GOLD INC                          EQUITY  780287108     61      4,464  SH   DEFINED  1                   4,464
RPC                                     EQUITY  749660106     47      3,957  SH   DEFINED  1                   3,957
RPM, INC.                               EQUITY  749685103   2258    148,057  SH   DEFINED  1                 148,057
RSA SECURITY INC.                       EQUITY  749719100    425     88,412  SH   DEFINED  1                  88,412
RTI INTERNATIONAL METALS, INC.          EQUITY  74973W107     90      7,423  SH   DEFINED  1                   7,423
RUBY TUESDAY, INC.                      EQUITY  781182100     18        907  SH   DEFINED  1                     907
RUDDICK CORP.                           EQUITY  781258108   1195     70,489  SH   DEFINED  1                  70,489
RUDOLPH TECHNOLOGIES INC.               EQUITY  781270103     82      3,282  SH   DEFINED  1                   3,282
RUSS BERRIE AND CO., INC.               EQUITY  782233100    125      3,518  SH   DEFINED  1                   3,518
RUSSELL CORP.                           EQUITY  782352108    166      8,640  SH   DEFINED  1                   8,640
RYAN'S FAMILY STEAK HOUSES              EQUITY  783519101    209     15,817  SH   DEFINED  1                  15,817
RYDER SYSTEM, INC.                      EQUITY  783549108    775     28,625  SH   DEFINED  1                  28,625
RYERSON TULL, INC.                      EQUITY  78375P107     93      7,963  SH   DEFINED  1                   7,963
RYLAND GROUP                            EQUITY  783764103     20        394  SH   DEFINED  1                     394
RYLAND GROUP INC COM                    EQUITY  783764103      4     75,400  SH      SOLE  3      75,400
S J W CORP COM                          EQUITY  784305104     59        734  SH   DEFINED  1                     734
S&T BANCORP, INC.                       EQUITY  783859101    256      9,481  SH   DEFINED  1                   9,481
S.Y. BANCORP INC                        EQUITY  785060104     83      2,030  SH   DEFINED  1                   2,030
S1 CORPORATION                          EQUITY  78463B101    187     25,289  SH   DEFINED  1                  25,289
SABRE HOLDINGS CORP.                    EQUITY  785905100   2392     66,802  SH   DEFINED  1                  66,802



                                                                                        
SAFECO CORP.                            EQUITY  786429100   1828     59,169  SH   DEFINED  1                  59,169
SAFEGUARD SCIENTIFICS, INC.             EQUITY  786449108     85     42,652  SH   DEFINED  1                  42,653
SAFEWAY INC                             EQUITY  786514208   8143    278,960  SH   DEFINED  1                 278,960
SAGA COMMUNICATIONS, INC. CLASS A       EQUITY  786598102    120      5,322  SH   DEFINED  1                   5,322
SAKS INC                                EQUITY  79377WAC2    224    250,000  SH      SOLE  2     250,000
SAKS INC.                               EQUITY  79377W108   2359    183,747  SH   DEFINED  1                 183,747
SALEM COMMUNICATION- CLASS A            EQUITY  794093104     77      3,116  SH   DEFINED  1                   3,116
SALIX PHARMACEUTICALS                   EQUITY  795435106     97      6,360  SH   DEFINED  1                   6,360
SALIX PHARMACEUTICALS LTD               EQUITY  795435106   3739    245,000  SH      SOLE  2     245,000
SALIX PHARMACEUTICALS ORD               EQUITY  795435106      7    470,900  SH      SOLE  3     470,900
SALTON, INC.                            EQUITY  795757103     33      2,311  SH   DEFINED  1                   2,311
SANCHEZ COMPUTER ASSOCIATES             EQUITY  799702105     22      4,867  SH   DEFINED  1                   4,867
SANDERSON FARMS, INC.                   EQUITY  800013104     45      1,791  SH   DEFINED  1                   1,791
SANDISK CORP.                           EQUITY  80004C101   1355    109,304  SH   DEFINED  1                 109,304
SANDY SPRING BANCORP, INC.              EQUITY  800363103    166      5,177  SH   DEFINED  1                   5,177
SANGAMO BIOSCIENCES INC                 EQUITY  800677106     36      6,085  SH   DEFINED  1                   6,085
SANGSTAT MEDICAL CORP.                  EQUITY  801003104    216      9,415  SH   DEFINED  1                   9,415
SANMINA - SCI CORP                      EQUITY  800907107   1743    276,191  SH   DEFINED  1                 276,191
SANTANDER BANCORP                       EQUITY  802809103     47      2,753  SH   DEFINED  1                   2,753
SAPIENT CORP.                           EQUITY  803062108     31     29,014  SH   DEFINED  1                  29,014
SARA LEE CORP.                          EQUITY  803111103   9014    436,740  SH   DEFINED  1                 436,740
SATYAM COMPUTER SERVICES-ADR            EQUITY  804098101    397     37,900  SH   DEFINED  1                  37,900
SAUER-DANFOSS INC.                      EQUITY  804137107     39      3,471  SH   DEFINED  1                   3,471
SAUL CENTERS, INC.                      EQUITY  804395101     98      3,765  SH   DEFINED  1                   3,765
SAXON CAPITAL INC                       EQUITY  80556P302    163     10,029  SH   DEFINED  1                  10,029
SBC COMMUNICATIONS INC                  EQUITY  78387G103   1525     50,000  SH      SOLE  2      50,000
SBC COMMUNICATIONS INC                  EQUITY  78387G103   9226    302,478  SH      SOLE  2     302,478
SBC COMMUNICATIONS, INC.                EQUITY  78387G103  63364  2,077,510  SH   DEFINED  1               2,077,510
SBS TECHNOLOGIES INC                    EQUITY  78387P103     64      5,207  SH   DEFINED  1                   5,207
SCANA CORP                              EQUITY  80589M102   4177    135,315  SH   DEFINED  1                 135,315
SCANSOFT INC                            EQUITY  80603P107    137     18,581  SH   DEFINED  1                  18,581
SCANSOURCE INC                          EQUITY  806037107    106      1,727  SH   DEFINED  1                   1,727
SCHAWK, INC.                            EQUITY  806373106     29      2,753  SH   DEFINED  1                   2,753
SCHERING PLOUGH CORP                    EQUITY  806605101     17        750  SH      SOLE  2         750
SCHERING-PLOUGH CORP.                   EQUITY  806605101  25911  1,053,300  SH   DEFINED  1               1,053,300
SCHLUMBERGER                            EQUITY  806857108    143      3,150  SH      SOLE  2       3,150
SCHLUMBERGER, LTD.                      EQUITY  806857108  14631    314,650  SH   DEFINED  1                 314,650
SCHNITZER STL INDS                      EQUITY  806882106     32      1,456  SH   DEFINED  1                   1,456
SCHOLASTIC CORP COM                     EQUITY  807066105     57  1,500,276  SH      SOLE  3   1,423,400                73,276
SCHOLASTIC CORP.                        EQUITY  807066105   1900     50,129  SH   DEFINED  1                  50,129
SCHOOL SPECIALTY, INC.                  EQUITY  807863105    140      5,275  SH   DEFINED  1                   5,275
SCHULMAN, A. INC.                       EQUITY  808194104   1097     51,129  SH   DEFINED  1                  51,129
SCHWAB CHARLES CORP                     EQUITY   80851305   4582    409,335  SH      SOLE  2     409,335
SCHWAB CHARLES CORP                     EQUITY  808513105   1120    100,000  SH      SOLE  2     100,000
SCHWEITZER-MAUDUIT INC.                 EQUITY  808541106    131      5,314  SH   DEFINED  1                   5,314
SCIENTIFIC ATLANTA INC                  EQUITY  808655104      8        500  SH      SOLE  2         500
SCIENTIFIC GAMES CORP A                 EQUITY  80874P109     96     12,038  SH   DEFINED  1                  12,038
SCIENTIFIC-ATLANTA, INC.                EQUITY  808655104   1531     93,066  SH   DEFINED  1                  93,066
SCIOS INC                               EQUITY  808905103   4592    150,000  SH      SOLE  2     150,000
SCIOS NOVA INC.                         EQUITY  808905103    506     16,518  SH   DEFINED  1                  16,518
SCM MICROSYSTEMS, INC.                  EQUITY  784018103     75      5,571  SH   DEFINED  1                   5,571
SCOTTISH ANNUITY&LIFE ORD               EQUITY  G7885T104     16    833,936  SH      SOLE  3     818,100                15,836
SCOTTS CO.                              EQUITY  810186106     13        279  SH   DEFINED  1                     279
SCP POOL CORPORATION                    EQUITY  784028102    203      7,296  SH   DEFINED  1                   7,296
SCRIPPS CO                              EQUITY  811054204     31        407  SH   DEFINED  1                     407
SEABOARD CORP.                          EQUITY  811543107     33        134  SH   DEFINED  1                     134
SEACHANGE INTERNATIONAL, INC.           EQUITY  811699107     70      7,916  SH   DEFINED  1                   7,916
SEACOAST BANKING CORP FL                EQUITY  811707306     72      1,241  SH   DEFINED  1                   1,241
SEACOAST FINANCIAL SERVICES CO          EQUITY  81170Q106    217      8,653  SH   DEFINED  1                   8,653
SEACOR SMIT, INC.                       EQUITY  811904101    293      6,196  SH   DEFINED  1                   6,196



                                                                                         
SEALED AIR CORP                         EQUITY  81211K100   1564     38,833  SH   DEFINED  1                  38,833
SEARS ROEBUCK & CO                      EQUITY  812387108   9923    182,738  SH   DEFINED  1                 182,738
SEARS ROEBUCK & CO COM                  EQUITY  812387108      5     90,000  SH      SOLE  3      90,000
SEARS ROEBUCK + CO                      EQUITY  812387108   2444     45,000  SH      SOLE  2      45,000
SEARS ROEBUCK + CO                      EQUITY  812387108  10453    192,500  SH      SOLE  2     192,500
SEATTLE GENETICS INC WA                 EQUITY  812578102     33      6,419  SH   DEFINED  1                   6,419
SECOND BANCORP, INC.                    EQUITY  813114105     83      3,022  SH   DEFINED  1                   3,022
SECURE COMPUTING CORP                   EQUITY  813705100     79     10,467  SH   DEFINED  1                  10,467
SECURE COMPUTING CORP COM               EQUITY  813705100      5    619,800  SH      SOLE  3     619,800
SEEBEYOND TECHNOLOGY CORP.              EQUITY  815704101     58     18,638  SH   DEFINED  1                  18,638
SEI INVESTMENTS CO.                     EQUITY  784117103   3979    141,253  SH   DEFINED  1                 141,253
SELECT MEDICAL CORP                     EQUITY  816196109     98      6,264  SH   DEFINED  1                   6,264
SELECT MEDICAL CORP COM                 EQUITY  816196109     14    909,000  SH      SOLE  3     909,000
SELECTIVE INSURANCE GROUP, INC          EQUITY  816300107    261      9,227  SH   DEFINED  1                   9,227
SEMCO ENERGY, INC.                      EQUITY  78412D109     59      6,572  SH   DEFINED  1                   6,572
SEMINIS INC                             EQUITY  816658108     18      4,929  SH   DEFINED  1                   4,929
SEMITOOL, INC.                          EQUITY  816909105     47      5,734  SH   DEFINED  1                   5,734
SEMPRA ENERGY                           EQUITY  816851109   3316    113,860  SH   DEFINED  1                  93,650
SEMTECH CORP COM                        EQUITY  816850101     25    934,776  SH      SOLE  3     914,000                20,776
SEMTECH CORP.                           EQUITY  816850101   2514     94,152  SH   DEFINED  1                  94,152
SENIOR HOUSING PROP TRUST               EQUITY  81721M109    255     16,230  SH   DEFINED  1                  16,230
SENIOR HOUSING PROP TRUST               EQUITY  81721M109     19  1,197,300  SH      SOLE  3     989,004               208,296
SENSIENT TECHNOLOGIES CORP.             EQUITY  81725T100   1742     76,543  SH   DEFINED  1                  76,543
SEPRACOR, INC.                          EQUITY  817315104   1283    134,294  SH   DEFINED  1                 134,294
SEQUA CORP CLASS A                      EQUITY  817320104   1010     15,449  SH   DEFINED  1                  15,449
SEQUENOM, INC.                          EQUITY  817337108     47     13,391  SH   DEFINED  1                  13,391
SERENA SOFTWARE, INC.                   EQUITY  817492101     85      6,209  SH   DEFINED  1                   6,209
SEROLOGICALS CORP.                      EQUITY  817523103    141      7,709  SH   DEFINED  1                   7,709
SERVICE CORP INTERNATIONAL              EQUITY  817565104    507    104,905  SH   DEFINED  1                 104,905
SERVICEMASTER COMPAN                    EQUITY  81760N109     60      4,367  SH   DEFINED  1                   4,367
SFBC INTL INC COM                       EQUITY  784121105      3    178,100  SH      SOLE  3     178,100
SHARPER IMAGE CORP                      EQUITY  820013100     51      2,524  SH   DEFINED  1                   2,524
SHAW GROUP INC                          EQUITY  820280105     17        568  SH   DEFINED  1                     568
SHENANDOAH TELECOMMUNI                  EQUITY  82312B106     62      1,161  SH   DEFINED  1                   1,161
SHERWIN WILLIAMS CO                     EQUITY  824348106   1497     50,000  SH      SOLE  2      50,000
SHERWIN WILLIAMS CO                     EQUITY  824348106  10957    366,072  SH      SOLE  2     366,072
SHERWIN-WILLIAMS CO.                    EQUITY  824348106   2145     71,677  SH   DEFINED  1                  71,677
SHOE CARNIVAL INC                       EQUITY  824889109     55      2,566  SH   DEFINED  1                   2,566
SHOPKO STORES, INC.                     EQUITY  824911101    207     10,263  SH   DEFINED  1                  10,263
SHUFFLE MASTER, INC.                    EQUITY  825549108    117      6,349  SH   DEFINED  1                   6,349
SHURGARD STORAGE CENTERS, INC. CLASS    EQUITY  82567D104    386     11,138  SH   DEFINED  1                  11,138
SICOR INC                               EQUITY  825846108     20      1,069  SH   DEFINED  1                   1,069
SIDERCA S.A.I.C  ADR                    EQUITY  825863103    330     20,900  SH   DEFINED  1                  20,900
SIEBEL SYS INC                          EQUITY  826170102   5698    400,700  SH      SOLE  2     400,700
SIEBEL SYSTEMS, INC.                    EQUITY  826170102   3318    233,358  SH   DEFINED  1                 233,358
SIERRA HEALTH SERVICES, INC.            EQUITY  826322109    194      8,670  SH   DEFINED  1                   8,670
SIERRA PACIFIC RESOURCES                EQUITY  826428104   1302    166,960  SH   DEFINED  1                 166,960
SIGMA ALDRICH CORP.                     EQUITY  826552101   3244     64,676  SH   DEFINED  1                  64,676
SILGAN HOLDINGS, INC.                   EQUITY  827048109    148      3,659  SH   DEFINED  1                   3,659
SILICON GRAPHICS, INC.                  EQUITY  827056102    199     67,652  SH   DEFINED  1                  67,652
SILICON IMAGE  INC                      EQUITY  82705T102    127     20,703  SH   DEFINED  1                  20,703
SILICON LABORATORIES COM                EQUITY  826919102     17    599,200  SH      SOLE  3     586,400                12,800
SILICON LABORATORIES INC                EQUITY  826919102    254      9,382  SH   DEFINED  1                   9,382
SILICON STORAGE TECHNOLOGY              EQUITY  827057100    215     27,623  SH   DEFINED  1                  27,623
SILICON VALLEY BANCSHARES               EQUITY  827064106   1554     58,958  SH   DEFINED  1                  58,958
SILICONIX, INC.                         EQUITY  827079203     58      2,091  SH   DEFINED  1                   2,091
SIMMONS FIRST NATIONAL CORP.            EQUITY  828730200    108      2,532  SH   DEFINED  1                   2,532
SIMON PPTY GROUP                        EQUITY  828806109     42  1,140,400  SH      SOLE  3     934,019               206,381
SIMON PROPERTY GROUP INC                EQUITY  828806109   3129     84,946  SH   DEFINED  1                  84,946
SIMPLETECH INC                          EQUITY  828823104      9      2,564  SH   DEFINED  1                   2,564



                                                                                         
SIMPSON MANUFACTURING CO.               EQUITY  829073105    149      2,609  SH   DEFINED  1                   2,609
SINCLAIR BROADCAST GROUP, INC.          EQUITY  829226109    159     10,981  SH   DEFINED  1                  10,981
SIPEX CORP.                             EQUITY  829909100     44      9,080  SH   DEFINED  1                   9,080
SIRIUS SATELLITE RADIO INC.             EQUITY  82966U103     93     24,627  SH   DEFINED  1                  24,627
SITEL CORP.                             EQUITY  82980K107     64     20,205  SH   DEFINED  1                  20,205
SIX FLAGS, INC                          EQUITY  83001P109   1725    119,348  SH   DEFINED  1                 119,348
SIZELER PPTY INVS INC                   EQUITY  830137105     45      4,113  SH   DEFINED  1                   4,113
SKECHERS USA INC. CL-A                  EQUITY  830566105    119      5,521  SH   DEFINED  1                   5,521
SKILLSOFT CORPORATION                   EQUITY  83066P101     27      3,465  SH   DEFINED  1                   3,465
SKY FINANCIAL GROUP                     EQUITY  83080P103     21      1,008  SH   DEFINED  1                   1,008
SKYLINE CORP.                           EQUITY  830830105     72      2,196  SH   DEFINED  1                   2,196
SKYWEST INC                             EQUITY  830879102     18        755  SH   DEFINED  1                     755
SKYWEST INC                             EQUITY  830879102    917     39,200  SH      SOLE  2      39,200
SKYWORKS SOLUTIONS INC                  EQUITY  83088M102   1115    200,842  SH      SOLE  2     200,842
SL GREEN REALTY CORP.                   EQUITY  78440X101    335      9,409  SH   DEFINED  1                   9,409
SL GREEN RLTY CORP COM                  EQUITY  78440X101     10    275,400  SH      SOLE  3     223,241                52,159
SLM CORP                                EQUITY  78442P106   6746     69,620  SH   DEFINED  1                  69,620
SLM CORP                                EQUITY  78442P106   5330     55,000  SH      SOLE  2      55,000
SLM CORP                                EQUITY  78442P106  28110    276,000  SH      SOLE  2     276,000
SMART & FINAL, INC.,                    EQUITY  831683107     33      4,220  SH   DEFINED  1                   4,220
SMITH A O CORP                          EQUITY  831865209   2615     83,800  SH      SOLE  2      83,800
SMITH INTERNATIONAL, INC.               EQUITY  832110100   4460     65,406  SH   DEFINED  1                  65,406
SMITH INTL INC                          EQUITY  832110100   6819    100,000  SH      SOLE  2     100,000
SMITH INTL INC                          EQUITY  832110100  18936    277,700  SH      SOLE  2     277,700
SMITH, A.O. CORP.                       EQUITY  831865209    185      5,941  SH   DEFINED  1                   5,941
SMITHFIELD FOODS INC                    EQUITY  832248108   2653    143,002  SH   DEFINED  1                 143,002
SMURFIT-STONE CONTAINER CORP.           EQUITY  832727101  17323  1,123,426  SH   DEFINED  1               1,123,426
SNAP-ON, INC.                           EQUITY  833034101    799     26,912  SH   DEFINED  1                  26,912
SOC QUIMICA Y MINERA CHIL-SPON ADR      EQUITY  833635105   1280     57,730  SH   DEFINED  1                  57,730
SOLA INTERNATIONAL, INC.                EQUITY  834092108     89      7,767  SH   DEFINED  1                   7,767
SOLECTRON CORP DEL                      EQUITY  834182107     10      1,667  SH      SOLE  2       1,667
SOLECTRON CORP.                         EQUITY  834182107   2592    421,423  SH   DEFINED  1                 421,423
SOLUTIA, INC.                           EQUITY  834376105   1203    171,313  SH   DEFINED  1                 171,313
SOMERA COMMUNICATIONS INC               EQUITY  834458101     80     11,203  SH   DEFINED  1                  11,203
SONG NETWORKS HLDG  ADR                 EQUITY  83544Q101     25    140,901  SH   DEFINED  1                 140,901
SONIC AUTOMOTIVE INC                    EQUITY  83545G102     10        370  SH   DEFINED  1                     370
SONIC CORP COM                          EQUITY  835451105     20    625,603  SH      SOLE  3     615,403                10,200
SONIC CORP.                             EQUITY  835451105    408     12,978  SH   DEFINED  1                  12,978
SONIC INNOVATIONS INC                   EQUITY  83545M109     27      3,875  SH   DEFINED  1                   3,875
SONICBLUE INC                           EQUITY  83546Q109     32     30,608  SH   DEFINED  1                  30,608
SONICWALL INC                           EQUITY  835470105     92     18,239  SH   DEFINED  1                  18,239
SONOCO PRODUCTS CO.                     EQUITY  835495102   3529    124,595  SH   DEFINED  1                 124,595
SONOSIGHT, INC.                         EQUITY  83568G104     73      5,026  SH   DEFINED  1                   5,026
SONUS NETWORKS INC                      EQUITY  835916107    130     64,555  SH   DEFINED  1                  64,555
SOTHEBY'S HOLDINGS, INC. CLASS A        EQUITY  835898107   1347     94,524  SH   DEFINED  1                  94,524
SOUNDVIEW TECHNOLOGY GROUP              EQUITY  83611Q109     45     26,487  SH   DEFINED  1                  26,487
SOURCECORP                              EQUITY  836167106    144      5,438  SH   DEFINED  1                   5,438
SOUTH FINANCIAL GROUP INC.              EQUITY  837841105    322     14,381  SH   DEFINED  1                  14,381
SOUTH JERSEY INDUSTRIES, INC.           EQUITY  838518108    144      4,279  SH   DEFINED  1                   4,279
SOUTHERN CO                             EQUITY  842587107  22551    823,020  SH   DEFINED  1                 823,020
SOUTHERN CO                             EQUITY  842587107   2192     80,000  SH      SOLE  2      80,000
SOUTHERN CO                             EQUITY  842587107   5014    183,000  SH      SOLE  2     183,000
SOUTHERN PERU COPPER CORP.              EQUITY  843611104     75      5,028  SH   DEFINED  1                   5,028
SOUTHERN UNION CO.                      EQUITY  844030106    246     14,472  SH   DEFINED  1                  14,472
SOUTHTRUST CORP.                        EQUITY  844730101   4194    160,576  SH   DEFINED  1                 160,576
SOUTHWEST AIRLINES CO.                  EQUITY  844741108   7190    444,950  SH   DEFINED  1                 444,950
SOUTHWEST AIRLS CO                      EQUITY  844741108   1414     87,500  SH      SOLE  2      87,500
SOUTHWEST AIRLS CO                      EQUITY  844741108   1947    120,500  SH      SOLE  2     120,500
SOUTHWEST BANCORP INC                   EQUITY  844767103     50      1,837  SH   DEFINED  1                   1,837
SOUTHWEST BANCORPORATION OF TX          EQUITY  84476R109    365     10,090  SH   DEFINED  1                  10,090



                                                                                         
SOUTHWEST GAS CORP                      EQUITY  844895102    290     11,734  SH   DEFINED  1                  11,734
SOUTHWEST WTR CO                        EQUITY  845331107     63      3,305  SH   DEFINED  1                   3,305
SOUTHWESTERN ENERGY CO.                 EQUITY  845467109    139      9,141  SH   DEFINED  1                   9,141
SOVEREIGN BANCORP, INC.                 EQUITY  845905108   5032    336,568  SH   DEFINED  1                 336,568
SOVRAN SELF STORAGE, INC.               EQUITY  84610H108   2570     75,219  SH   DEFINED  1                  75,219
SPACELABS MED INC                       EQUITY  846247104     42      2,968  SH   DEFINED  1                   2,968
SPANISH BROADCASTING SYS, INC. CLASS    EQUITY  846425882    129     12,886  SH   DEFINED  1                  12,886
SPARTAN MTRS INC                        EQUITY  846819100     49      3,220  SH   DEFINED  1                   3,220
SPARTECH CORP.                          EQUITY  847220209    143      5,256  SH   DEFINED  1                   5,256
Specialty Lab Inc                       EQUITY  84749R100     19      2,318  SH   DEFINED  1                   2,318
SPECTRALINK CORP                        EQUITY  847580107     64      5,992  SH   DEFINED  1                   5,992
SPECTRIAN CORP.                         EQUITY  847608106     42      4,095  SH   DEFINED  1                   4,095
SPEECHWORKS INTERNATIONAL               EQUITY  84764M101     34      9,216  SH   DEFINED  1                   9,216
SPEEDFAM-IPEC INC                       EQUITY  847705100     50      9,605  SH   DEFINED  1                   9,605
SPEEDWAY MOTORSPORTS                    EQUITY  847788106    124      4,867  SH   DEFINED  1                   4,867
SPHERION CORPORATION                    EQUITY  848420105    250     21,006  SH   DEFINED  1                  21,006
SPIEGEL, INC. CLASS A                   EQUITY  848457107      4      4,793  SH   DEFINED  1                   4,793
SPINNAKER EXPL CO COM                   EQUITY  84855W109      1     23,500  SH      SOLE  3      23,500
SPINNAKER EXPLORATION CO                EQUITY  84855W109    300      8,323  SH   DEFINED  1                   8,323
SPORTS AUTH INC                         EQUITY  849176102    133     11,683  SH   DEFINED  1                  11,683
SPORTS RESORTS INTL INC                 EQUITY  84918U108     47      8,704  SH   DEFINED  1                   8,704
SPRINT CORP. FON GROUP                  EQUITY  852061100   4242    399,790  SH   DEFINED  1                 399,790
SPRINT CORP. PCS GROUP                  EQUITY  852061506   2196    491,374  SH   DEFINED  1                 491,374
SPS TECHNOLOGIES, INC.                  EQUITY  784626103    167      4,388  SH   DEFINED  1                   4,388
SPSS, INC.                              EQUITY  78462K102     66      4,248  SH   DEFINED  1                   4,248
SPX CORP                                EQUITY  784635104   4230     36,000  SH      SOLE  2      36,000
SPX CORP.                               EQUITY  784635104  43423    369,560  SH   DEFINED  1                 369,560
SRA INTERNATIONAL CL A                  EQUITY  78464R105     49      1,798  SH   DEFINED  1                   1,798
SS&C TECHNOLOGIES INC                   EQUITY  85227Q100     39      2,808  SH   DEFINED  1                   2,808
ST FRANCIS CAPITAL CORP.                EQUITY  789374105     64      2,582  SH   DEFINED  1                   2,582
ST JUDE MED INC                         EQUITY  790849103   3168     42,900  SH      SOLE  2      42,900
ST JUDE MEDICAL, INC.                   EQUITY  790849103   4979     67,427  SH   DEFINED  1                  67,427
ST. MARY LAND & EXPLORATION             EQUITY  792228108    238      9,934  SH   DEFINED  1                   9,934
ST. PAUL COMPANIES, INC.                EQUITY  792860108   4556    117,064  SH   DEFINED  1                 117,064
STAGE STORES INC                        EQUITY  85254C305    248      7,127  SH   DEFINED  1                   7,127
STAGE STORES INC                        EQUITY  85254C305   3158     90,900  SH      SOLE  2      90,900
STAMPS.COM INC                          EQUITY  852857101     55     12,513  SH   DEFINED  1                  12,513
STANCORP FINANCIAL GROUP, INC.          EQUITY  852891100   2127     38,329  SH   DEFINED  1                  38,329
STANDARD COML CORP. COM                 EQUITY  853258101     87      4,009  SH   DEFINED  1                   4,009
STANDARD MICROSYSTEMS CORP.             EQUITY  853626109    122      5,168  SH   DEFINED  1                   5,168
STANDARD MOTOR PRODUCTS, INC.           EQUITY  853666105     42      2,466  SH   DEFINED  1                   2,466
STANDARD PACIFIC CORP.                  EQUITY  85375C101    402     11,472  SH   DEFINED  1                  11,472
STANDARD REGISTER CO.                   EQUITY  853887107    212      6,197  SH   DEFINED  1                   6,197
STANDEX INTERNATIONAL CORP.             EQUITY  854231107     97      3,867  SH   DEFINED  1                   3,867
STANLEY FURNITURE CO INC                EQUITY  854305208     49      1,838  SH   DEFINED  1                   1,838
STANLEY WORKS                           EQUITY  854616109   1606     39,165  SH   DEFINED  1                  39,165
STAPLES, INC.                           EQUITY  855030102   4438    225,304  SH   DEFINED  1                 225,304
STARBUCKS CORP.                         EQUITY  855244109   5294    213,047  SH   DEFINED  1                 213,047
STARRETT L S CO                         EQUITY  855668109     59      2,327  SH   DEFINED  1                   2,327
STARTEK INC                             EQUITY  85569C107     99      3,702  SH   DEFINED  1                   3,702
STARWOOD HOTELS & RESORTS  WW           EQUITY  85590A203   3034     92,258  SH   DEFINED  1                  92,258
STATE AUTO FINANCIAL CORP.              EQUITY  855707105     74      4,525  SH   DEFINED  1                   4,525
STATE BANCORP INC                       EQUITY  855716106     61      2,618  SH   DEFINED  1                   2,618
STATE STREET CORP.                      EQUITY  857477103   6713    150,180  SH   DEFINED  1                 150,180
STATEN ISLAND BANCORP, INC.             EQUITY  857550107    378     19,685  SH   DEFINED  1                  19,685
STATION CASINOS, INC.                   EQUITY  857689103    220     12,302  SH   DEFINED  1                  12,302
STEEL DYNAMICS, INC.                    EQUITY  858119100    188     11,386  SH   DEFINED  1                  11,386
STEELCASE INC-CL A                      EQUITY  858155203      6        435  SH   DEFINED  1                     435
STEIN MART, INC.                        EQUITY  858375108     93      7,799  SH   DEFINED  1                   7,799
STEINWAY MUSICAL INSTRUMENTS            EQUITY  858495104  37940  1,772,910  SH   DEFINED  1               1,772,910



                                                                                         
STEPAN CO.                              EQUITY  858586100     64      2,258  SH   DEFINED  1                   2,258
STERICYCLE INC                          EQUITY  858912108   1933     54,600  SH      SOLE  2      54,600
STERICYCLE INC COM                      EQUITY  858912108     65  1,825,328  SH      SOLE  3   1,785,512                39,816
STERICYCLE, INC.                        EQUITY  858912108    424     11,980  SH   DEFINED  1                  11,980
STERIS CORP COM                         EQUITY  859152100   1714     89,669  SH   DEFINED  1                  89,669
STERLING BANCORP                        EQUITY  859158107    111      3,108  SH   DEFINED  1                   3,108
STERLING BANCSHARES, INC.               EQUITY  858907108    201     13,606  SH   DEFINED  1                  13,606
STERLING FINANCIAL CORP                 EQUITY  859317109    150      6,026  SH   DEFINED  1                   6,026
STERLING FINL CORP WASH                 EQUITY  859319105     81      4,153  SH   DEFINED  1                   4,153
STEVEN MADDEN, LTD.                     EQUITY  556269108     65      3,292  SH   DEFINED  1                   3,292
STEWART & STEVENSON SERVICES            EQUITY  860342104    826     46,564  SH   DEFINED  1                  46,564
STEWART ENTERPRISES, INC.               EQUITY  860370105    219     34,410  SH   DEFINED  1                  34,410
STEWART INFORMATION SERVICES COM        EQUITY  860372101    124      6,044  SH   DEFINED  1                   6,044
STILLWATER MINING CO.                   EQUITY  86074Q102    251     15,392  SH   DEFINED  1                  15,392
STILLWELL FINANCIAL INC                 EQUITY  860831106   1971    108,313  SH   DEFINED  1                 108,313
STMICROELECTRONICS NV-NY                EQUITY  861012102   2099     86,290  SH   DEFINED  1                  86,290
STONE ENERGY CORP.                      EQUITY  861642106    306      7,614  SH   DEFINED  1                   7,614
STONERIDGE, INC.                        EQUITY  86183P102     86      4,583  SH   DEFINED  1                   4,583
STORAGE TECHNOLOGY CORP.                EQUITY  862111200   2185    136,822  SH   DEFINED  1                 136,822
STORAGENETWORKS INC                     EQUITY  86211E103     46     23,570  SH   DEFINED  1                  23,570
STRATOS LIGHTWAVE INC.                  EQUITY  863100103     42     25,988  SH   DEFINED  1                  25,988
STRATTEC SEC CORP                       EQUITY  863111100     70      1,267  SH   DEFINED  1                   1,267
STRAYER EDUCATION, INC                  EQUITY  863236105    167      2,625  SH   DEFINED  1                   2,625
STRIDE RITE CORP.                       EQUITY  863314100    113     14,185  SH   DEFINED  1                  14,185
Stryker                                 EQUITY  863667101   1070     20,000  SH   DEFINED  4                  20,000
STRYKER CORP.                           EQUITY  863667101   4924     92,024  SH   DEFINED  1                  92,024
STUDENT LOAN CORP.                      EQUITY  863902102      5         58  SH   DEFINED  1                      58
STURM, RUGER & CO., INC.                EQUITY  864159108   2890    204,268  SH   DEFINED  1                 204,268
SUFFOLK BANCORP                         EQUITY  864739107    153      4,187  SH   DEFINED  1                   4,187
SUMMIT BANCSHARES INC                   EQUITY  866011109     46      1,879  SH   DEFINED  1                   1,879
SUMMIT PROPERTIES, INC.                 EQUITY  866239106   2884    123,521  SH   DEFINED  1                 123,521
SUN BANCORP INC                         EQUITY  86663B102     75      4,045  SH   DEFINED  1                   4,045
SUN COMMUNITIES, INC.                   EQUITY  866674104    221      5,302  SH   DEFINED  1                   5,302
Sun Microsystems                        EQUITY  866810104    125     25,000  SH   DEFINED  4                  25,000
SUN MICROSYSTEMS, INC.                  EQUITY  866810104  18483  3,689,182  SH   DEFINED  1               3,689,182
SUNCOR ENERGY INC COM                   EQUITY  867229106     16    870,678  SH      SOLE  3     751,000               112,578
SUNGARD DATA SYS INC                    EQUITY  867363103     56  2,133,202  SH      SOLE  3   2,014,116               113,686
SUNGARD DATA SYS INC                    EQUITY  867363103   3178    120,000  SH      SOLE  2     120,000
SUNGARD DATA SYS INC                    EQUITY  867363103   4488    169,500  SH      SOLE  2     169,500
SUNGARD DATA SYSTEMS, INC.              EQUITY  867363103   9647    364,328  SH   DEFINED  1                 364,329
SUNOCO, INC.                            EQUITY  86764P109   1256     35,240  SH   DEFINED  1                  35,240
SUNRISE ASSISTED LIVING, INC.           EQUITY  86768K106    170      6,360  SH   DEFINED  1                   6,360
SUNTRON CORP                            EQUITY  86789P100      8        890  SH   DEFINED  1                     890
SUNTRUST BANKS, INC.                    EQUITY  867914103  11699    172,751  SH   DEFINED  1                 172,751
SUPERGEN, INC.                          EQUITY  868059106     76     10,480  SH   DEFINED  1                  10,480
SUPERIOR ENERGY SERVICES, INC.          EQUITY  868157108    176     17,352  SH   DEFINED  1                  17,352
SUPERIOR FINANCIAL CORP                 EQUITY  868161100     48      2,491  SH   DEFINED  1                   2,491
SUPERIOR INDS INTL INC COM              EQUITY  868168105     33    723,762  SH      SOLE  3     706,200                17,562
SUPERIOR INDUSTRIES INTL, INC.          EQUITY  868168105   1892     40,898  SH   DEFINED  1                  40,898
SUPERTEX INC                            EQUITY  868532102     65      3,699  SH   DEFINED  1                   3,699
SUPERVALU, INC.                         EQUITY  868536103   1514     61,723  SH   DEFINED  1                  61,723
SUREBEAM CORP CL A                      EQUITY  86866R102     24      4,417  SH   DEFINED  1                   4,417
SUREWEST COMMUNICATION                  EQUITY  868733106    252      4,741  SH   DEFINED  1                   4,741
SURMODICS INC                           EQUITY  868873100    124      4,760  SH   DEFINED  1                   4,760
SUSQUEHANNA BANCSHARES, INC.            EQUITY  869099101    319     14,058  SH   DEFINED  1                  14,058
SWIFT ENERGY CO.                        EQUITY  870738101    130      8,224  SH   DEFINED  1                   8,224
SWIFT TRANSN CO COM                     EQUITY  870756103     42  1,787,500  SH      SOLE  3   1,756,000                31,500
SWIFT TRANSPORTATION CO., INC.          EQUITY  870756103   2593    111,274  SH   DEFINED  1                 111,274
SWS GROUP INC                           EQUITY  78503N107     95      4,822  SH   DEFINED  1                   4,822
SYBASE, INC.                            EQUITY  871130100   1730    163,958  SH   DEFINED  1                 163,958



                                                                                          
SYBRON DENTAL SPECIALTIES INC.          EQUITY  871142105    251     13,548  SH   DEFINED  1                  13,548
SYCAMORE NETWORKS, INC                  EQUITY  871206108    219     56,777  SH   DEFINED  1                  56,777
SYKES ENTERPRISES, INC.                 EQUITY  871237103    464     60,348  SH   DEFINED  1                  60,348
SYLVAN LEARNING SYS COM                 EQUITY  871399101     41  2,065,998  SH      SOLE  3   1,978,200                84,198
SYLVAN LEARNING SYSTEMS, INC.           EQUITY  871399101   1240     62,201  SH   DEFINED  1                  62,201
SYMANTEC CORP.                          EQUITY  871503108  12746    388,001  SH   DEFINED  1                 388,001
SYMBOL TECHNOLOGIES INC                 EQUITY  871508107    942    110,800  SH      SOLE  2     110,800
SYMBOL TECHNOLOGIES, INC.               EQUITY  871508107    936    110,136  SH   DEFINED  1                 110,136
SYMX TECHNOLOGIES INC.                  EQUITY  87155S108    114      8,179  SH   DEFINED  1                   8,179
SYNAPTICS INC                           EQUITY  87157D109     13      1,787  SH   DEFINED  1                   1,787
SYNCOR INTERNATIONAL                    EQUITY  87157J106    193      6,122  SH   DEFINED  1                   6,122
SYNOPSYS INC.                           EQUITY  871607107   5631    102,740  SH   DEFINED  1                 102,740
SYNOVUS FINANCIAL CORP.                 EQUITY  87161C105   3755    136,463  SH   DEFINED  1                 136,463
SYNPLICITY INC                          EQUITY  87160Y108     16      3,414  SH   DEFINED  1                   3,414
SYNTEL, INC.                            EQUITY  87162H103     25      1,996  SH   DEFINED  1                   1,996
SYNTROLEUM CORPORATION                  EQUITY  871630109     20      7,000  SH   DEFINED  1                   7,000
SYPRIS SOLUTIONS INC                    EQUITY  871655106     32      1,777  SH   DEFINED  1                   1,777
SYSCO CORP.                             EQUITY  871829107  10379    381,305  SH   DEFINED  1                 381,305
SYSTEMS & COMPUTER TECHNOLOGY           EQUITY  871873105    149     11,059  SH   DEFINED  1                  11,059
T ROWE PRICE GROUP INC.                 EQUITY  74144T108   1872     56,924  SH   DEFINED  1                  56,924
TAIWAN FUND                             EQUITY  874036106    774     69,750  SH   DEFINED  1                  69,750
TAIWAN SEMICONDUCTOR-SP ADR             EQUITY  874039100    400     30,800  SH   DEFINED  1                  30,800
TAKE-TWO INTERACTIVE SOFTWARE           EQUITY  874054109    278     13,479  SH   DEFINED  1                  13,479
TALBOTS INC                             EQUITY  874161102     12        349  SH   DEFINED  1                     349
TALK AMERICA HLDGS INC                  EQUITY  87426R103    102     24,583  SH   DEFINED  1                  24,583
TALX CORP                               EQUITY  874918105     83      4,391  SH   DEFINED  1                   4,391
TANGER FACTORY OUTLET CTRS              EQUITY  875465106     55      1,857  SH   DEFINED  1                   1,857
TANOX INC                               EQUITY  87588Q109     93      8,566  SH   DEFINED  1                   8,566
TARGET CORP                             EQUITY  87612E106   5906    155,000  SH      SOLE  2     155,000
TARGET CORP                             EQUITY  87612E106  14806    388,600  SH      SOLE  2     388,600
TARGET CORPORATION                      EQUITY  87612E106  17769    466,370  SH   DEFINED  1                 466,370
TAUBMAN CENTERS, INC.                   EQUITY  876664103   2665    174,749  SH   DEFINED  1                 174,749
TBC CORP.                               EQUITY  872180104     96      6,044  SH   DEFINED  1                   6,044
TCF FINANCIAL CORP.                     EQUITY  872275102   4801     97,782  SH   DEFINED  1                  97,782
TECH DATA CORP.                         EQUITY  878237106   2756     72,825  SH   DEFINED  1                  72,825
TECHE CORP.                             EQUITY  878377100    419     14,844  SH   DEFINED  1                  14,844
TECHNITROL, INC.                        EQUITY  878555101    333     14,304  SH   DEFINED  1                  14,304
TECO ENERGY, INC.                       EQUITY  872375100  21839    882,392  SH   DEFINED  1                 882,392
TECUMSEH PRODUCTS CO. CLASS A           EQUITY  878895200   1539     28,998  SH   DEFINED  1                  28,998
TEJON RANCH CO.                         EQUITY  879080109     81      2,498  SH   DEFINED  1                   2,498
TEKELEC                                 EQUITY  879101103    133     16,570  SH   DEFINED  1                  16,570
TEKELEC INC                             EQUITY  879101103   2008    250,000  SH      SOLE  2     250,000
TEKTRONIX, INC.                         EQUITY  879131100    788     42,139  SH   DEFINED  1                  42,139
TELE CENTRO OESTE CELULAR  S.A. ADR     EQUITY  87923P105    307     69,330  SH   DEFINED  1                  69,330
Telebras - Spons ADR Pfd Block          EQUITY  879287308    349      5,500  SH   DEFINED  1                   5,500
TELEDYNE TECHOLOGIES INC                EQUITY  879360105    225     10,823  SH   DEFINED  1                  10,823
TELEFLEX INC.                           EQUITY  879369106   2886     50,496  SH   DEFINED  1                  50,496
TELEFONICA S.A. SPON ADR                EQUITY  879382208      3        102  SH   DEFINED  1                     102
TELEFONOS DE MEXICO CL L-TELMEX         EQUITY  879403780   6678    182,190  SH   DEFINED  1                 182,190
TELEKOMUNIKASI INDONESIA - SP ADR       EQUITY  715684106   2923    332,170  SH   DEFINED  1                 332,170
TELEPHONE AND DATA SYSTEMS              EQUITY  879433100   4581     75,655  SH   DEFINED  1                  75,655
TELETECH HOLDINGS                       EQUITY  879939106    133     13,906  SH   DEFINED  1                  13,906
TELIK INC                               EQUITY  87959M109    115      9,205  SH   DEFINED  1                   9,205
TELLABS, INC.                           EQUITY  879664100   1331    214,745  SH   DEFINED  1                 214,745
TELLIUM INC                             EQUITY  87967E107     26     27,847  SH   DEFINED  1                  27,848
TEMPLE-INLAND INC.                      EQUITY  879868107   1415     24,449  SH   DEFINED  1                  24,449
Tenet Healthcare Corp                   EQUITY  88033G100   2147     30,000  SH   DEFINED  4                  30,000
TENET HEALTHCARE CORP.                  EQUITY  88033G100  12752    178,220  SH   DEFINED  1                 178,220
TENNANT CO.                             EQUITY  880345103    127      3,210  SH   DEFINED  1                   3,210
TENNECO AUTOMOTIVE INC                  EQUITY  880349105     89     13,484  SH   DEFINED  1                  13,484



                                                                                         
TERADYNE, INC.                          EQUITY  880770102   2054     87,409  SH   DEFINED  1                  87,409
TERAYON COMMUNICATION                   EQUITY  880775101     31     23,218  SH   DEFINED  1                  23,218
TEREX CORP.                             EQUITY  880779103    319     14,187  SH   DEFINED  1                  14,187
TERRA INDUSTRIES, INC.                  EQUITY  880915103     29     13,899  SH   DEFINED  1                  13,899
TESORO PETROLEUM CORP.                  EQUITY  881609101    179     23,065  SH   DEFINED  1                  23,065
TETRA TECH, INC.                        EQUITY  88162G103    263     17,868  SH   DEFINED  1                  17,868
TETRA TECHNOLOGIES, INC.                EQUITY  88162F105    125      4,698  SH   DEFINED  1                   4,698
TEVA PHARMACEUTICAL ADR                 EQUITY  881624209    528      7,900  SH   DEFINED  1                   7,900
TEVA PHARMACEUTICAL INDS ADR            EQUITY  881624209    106      1,640  SH      SOLE  2       1,640
TEXAS BIOTECH CORP                      EQUITY  88221T104     61     15,621  SH   DEFINED  1                  15,621
TEXAS INDUSTRIES, INC.                  EQUITY  882491103    236      7,492  SH   DEFINED  1                   7,492
TEXAS INSTRS INC                        EQUITY  882508104   9877    416,750  SH      SOLE  2     416,750
TEXAS INSTRS INC                        EQUITY  882508104  25292  1,067,210  SH      SOLE  2   1,067,210
TEXAS INSTRUMENTS, INC.                 EQUITY  882508104  27704  1,168,950  SH   DEFINED  1               1,168,950
TEXAS REGIONAL BANCSHARES, INC CLASS    EQUITY  882673106    256      5,259  SH   DEFINED  1                   5,259
TEXTRON FINANACIAL CORP                 EQUITY  883203101   3188     67,970  SH   DEFINED  1                  67,970
TEXTRON INC                             EQUITY  883203101    938     20,000  SH      SOLE  2      20,000
TEXTRON INC                             EQUITY  883203101  14566    310,599  SH      SOLE  2     310,599
THE ADVISORY BOARD COMPANY              EQUITY  00762W107      4    117,400  SH      SOLE  3     117,400
THE GENLYTE GROUP, INC.                 EQUITY  372302109    175      4,314  SH   DEFINED  1                   4,314
THE SOUTHERN COMPANY                    EQUITY  842587107    142      5,200  SH      SOLE  2       5,200
THE ST JOE COMPANY                      EQUITY  790148100     13        417  SH   DEFINED  1                     417
THE STEAK N SHAKE COMPANY               EQUITY  857873103    127      8,095  SH   DEFINED  1                   8,095
THE TITAN CORPORATION                   EQUITY  888266103   1820     99,523  SH   DEFINED  1                  99,523
THE YANKEE CANDLE CO.                   EQUITY  984757104    262      9,664  SH   DEFINED  1                   9,664
THERAGENICS CORP.                       EQUITY  883375107     90     10,624  SH   DEFINED  1                  10,624
THERASENSE INC                          EQUITY  883381105    146      7,913  SH   DEFINED  1                   7,913
THERMA-WAVE INC.                        EQUITY  88343A108    100      8,815  SH   DEFINED  1                   8,815
THERMO ELECTRON CORP.                   EQUITY  883556102   1486     90,077  SH   DEFINED  1                  90,077
THOMAS & BETTS CORP.                    EQUITY  884315102    775     41,646  SH   DEFINED  1                  41,646
THOMAS INDUSTRIES, INC.                 EQUITY  884425109    149      5,157  SH   DEFINED  1                   5,157
THOMAS NELSON                           EQUITY  640376109     30      2,857  SH   DEFINED  1                   2,857
THOR INDUSTRIES, INC.                   EQUITY  885160101    195      2,732  SH   DEFINED  1                   2,732
THORATEC LABORATORIES CORP.             EQUITY  885175307    158     17,542  SH   DEFINED  1                  17,542
THORNBURG MORTGAGE INC.                 EQUITY  885218107    292     14,828  SH   DEFINED  1                  14,828
THQ INC                                 EQUITY  872443403    419     14,053  SH   DEFINED  1                  14,054
THREE RIVS BANCORP INC                  EQUITY  88562Q107     54      3,050  SH   DEFINED  1                   3,050
THREE-FIVE SYS INC COM                  EQUITY  88554L108     88      7,682  SH   DEFINED  1                   7,682
TIBCO SOFTWARE INC                      EQUITY  88632Q103    159     28,629  SH   DEFINED  1                  28,629
TICKETMASTER ONLINE-CITY B              EQUITY  88633P203      9        459  SH   DEFINED  1                     459
TIDEWATER INC                           EQUITY  886423102   1646     50,000  SH      SOLE  2      50,000
TIDEWATER INC                           EQUITY  886423102   4342    131,900  SH      SOLE  2     131,900
TIDEWATER, INC.                         EQUITY  886423102   5952    180,802  SH   DEFINED  1                 180,802
TIER TECHNOLOGIES INC                   EQUITY  88650Q100     92      5,154  SH   DEFINED  1                   5,154
TIFFANY & CO.                           EQUITY  886547108   2354     66,880  SH   DEFINED  1                  66,880
TIMBERLAND COMPANY                      EQUITY  887100105   1739     48,560  SH   DEFINED  1                  48,560
TIME WARNER TELECOM                     EQUITY  887319101     26     15,202  SH   DEFINED  1                  15,202
TIMKEN CO.                              EQUITY  887389104     16        711  SH   DEFINED  1                     711
TIVO INC                                EQUITY  888706108     24      6,588  SH   DEFINED  1                   6,588
TJX COMPANIES, INC.                     EQUITY  872540109   4983    254,090  SH   DEFINED  1                 254,090
TMP WORLDWIDE INC.                      EQUITY  872941109   1181     54,940  SH   DEFINED  1                  54,940
TOLL BROTHERS INC COM                   EQUITY  889478103     46  1,553,694  SH      SOLE  3   1,527,094                26,600
TOLL BROTHERS, INC.                     EQUITY  889478103     19        652  SH   DEFINED  1                     652
TOLLGRADE COMMUNICATIONS INC            EQUITY  889542106     67      4,537  SH   DEFINED  1                   4,537
TOMPKINS TRUSTCO INC                    EQUITY  890110109    129      2,649  SH   DEFINED  1                   2,649
TOO INC                                 EQUITY  890333107    373     12,097  SH   DEFINED  1                  12,097
TOO INC                                 EQUITY  890333107   1916     62,200  SH      SOLE  2      62,200
TOO INC COM                             EQUITY  890333107     26    854,290  SH      SOLE  3     807,130                47,160
TOOTSIE ROLL INDUSTRIES, INC.           EQUITY  890516107   2559     66,353  SH   DEFINED  1                  66,353
TOPPS CO. INC.                          EQUITY  890786106    133     13,245  SH   DEFINED  1                  13,245



                                                                                         
TORCHMARK CORP.                         EQUITY  891027104    3327     87,087  SH   DEFINED  1                  87,087
TORO CO.                                EQUITY  891092108     251      4,408  SH   DEFINED  1                   4,408
TOTAL SYSTEM SERVICE                    EQUITY  891906109     145      7,719  SH   DEFINED  1                   7,719
TOUCH AMERICA HOLDINGS INC              EQUITY  891539108     102     37,041  SH   DEFINED  1                  37,041
TOWER AUTOMOTIVE, INC.                  EQUITY  891707101     307     21,972  SH   DEFINED  1                  21,972
TOWN & COUNTRY TRUST                    EQUITY  892081100     695     31,018  SH   DEFINED  1                  31,018
TOYS R US INC.                          EQUITY  892335100    1756    100,516  SH   DEFINED  1                 100,516
TRACTOR SUPPLY CO                       EQUITY  892356106     173      2,435  SH   DEFINED  1                   2,435
TRAMMELL CROW CO.                       EQUITY  89288R106     152     10,508  SH   DEFINED  1                  10,508
TRANS WORLD ENTERTAINMENT CORP          EQUITY  89336Q100      35      5,937  SH   DEFINED  1                   5,937
TRANSACTION SYSTEMS ARCHITECTS CLASS    EQUITY  893416107     665     56,538  SH   DEFINED  1                  56,538
TRANSATLANTIC HOLDINGS INC              EQUITY  893521104 2501930 31,274,130  SH   DEFINED  1              31,274,130
TRANSATLANTIC HOLDINGS INC              EQUITY  893521104      24        304  SH   DEFINED  1                     304
TRANSCONTINENTAL RLTY                   EQUITY  893617209      20      1,019  SH   DEFINED  1                   1,019
TRANSKARYOTIC THERAPIES INC             EQUITY  893735100      30    827,472  SH      SOLE  3     805,000                22,472
TRANSKARYOTIC THERAPIES, INC.           EQUITY  893735100     359      9,969  SH   DEFINED  1                   9,969
TRANSMETA CORP                          EQUITY  89376R109     200     84,987  SH   DEFINED  1                  84,987
TRANSMONTAIGNE, INC.                    EQUITY  893934109      31      5,089  SH   DEFINED  1                   5,089
TRANSOCEAN INC                          EQUITY  G90078109    4460    143,178  SH   DEFINED  1                 143,178
TRANSOCEAN SEDCO FOREX INC              EQUITY  G90078109      12        410  SH      SOLE  2         410
TRC COS INC                             EQUITY  872625108      64      3,107  SH   DEFINED  1                   3,108
TREDEGAR CORP.                          EQUITY  894650100     223      9,248  SH   DEFINED  1                   9,248
TREMONT CORP.                           EQUITY  894745207      14        457  SH   DEFINED  1                     457
TREX COMPANY, INC.                      EQUITY  89531P105      72      2,301  SH   DEFINED  1                   2,301
TRIAD GTY INC COM                       EQUITY  895925105      13    296,900  SH      SOLE  3     296,900
TRIAD GUARANTY, INC.                    EQUITY  895925105     122      2,813  SH   DEFINED  1                   2,813
TRIAD HOSPITALS INC COM                 EQUITY  89579K109      50  1,176,352  SH      SOLE  3   1,112,688                60,764
TRIAD HOSPITALS, INC.                   EQUITY  89579K109    3985     94,033  SH   DEFINED  1                  94,033
TRIANGLE PHARMACEUTICALS, INC.          EQUITY  89589H104      30     11,196  SH   DEFINED  1                  11,196
TRIARC COMPANIES INC. CLASS A           EQUITY  895927101     131      4,739  SH   DEFINED  1                   4,739
TRIBUNE CO.                             EQUITY  896047107    5949    136,750  SH   DEFINED  1                 136,750
TRICO BANCSHARES                        EQUITY  896095106      48      1,802  SH   DEFINED  1                   1,802
TRICO MARINE SERVICES, INC.             EQUITY  896106101      53      7,847  SH   DEFINED  1                   7,847
TRIGON HEALTHCARE INC                   EQUITY  89618L100    1700     16,900  SH      SOLE  2      16,900
TRIGON HEALTHCARE, INC.                 EQUITY  89618L100    4688     46,606  SH   DEFINED  1                  46,606
TRIKON TECHNOLOGIES INC                 EQUITY  896187408      33      3,676  SH   DEFINED  1                   3,676
TRIMBLE NAVIGATION LTD.                 EQUITY  896239100     139      8,992  SH   DEFINED  1                   8,992
TRIMERIS INC                            EQUITY  896263100     210      4,724  SH   DEFINED  1                   4,724
TRINITY INDUSTRIES, INC.                EQUITY  896522109    1479     71,367  SH   DEFINED  1                  71,367
TRIPATH IMAGIN INC                      EQUITY  896942109      34      7,851  SH   DEFINED  1                   7,851
TRIPOS INC                              EQUITY  896928108      57      2,611  SH   DEFINED  1                   2,611
TRIQUINT SEMICONDUCTOR INC              EQUITY  89674K103    1165    181,700  SH      SOLE  2     181,700
TRIQUINT SEMICONDUCTOR, INC.            EQUITY  89674K103    1377    214,819  SH   DEFINED  1                 214,819
TRITON PCS HOLDINGS                     EQUITY  89677M106      27      6,942  SH   DEFINED  1                   6,942
TRIUMPH GROUP, INC.                     EQUITY  896818101     223      4,992  SH   DEFINED  1                   4,992
TRIZEC PROPERTIES INC                   EQUITY  89687P107      22      1,301  SH   DEFINED  1                   1,301
TRIZETTO GROUP INC                      EQUITY  896882107      92     10,788  SH   DEFINED  1                  10,788
TROPICAL SPORTSWEAR INT'L               EQUITY  89708P102      30      1,334  SH   DEFINED  1                   1,334
TROY FINANCIAL CORP                     EQUITY  897329108      90      2,999  SH   DEFINED  1                   2,999
TRUST CO. OF NEW JERSEY                 EQUITY  898304100     171      6,638  SH   DEFINED  1                   6,638
TRUSTCO BANK CORP. NY                   EQUITY  898349105     340     25,801  SH   DEFINED  1                  25,801
TRUSTMARK CORP.                         EQUITY  898402102     541     21,180  SH   DEFINED  1                  21,180
TRW INC.                                EQUITY  872649108    3347     58,738  SH   DEFINED  1                  58,738
TTM TECHONOLOGIES                       EQUITY  87305R109      29      5,490  SH   DEFINED  1                   5,491
TUBOS DE ACERO DE MEX-SP ADR            EQUITY  898592506     557     60,500  SH   DEFINED  1                  60,500
TUESDAY MORNING CORPORATION             EQUITY  899035505      55      2,957  SH   DEFINED  1                   2,957
TULARIK INC                             EQUITY  899165104     125     13,655  SH   DEFINED  1                  13,655
TUPPERWARE CORP.                        EQUITY  899896104    1011     48,623  SH   DEFINED  1                  48,623
TURNSTONE SYSTEMS INC                   EQUITY  900423104      54     12,541  SH   DEFINED  1                  12,541
TV AZTECA S.A.-SPONS ADR                EQUITY  901145102    1241    182,300  SH   DEFINED  1                 182,300



                                                                                         
TWEETER HOME ENTERTAINMENT              EQUITY  901167106    113      6,890  SH   DEFINED  1                    6,890
TXU Corp                                EQUITY  873168108  13892    269,490  SH   DEFINED  1                  269,490
TXU Corporation                         EQUITY  873168108   4124     80,000  SH   DEFINED  4                   80,000
TYCO INTERNATIONAL, LTD.                EQUITY  902124106  30430  2,252,434  SH   DEFINED  1                2,252,434
TYLER TECHNOLOGIES INC                  EQUITY  902252105     61     11,495  SH   DEFINED  1                   11,495
TYSON FOODS, INC. CLASS A               EQUITY  902494103   7055    454,853  SH   DEFINED  1                  454,853
U S XPRESS ENTERPRISES                  EQUITY  90338N103     26      1,988  SH   DEFINED  1                    1,988
U.S. BANCORP, INC.                      EQUITY  902973304  53117  2,274,811  SH   DEFINED  1                2,274,811
U.S. RESTAURANT PROPERTIES INC          EQUITY  902971100    116      6,982  SH   DEFINED  1                    6,982
U.S.B. HOLDING CO., INC.                EQUITY  902910108     88      4,278  SH   DEFINED  1                    4,278
UAL CORP                                EQUITY  902549500    390     34,073  SH   DEFINED  1                   34,073
UBIQUITEL INC                           EQUITY  903474302     14     20,941  SH   DEFINED  1                   20,941
UCBH HOLDINGS INC                       EQUITY  90262T308    246      6,473  SH   DEFINED  1                    6,473
UGI CORP.                               EQUITY  902681105    314      9,828  SH   DEFINED  1                    9,828
UICI                                    EQUITY  902737105    278     13,774  SH   DEFINED  1                   13,774
UIL HOLDINGS CORP.                      EQUITY  902748102    233      4,278  SH   DEFINED  1                    4,278
ULTICOM INC                             EQUITY  903844108     26      3,777  SH   DEFINED  1                    3,777
ULTIMATE ELECTRONIS, INC.               EQUITY  903849107    102      3,923  SH   DEFINED  1                    3,923
ULTRATECH STEPPER, INC.                 EQUITY  904034105    130      8,060  SH   DEFINED  1                    8,060
UMB FINANCIAL CORP.                     EQUITY  902788108    275      5,877  SH   DEFINED  1                    5,877
UMPQUA HOLDINGS CORP                    EQUITY  904214103    132      7,132  SH   DEFINED  1                    7,132
UNIFI, INC.                             EQUITY  904677101    945     86,675  SH   DEFINED  1                   86,675
UNIFIRST CORP.                          EQUITY  904708104     70      2,786  SH   DEFINED  1                    2,786
UNILAB CORP                             EQUITY  904763208     39      6,653  SH   DEFINED  1                    6,653
UNILEVER NV NY SHARES                   EQUITY  904784709  16790    259,100  SH   DEFINED  1                  259,100
UNION ACCEP CORP                        EQUITY  904832102     15      3,512  SH   DEFINED  1                    3,512
UNION BANKSHARES CORP                   EQUITY  905399101     71      2,694  SH   DEFINED  1                    2,694
UNION PACIFIC CORP.                     EQUITY  907818108   9508    150,260  SH   DEFINED  1                  150,260
UNION PLANTERS CORP                     EQUITY  908068109   4386    135,485  SH   DEFINED  1                  135,485
UNIONBANCAL CORP                        EQUITY  908906100     34        735  SH   DEFINED  1                      735
UNISOURCE ENERGY CORP.                  EQUITY  909205106    189     10,179  SH   DEFINED  1                   10,179
UNISYS CORP.                            EQUITY  909214108   1341    148,987  SH   DEFINED  1                  148,987
UNIT CORP.                              EQUITY  909218109    223     12,880  SH   DEFINED  1                   12,880
UNITED AUTO GROUP INC                   EQUITY  909440109   1714     82,000  SH      SOLE  2       82,000
UNITED AUTO GROUP, INC.                 EQUITY  909440109    126      6,023  SH   DEFINED  1                    6,023
UNITED BANKSHARES INC. WV               EQUITY  909907107    384     13,062  SH   DEFINED  1                   13,062
UNITED CMNTY BKS BLAIR                  EQUITY  90984P105    175      5,922  SH   DEFINED  1                    5,922
UNITED COMMUNITY FINANCIAL CO           EQUITY  909839102    104     11,163  SH   DEFINED  1                   11,163
UNITED DEFENSE INDS IN                  EQUITY  91018B104    173      7,532  SH   DEFINED  1                    7,532
UNITED DOMINION REALTY TRUST            EQUITY  910197102   2103    133,553  SH   DEFINED  1                  133,553
UNITED DOMINION RLTYTR COM              EQUITY  910197102     21  1,353,000  SH      SOLE  3    1,119,868               233,132
UNITED FIRE & CASUALTY CO.              EQUITY  910331107     97      2,574  SH   DEFINED  1                    2,574
UNITED HEALTHCARE CORP                  EQUITY  91324P102  12628    137,940  SH   DEFINED  1                  137,940
UNITED INDUSTRIAL CORP                  EQUITY  910671106     74      3,407  SH   DEFINED  1                    3,407
UNITED MICROELECTRONICS-ADR             EQUITY  910873207    304     41,300  SH   DEFINED  1                   41,300
UNITED MOBILE HOMES INC                 EQUITY  911024107    184     14,200  SH   DEFINED  1                   14,200
UNITED NATIONAL BANCORP                 EQUITY  910909100    112      4,854  SH   DEFINED  1                    4,854
UNITED NATURAL FOODS, INC.              EQUITY  911163103    133      6,795  SH   DEFINED  1                    6,795
UNITED ONLINE INC                       EQUITY  911268100     89      7,420  SH   DEFINED  1                    7,420
UNITED PARCEL SERVICE CLASS -B          EQUITY  911312106  10849    175,700  SH   DEFINED  1                  175,700
UNITED PARCEL SVC INC                   EQUITY  911312106  10806    175,000  SH      SOLE  2      175,000
UNITED PARCEL SVC INC                   EQUITY  911312106  23825    385,850  SH      SOLE  2      385,850
UNITED RENTALS, INC.                    EQUITY  911363109   2151     98,655  SH   DEFINED  1                   98,655
UNITED STATES STEEL CORP                EQUITY  912909108    933     46,914  SH   DEFINED  1                   46,914
UNITED STATIONERS INC COM               EQUITY  913004107      9    285,428  SH      SOLE  3      242,300                40,628
UNITED STATIONERS, INC.                 EQUITY  913004107    326     10,715  SH   DEFINED  1                   10,715
UNITED SURGICAL PARTNE                  EQUITY  913016309    167      5,401  SH   DEFINED  1                    5,401
UNITED SURGICAL PRTNRS COM              EQUITY  913016309      8    257,200  SH      SOLE  3      257,200
UNITED TECHNOLOGIES CORP                EQUITY  913017109   6790    100,000  SH      SOLE  2      100,000
UNITED TECHNOLOGIES CORP                EQUITY  913017109  16961    249,800  SH      SOLE  2      249,800



                                                                                          
UNITED TECHNOLOGIES CORP.               EQUITY  913017109  14403    212,120  SH   DEFINED  1                 212,120
UNITED THERAPEUTICS CORP.               EQUITY  91307C102     69      5,576  SH   DEFINED  1                   5,576
UNITEDGLOBALCOM INC. CLASS A            EQUITY  913247508      3      1,060  SH   DEFINED  1                   1,060
UNITEDHEALTH GROUP INC                  EQUITY  91324P102    328      3,570  SH      SOLE  2       3,570
UNITIL CORP                             EQUITY  913259107     51      1,694  SH   DEFINED  1                   1,694
UNITRIN, INC.                           EQUITY  913275103   3118     87,170  SH   DEFINED  1                  87,170
UNIVERSAL AMER FINANCIAL CORP           EQUITY  913377107     55      8,325  SH   DEFINED  1                   8,325
UNIVERSAL COMPRESSION HLDGS             EQUITY  913431102    141      5,887  SH   DEFINED  1                   5,887
UNIVERSAL CORP.                         EQUITY  913456109   1569     42,755  SH   DEFINED  1                  42,755
UNIVERSAL DISPLAY CORP.                 EQUITY  91347P105     47      5,688  SH   DEFINED  1                   5,688
UNIVERSAL ELECTRONICS INC.              EQUITY  913483103     74      4,933  SH   DEFINED  1                   4,933
UNIVERSAL FOREST PRODUCTS, INC          EQUITY  913543104    114      4,859  SH   DEFINED  1                   4,859
UNIVERSAL HEALTH REALTY INCOME          EQUITY  91359E105    103      3,896  SH   DEFINED  1                   3,896
UNIVERSAL HEALTH SERVICES - B           EQUITY  913903100   3787     77,286  SH   DEFINED  1                  77,286
Univision Communications-A              EQUITY  914906102     39      1,240  SH   DEFINED  1                   1,240
UNIVISION COMMUNICATNS CL A             EQUITY  914906102     18    578,854  SH      SOLE  3     497,400                76,454
UNIZAN FINANCIAL CORP                   EQUITY  91528W101    169      7,871  SH   DEFINED  1                   7,871
UNOCAL CORP.                            EQUITY  915289102   4186    113,329  SH   DEFINED  1                 113,329
UNOVA, INC.                             EQUITY  91529B106     96     14,752  SH   DEFINED  1                  14,752
UNUMPROVIDENT CORP.                     EQUITY  91529Y106   3648    143,325  SH   DEFINED  1                 143,325
URBAN OUTFITTERS, INC.                  EQUITY  917047102     92      2,647  SH   DEFINED  1                   2,647
UROLOGIX INC                            EQUITY  917273104     63      4,955  SH   DEFINED  1                   4,955
URS CORP.                               EQUITY  903236107    142      5,088  SH   DEFINED  1                   5,088
URSTADT BIDDLE [A]                      EQUITY  917286205     50      4,421  SH   DEFINED  1                   4,421
US AIRWAYS GROUP, INC.                  EQUITY  911905107     90     24,301  SH   DEFINED  1                  24,301
US CELLULAR                             EQUITY  911684108      6        244  SH   DEFINED  1                     244
US CONCRETE INC                         EQUITY  90333L102     47      7,207  SH   DEFINED  1                   7,207
US ONCOLOGY, INC.                       EQUITY  90338W103    218     26,149  SH   DEFINED  1                  26,149
US PHYSICAL THERAPY INC                 EQUITY  90337L108     68      3,339  SH   DEFINED  1                   3,339
US UNWIRED INC                          EQUITY  90338R104     89     31,772  SH   DEFINED  1                  31,772
USA INTERACTIVE                         EQUITY  902984103    265     11,320  SH   DEFINED  1                  11,320
USEC, INC                               EQUITY  90333E108    255     28,999  SH   DEFINED  1                  28,999
USFREIGHTWAYS CORP.                     EQUITY  916906100    363      9,597  SH   DEFINED  1                   9,597
USG CORP.                               EQUITY  903293405     94     13,127  SH   DEFINED  1                  13,127
USINOR SA                               EQUITY  912080108     82     23,625  SH   DEFINED  1                  23,625
USLIFE INCOME FUND                      EQUITY  917324105     57      8,400  SH   DEFINED  1                   8,400
UST INC                                 EQUITY  902911106   1190     35,000  SH      SOLE  2      35,000
UST INC                                 EQUITY  902911106  12213    359,215  SH      SOLE  2     359,215
UST INC.                                EQUITY  902911106  11664    343,048  SH   DEFINED  1                 343,048
UTSTARCOM INC                           EQUITY  918076100     18        872  SH   DEFINED  1                     872
V. F. CORP.                             EQUITY  918204108   1987     50,667  SH   DEFINED  1                  50,667
VAIL RESORTS, INC.                      EQUITY  91879Q109     51      3,000  SH   DEFINED  1                   3,000
VALASSIS COMMUNICATIONS, INC.           EQUITY  918866104   2531     69,332  SH   DEFINED  1                  69,332
VALERO ENERGY CORP.                     EQUITY  91913Y100   5694    152,162  SH   DEFINED  1                 152,162
VALHI INC                               EQUITY  918905100    117      7,500  SH   DEFINED  1                   7,500
VALLEY NATIONAL BANC                    EQUITY  919794107     38      1,373  SH   DEFINED  1                   1,373
VALMONT INDUSTRIES, INC.                EQUITY  920253101     98      4,815  SH   DEFINED  1                   4,815
VALSPAR CORP.                           EQUITY  920355104   2921     64,714  SH   DEFINED  1                  64,714
VALUE LINE, INC.                        EQUITY  920437100     20        490  SH   DEFINED  1                     490
VALUECLICK INC.                         EQUITY  92046N102     79     24,530  SH   DEFINED  1                  24,530
VALUEVISION MEDIA INC                   EQUITY  92047K107    131      7,194  SH   DEFINED  1                   7,194
VANS, INC.                              EQUITY  921930103     53      6,568  SH   DEFINED  1                   6,568
VARCO INTERNATIONAL                     EQUITY  922122106   2182    124,405  SH   DEFINED  1                 124,405
VARIAN MEDICAL SYSTEMS INC              EQUITY  92220P105   3562     87,847  SH   DEFINED  1                  87,847
VARIAN SEMICONDUCTOR EQUIPMENT          EQUITY  922207105    371     10,943  SH   DEFINED  1                  10,943
VARIAN, INC.                            EQUITY  922206107    347     10,521  SH   DEFINED  1                  10,521
VASTERA INC                             EQUITY  92239N109     50     11,427  SH   DEFINED  1                  11,427
VCA ANTECH INC                          EQUITY  918194101     99      6,375  SH   DEFINED  1                   6,375
VECTOR GROUP LTD.                       EQUITY  92240M108   5088    289,107  SH   DEFINED  1                 289,107
VECTREN CORP                            EQUITY  92240G101   2196     87,480  SH   DEFINED  1                  87,480



                                                                                         
VEECO INSTRUMENTS, INC.                 EQUITY  922417100    209      9,023  SH   DEFINED  1                   9,023
VENTANA MEDICAL SYSTEMS, INC.           EQUITY  92276H106     99      4,517  SH   DEFINED  1                   4,517
VENTAS, INC.                            EQUITY  92276F100    276     21,677  SH   DEFINED  1                  21,677
VERDIAN CORP                            EQUITY  92342R203   1117     49,200  SH      SOLE  2      49,200
VERIDIAN CORP DEL COM                   EQUITY  92342R203      5    240,000  SH      SOLE  3     240,000
VERINT SYSTEMS                          EQUITY  92343X100    105      9,282  SH   DEFINED  1                   9,282
VERISIGN, INC.                          EQUITY  92343E102    216     30,004  SH   DEFINED  1                  30,004
VERITAS DGC, INC.                       EQUITY  92343P107    140     11,082  SH   DEFINED  1                  11,082
VERITAS SOFTWARE CORP                   EQUITY  923436109   4799    242,500  SH      SOLE  2     242,500
VERITAS SOFTWARE CORP.                  EQUITY  923436109   3981    201,151  SH   DEFINED  1                 201,151
VERITY INC COM                          EQUITY  92343C106     87      7,884  SH   DEFINED  1                   7,884
VERIZON COMMUNICATIONS                  EQUITY  92343V104  78122  1,945,756  SH   DEFINED  1               1,945,756
VERIZON COMMUNICATIONS                  EQUITY  92343V104   1807     45,000  SH      SOLE  2      45,000
VERIZON COMMUNICATIONS                  EQUITY  92343V104   5928    147,650  SH      SOLE  2     147,650
VERSICOR INC                            EQUITY  925314106    102      7,619  SH   DEFINED  1                   7,619
VERTEX PHARMACEUTICALS, INC.            EQUITY  92532F100   1593     97,841  SH   DEFINED  1                  97,841
VESTA INSURANCE GROUP, INC.             EQUITY  925391104     52     12,229  SH   DEFINED  1                  12,229
VIACOM INC                              EQUITY  925524100     40        975  SH      SOLE  2         975
VIACOM INC                              EQUITY  925524308  25400    572,785  SH      SOLE  2     572,785
VIACOM INC                              EQUITY  925524308   9664    217,804  SH      SOLE  2     217,804
VIACOM, INC. CLASS B                    EQUITY  925524308  37828    852,555  SH   DEFINED  1                 852,555
VIAD CORP.                              EQUITY  92552R109   2983    114,746  SH   DEFINED  1                 114,746
VIASAT INC                              EQUITY  92552V100    506     60,000  SH      SOLE  2      60,000
VIASAT, INC.                            EQUITY  92552V100     56      6,586  SH   DEFINED  1                   6,586
VIASYS HEALTHCARE INC                   EQUITY  92553Q209    162      9,303  SH   DEFINED  1                   9,303
VIB CORP                                EQUITY  91823H106     54      4,117  SH   DEFINED  1                   4,117
VICAL INC.                              EQUITY  925602104     36      6,782  SH   DEFINED  1                   6,782
VICOR CORP.                             EQUITY  925815102     50      7,087  SH   DEFINED  1                   7,087
VIEWPOINT CORP.                         EQUITY  92672P108     64     13,232  SH   DEFINED  1                  13,232
VIGNETTE CORPORATION                    EQUITY  926734104    165     83,891  SH   DEFINED  1                  83,891
VINTAGE PETROLEUM, INC.                 EQUITY  927460105    206     17,336  SH   DEFINED  1                  17,336
VIRAGE LOGIC CORPORATION                EQUITY  92763R104     50      3,840  SH   DEFINED  1                   3,840
VIRBAC CORP                             EQUITY  927649103     20      3,098  SH   DEFINED  1                   3,098
VIRCO MFG CO                            EQUITY  927651109     23      1,730  SH   DEFINED  1                   1,730
VIRGINIA FINL CORP                      EQUITY  927810101     83      2,601  SH   DEFINED  1                   2,601
VISHAY INTERTECHNOLOGY, INC.            EQUITY  928298108   5027    228,488  SH   DEFINED  1                 228,488
VISTA BANCORP INC                       EQUITY  92830R103     45      1,664  SH   DEFINED  1                   1,664
VISTEON CORP                            EQUITY  92839U107      3        192  SH      SOLE  2         192
VISTEON CORP.                           EQUITY  92839U107    993     69,962  SH   DEFINED  1                  69,962
VISX, INC.                              EQUITY  92844S105    939     86,151  SH   DEFINED  1                  86,151
VITAL SIGNS, INC.                       EQUITY  928469105     76      2,110  SH   DEFINED  1                   2,110
VITALWORKS INC                          EQUITY  928483106    104     12,743  SH   DEFINED  1                  12,743
VITESSE SEMICONDUCTOR CORP.             EQUITY  928497106    522    167,936  SH   DEFINED  1                 167,936
VITRIA TECHNOLOGY, INC.                 EQUITY  92849Q104     25     26,484  SH   DEFINED  1                  26,484
VIVUS INC.                              EQUITY  928551100     79     11,734  SH   DEFINED  1                  11,734
VODAFONE GROUP PLC -SP ADR              EQUITY  92857W100   7674    562,230  SH   DEFINED  1                 562,230
VOLT INFORMATION SCIENCES INC.          EQUITY  928703107     70      2,842  SH   DEFINED  1                   2,842
VORNADO                                 EQUITY  929042109     48      1,040  SH   DEFINED  1                   1,040
VORNADO RLTY TR SH BEN INT              EQUITY  929042109     36    768,900  SH      SOLE  3     622,952               145,948
VOTORANTIM CELULOSE - SPON ADR          EQUITY  92906P106   1195     63,230  SH   DEFINED  1                  63,230
VULCAN MATERIALS CO.                    EQUITY  929160109   2052     46,841  SH   DEFINED  1                  46,841
VULCAN MATLS CO                         EQUITY  929160109   1183     27,000  SH      SOLE  2      27,000
VULCAN MATLS CO                         EQUITY  929160109   6180    141,100  SH      SOLE  2     141,100
W HOLDING COMPANY INC.                  EQUITY  929251106    230      9,514  SH   DEFINED  1                   9,514
W. R. BERKLEY CORP.                     EQUITY  084423102     20        364  SH   DEFINED  1                     364
W. W. GRAINGER, INC.                    EQUITY  384802104   2162     43,147  SH   DEFINED  1                  43,147
WABASH NATIONAL CORP.                   EQUITY  929566107     82      8,246  SH   DEFINED  1                   8,246
WABTEC                                  EQUITY  929740108    174     12,233  SH   DEFINED  1                  12,233
WACHOVIA CORP                           EQUITY  929903102  23806    623,530  SH   DEFINED  1                 623,530
WACHOVIA CORP 2ND NEW                   EQUITY  929903102   1527     40,000  SH      SOLE  2      40,000



                                                                                         
WACHOVIA CORP 2ND NEW                   EQUITY  929903102   7426    194,500  SH      SOLE  2     194,500
WACKENHUT CORRECTIONS CORP.             EQUITY  929798106     45      3,106  SH   DEFINED  1                   3,106
WADDELL & REED FINANCIAL, INC.          EQUITY  930059100   2382    103,915  SH   DEFINED  1                 103,916
WAL MART STORES INC                     EQUITY  931142103  23379    425,000  SH      SOLE  2     425,000
WAL MART STORES INC                     EQUITY  931142103 106540  1,936,740  SH      SOLE  2   1,936,740
Walgreen Co                             EQUITY  931422109   3090     80,000  SH   DEFINED  4                  80,000
WALGREEN CO.                            EQUITY  931422109  19603    507,450  SH   DEFINED  1                 507,450
WALLACE COMPUTER SERVICES INC.          EQUITY  932270101   1423     66,197  SH   DEFINED  1                  66,197
WAL-MART STORES, INC.                   EQUITY  931142103 158494  2,881,185  SH   DEFINED  1               2,881,185
WALT DISNEY                             EQUITY  254687106  19211  1,016,450  SH   DEFINED  1               1,016,450
WALTER INDUSTRIES, INC.                 EQUITY  93317Q105    139     10,390  SH   DEFINED  1                  10,390
WARWICK CMNTY BANCORP                   EQUITY  936559103     39      1,308  SH   DEFINED  1                   1,308
WASHINGTON FEDERAL I                    EQUITY  938824109     23        919  SH   DEFINED  1                     919
WASHINGTON MUT INC                      EQUITY  939322103   2227     60,000  SH      SOLE  2      60,000
WASHINGTON MUT INC                      EQUITY  939322103  12227    413,483  SH      SOLE  2     413,483
WASHINGTON MUTUAL INC                   EQUITY  939322103  22138    596,556  SH   DEFINED  1                 596,556
Washington Mutual Savings               EQUITY  939322103   1173     31,600  SH   DEFINED  4                  31,600
WASHINGTON POST CO. CLASS B             EQUITY  939640108   6624     12,155  SH   DEFINED  1                  12,155
WASHINGTON REAL ESTATE INV.             EQUITY  939653101    380     13,142  SH   DEFINED  1                  13,142
WASHINGTON TRUST BANCORP, INC.          EQUITY  940610108    110      4,653  SH   DEFINED  1                   4,653
WASTE CONNECTIONS                       EQUITY  941053100   8166    261,475  SH      SOLE  2     261,475
WASTE CONNECTIONS, INC.                 EQUITY  941053100    309      9,879  SH   DEFINED  1                   9,879
WASTE MANAGEMENT INC                    EQUITY  94106L109   1784     68,560  SH      SOLE  2      68,560
WASTE MANAGEMENT, INC.                  EQUITY  94106L109   7224    277,300  SH   DEFINED  1                 277,300
WATCHGUARD TECH. INC.                   EQUITY  941105108     48      9,385  SH   DEFINED  1                   9,385
WATER PIK TECHNOLOGIES INC              EQUITY  94113U100     48      3,797  SH   DEFINED  1                   3,797
WATERS CORP.                            EQUITY  941848103   1620     60,680  SH   DEFINED  1                  60,680
WATSCO, INC.                            EQUITY  942622200    111      6,095  SH   DEFINED  1                   6,096
WATSON PHARMACEUTICALS, INC             EQUITY  942683103   1246     49,301  SH   DEFINED  1                  49,301
WATSON WYATT & CO HOLDINGS              EQUITY  942712100    174      7,166  SH   DEFINED  1                   7,166
WATTS INDUSTRIES, INC., CLASS A         EQUITY  942749102    111      5,584  SH   DEFINED  1                   5,584
WAUSAU-MOSINEE PAPER CORP.              EQUITY  943315101    950     78,837  SH   DEFINED  1                  78,837
WAYPOINT FINANCIAL CORP.                EQUITY  946756103    265     13,536  SH   DEFINED  1                  13,536
WCI CMNTYS INC                          EQUITY  92923C104    663     22,900  SH      SOLE  2      22,900
WCI COMMUNITIES INC                     EQUITY  92923C104    154      2,469  SH   DEFINED  1                   2,469
WD-40 CO.                               EQUITY  929236107    158      5,698  SH   DEFINED  1                   5,698
WEATHERFORD BERMUDA                     EQUITY  G95089101   2078     48,100  SH      SOLE  2      48,100
WEATHERFORD INTL LTD COM                EQUITY  G95089101     19    432,500  SH      SOLE  3     375,200                52,900
WEBEX COMMUNICATIONS INC (USD)          EQUITY  94767L109    131      8,263  SH   DEFINED  1                   8,263
WEBMD CORPORATION                       EQUITY  94769M105     24      4,280  SH   DEFINED  1                   4,280
WEBMETHODS INC                          EQUITY  94768C108    159     16,088  SH   DEFINED  1                  16,088
WEBSENSE INC                            EQUITY  947684106     24    919,461  SH      SOLE  3     908,261                11,200
WEBSENSE INC                            EQUITY  947684106    192      7,521  SH   DEFINED  1                   7,521
WEBSTER FINANCIAL CORP.                 EQUITY  947890109   2417     63,207  SH   DEFINED  1                  63,207
WEIGHT WATCHERS INTL INC                EQUITY  948626106     15        349  SH   DEFINED  1                     349
WEINGARTEN REALTY INVESTORS             EQUITY  948741103     23        661  SH   DEFINED  1                     661
WEIS MARKETS INC                        EQUITY  948849104    145      3,934  SH   DEFINED  1                   3,934
WELLMAN, INC.                           EQUITY  949702104    191     11,376  SH   DEFINED  1                  11,376
WELLPOINT HEALTH NETWORKS INC.          EQUITY  94973H108   5221     67,095  SH   DEFINED  1                  67,095
WELLS FARGO + CO NEW                    EQUITY  949746101   6007    120,000  SH      SOLE  2     120,000
WELLS FARGO + CO NEW                    EQUITY  949746101  24880    497,000  SH      SOLE  2     497,000
WELLS FARGO CO.                         EQUITY  949746101  41339    825,780  SH   DEFINED  1                 825,780
WELLSFORD REAL PROPERTIES               EQUITY  950240200     62      1,902  SH   DEFINED  1                   1,903
WENDY'S INTERNATIONAL, INC.             EQUITY  950590109   3539     88,854  SH   DEFINED  1                  88,854
WENDYS INTL INC                         EQUITY  950590109   1982     50,000  SH      SOLE  2      50,000
WENDYS INTL INC                         EQUITY  950590109   7149    179,500  SH      SOLE  2     179,500
WERNER ENTERPRISES, INC.                EQUITY  950755108    293     13,734  SH   DEFINED  1                  13,734
WESBANCO, INC.                          EQUITY  950810101    180      7,605  SH   DEFINED  1                   7,605
WESCO FINANCIAL CORP                    EQUITY  950817106      5         16  SH   DEFINED  1                      16
WESCO INTERNATIONAL, INC.               EQUITY  95082P105     32      5,044  SH   DEFINED  1                   5,044



                                                                                          
WEST COAST BANCORP                      EQUITY  952145100     96      5,617  SH   DEFINED  1                    5,617
WEST CORPORATION                        EQUITY  952355105      6        263  SH   DEFINED  1                      263
WEST MARINE INC                         EQUITY  954235107     47      3,694  SH   DEFINED  1                    3,694
WEST PHARMACEUTICAL SERVICES            EQUITY  955306105    150      4,677  SH   DEFINED  1                    4,677
WESTAMERICA BANCORPORATION              EQUITY  957090103    588     15,000  SH      SOLE  2       15,000
WESTAMERICA BANKCORPORATION             EQUITY  957090103   2360     60,230  SH   DEFINED  1                   60,230
WESTCORP                                EQUITY  957907108    134      4,192  SH   DEFINED  1                    4,192
WESTERN DIGITIAL CORP.                  EQUITY  958102105    223     68,589  SH   DEFINED  1                   68,589
WESTERN GAS RESOURCES, INC.             EQUITY  958259103   1830     48,928  SH   DEFINED  1                   48,928
WESTERN WIRELESS CORP. CLASS A          EQUITY  95988E204     61     19,033  SH   DEFINED  1                   19,033
WESTFIELD FINANCIAL IN                  EQUITY  96008D101     28      1,776  SH   DEFINED  1                    1,776
WESTPOINT STEVENS INC. CLASS A          EQUITY  961238102     48     12,446  SH   DEFINED  1                   12,446
WESTPORT RESOURSES                      EQUITY  961418100     94      5,714  SH   DEFINED  1                    5,714
WESTWOOD ONE INC                        EQUITY  961815107    802     24,000  SH      SOLE  2       24,000
WESTWOOD ONE, INC.                      EQUITY  961815107   4611    137,964  SH   DEFINED  1                  137,964
WET SEAL INC CL A                       EQUITY  961840105     21    844,050  SH      SOLE  3      831,750                12,300
WET SEAL, INC.                          EQUITY  961840105    243      9,983  SH   DEFINED  1                    9,983
WEYERHAEUSER CO.                        EQUITY  962166104   6259     98,030  SH   DEFINED  1                   98,030
WFS FINANCIAL, INC.                     EQUITY  92923B106     67      2,460  SH   DEFINED  1                    2,460
WGL HOLDINGS INC.                       EQUITY  92924F106   2058     79,441  SH   DEFINED  1                   79,441
W-H ENERGY SERVICES INC                 EQUITY  92925E108    183      8,264  SH   DEFINED  1                    8,264
WHIRLPOOL CORP.                         EQUITY  963320106   2054     31,429  SH   DEFINED  1                   31,429
WHITE ELECTR DESIGNS C                  EQUITY  963801105     47      6,250  SH   DEFINED  1                    6,250
WHITEHALL JEWELLERS IN                  EQUITY  965063100     83      3,993  SH   DEFINED  1                    3,993
WHITNEY HOLDING CORP.                   EQUITY  966612103     18        576  SH   DEFINED  1                      576
WHOLE FOODS MARKET I                    EQUITY  966837106   3522     73,031  SH   DEFINED  1                   73,031
WILD OATS MARKETS INC COM               EQUITY  96808B107      7    414,500  SH      SOLE  3      414,500
WILD OATS MARKETS, INC.                 EQUITY  96808B107    111      6,872  SH   DEFINED  1                    6,872
WILLIAMS COMPANIES, INC.                EQUITY  969457100   1442    240,667  SH   DEFINED  1                  240,667
WILLIAMS SONOMA INC                     EQUITY  969904101   7297    238,000  SH      SOLE  2      238,000
WILLIAMS SONOMA INC COM                 EQUITY  969904101     99  3,225,606  SH      SOLE  3    3,046,176               171,030
WILLIAMS-SONOMA, INC.                   EQUITY  969904101   4545    148,244  SH   DEFINED  1                  148,244
WILLOW GROVE BANCORP I                  EQUITY  97111W101     20      1,732  SH   DEFINED  1                    1,732
WILMINGTON TRUST CORP                   EQUITY  971807102   2573     84,375  SH   DEFINED  1                   84,375
Wilson Greatbatch Tech                  EQUITY  972232102    622     24,400  SH   DEFINED  4                   24,400
WILSON GREATBATCH TECH INC              EQUITY  972232102      5    177,900  SH      SOLE  3      177,900
WILSON GREATBATCH TECHNOLOGIES          EQUITY  972232102    272     10,659  SH   DEFINED  1                   10,659
WILSONS THE LEATHER EXPERTS             EQUITY  972463103     67      4,769  SH   DEFINED  1                    4,769
WIMM-BILL-DANN FOODS ADR                EQUITY  97263M109    916     43,430  SH   DEFINED  1                   43,430
WIND RIVER SYSTEMS INC.                 EQUITY  973149107    628    125,251  SH   DEFINED  1                  125,252
WINN-DIXIE STORES, INC.                 EQUITY  974280109    997     63,966  SH   DEFINED  1                   63,966
WINNEBAGO INDUSTRIES, INC.              EQUITY  974637100    189      4,295  SH   DEFINED  1                    4,295
WINSTON HOTELS INC                      EQUITY  97563A102     59      6,027  SH   DEFINED  1                    6,027
WINTRUST FINANCIAL CORP                 EQUITY  97650W108    168      4,861  SH   DEFINED  1                    4,861
WIRELESS FACILITIES INC.                EQUITY  97653A103     40      8,261  SH   DEFINED  1                    8,261
WISCONSIN ENERGY CORP.                  EQUITY  976657106   3764    148,968  SH   DEFINED  1                  148,968
WITNESS SYS INC COM                     EQUITY  977424100      8  1,028,000  SH      SOLE  3    1,028,000
WITNESS SYSTEMS INC                     EQUITY  977424100     36      4,888  SH   DEFINED  1                    4,888
WM. WRIGLEY JR. CO.                     EQUITY  982526105   5588    100,950  SH   DEFINED  1                  100,950
WMS INDUSTRIES INC.                     EQUITY  929297109     96      7,815  SH   DEFINED  1                    7,815
WOLVERINE WORLD WIDE, INC.              EQUITY  978097103    259     14,840  SH   DEFINED  1                   14,840
WOMEN FIRST HEALTHCARE                  EQUITY  978150100     43      5,546  SH   DEFINED  1                    5,546
WOODHEAD INDS INC COM                   EQUITY  979438108     64      3,732  SH   DEFINED  1                    3,732
WOODWARD GOVERNOR CO.                   EQUITY  980745103    187      3,162  SH   DEFINED  1                    3,162
WORDLCOM INC-WORLDCOM GROUP             EQUITY  98157D106   1303  6,935,546  SH   DEFINED  1                6,935,546
WORLD ACCEPTANCE CORP.                  EQUITY  981419104     35      4,130  SH   DEFINED  1                    4,130
WORLD FUEL SVCS CORP                    EQUITY  981475106     77      3,160  SH   DEFINED  1                    3,160
WORLD WRESTLING ENTMNT                  EQUITY  98156Q108     52      3,558  SH   DEFINED  1                    3,558
WORTHINGTON INDS IN                     EQUITY  981811102   2172    120,000  SH      SOLE  2      120,000
WORTHINGTON INDUSTRIES, INC.            EQUITY  981811102   1129     62,369  SH   DEFINED  1                   62,369



                                                                                         
WPS RESOURCES CORP.                     EQUITY  92931B106   2868     70,252  SH   DEFINED  1                  70,252
WRIGHT MED GROUP INC                    EQUITY  98235T107    113      5,581  SH   DEFINED  1                   5,582
WSFS FINANCIAL CORP                     EQUITY  929328102     73      2,805  SH   DEFINED  1                   2,805
WYETH                                   EQUITY  983024100  46786    913,790  SH   DEFINED  1                 913,790
WYETH                                   EQUITY  983024100   7448    145,468  SH      SOLE  2     145,468
WYETH                                   EQUITY  983024100   9808    191,568  SH      SOLE  2     191,568
WYNDHAM INTERNATIONAL, INC.             EQUITY  983101106    294    253,472  SH   DEFINED  1                 253,472
XCEL STATES POWER-MINES                 EQUITY  98389B100   3332    198,686  SH   DEFINED  1                 198,686
XEROX CORP.                             EQUITY  984121103   2325    333,517  SH   DEFINED  1                 333,517
XICOR INC                               EQUITY  984903104     29      7,086  SH   DEFINED  1                   7,086
XILINX INC                              EQUITY  983919101   5595    249,450  SH      SOLE  2     249,450
XILINX, INC.                            EQUITY  983919101   3654    162,920  SH   DEFINED  1                 162,920
XL CAPITAL LTD                          EQUITY  G98255105   5147     60,770  SH   DEFINED  1                  60,770
XM SATELLITE RADIO HLDGS I              EQUITY  983759101   3197    441,000  SH      SOLE  2     441,000
XM SATTELLITE RADIO HOLDINGS            EQUITY  983759101    140     19,353  SH   DEFINED  1                  19,353
X-RITE, INC.                            EQUITY  983857103     55      6,412  SH   DEFINED  1                   6,412
XTO ENERGY INC                          EQUITY  98385X106     34      1,670  SH   DEFINED  1                   1,670
YAHOO INC                               EQUITY  984332106  12582    852,970  SH      SOLE  2     852,970
YAHOO!, INC.                            EQUITY  984332106   4155    281,517  SH   DEFINED  1                 281,517
YANKEE CANDLE INC                       EQUITY  984757104   2582     95,300  SH      SOLE  2      95,300
YARDVILLE NATL BANCORP                  EQUITY  985021104     42      2,108  SH   DEFINED  1                   2,108
YELLOW CORP.                            EQUITY  985509108    335     10,353  SH   DEFINED  1                  10,353
YORK INTERNATIONAL CORP.                EQUITY  986670107   1719     50,870  SH   DEFINED  1                  50,870
YOUNG BROADCASTING, INC. CLASS A        EQUITY  987434107     88      4,953  SH   DEFINED  1                   4,953
YOUNG INNOVATIONS INC                   EQUITY  987520103     34      1,547  SH   DEFINED  1                   1,547
YPF S.A.-Sponsored ADR                  EQUITY  984245100    265      9,000  SH   DEFINED  1                   9,001
YUM BRANDS INC                          EQUITY  988498101   3510    120,000  SH      SOLE  2     120,000
Yum Brands Inc                          EQUITY  988498101   2048     70,000  SH   DEFINED  4                  70,000
YUM! BRANDS INC                         EQUITY  988498101   4746    162,260  SH   DEFINED  1                 162,260
ZALE CORP.                              EQUITY  988858106     17        476  SH   DEFINED  1                     476
ZEBRA TECHNOLOGIES CORP. CLASS A        EQUITY  989207105     16        331  SH   DEFINED  1                     331
ZENITH NATIONAL INSURANCE CORP          EQUITY  989390109     94      2,942  SH   DEFINED  1                   2,942
ZIMMER HOLDINGS INC                     EQUITY  98956P102   3510     98,425  SH   DEFINED  1                  98,425
ZIMMER HOLDINGS INC                     EQUITY  98956P102      2         50  SH      SOLE  2          50
ZIONS BANCORPORATION                    EQUITY  989701107   2214     42,488  SH   DEFINED  1                  42,488
ZOLL MEDICAL CORP.                      EQUITY  989922109     97      2,980  SH   DEFINED  1                   2,980
ZOMAX INCORPORATED                      EQUITY  989929104     41     10,491  SH   DEFINED  1                  10,491
ZORAN CORP COM                          EQUITY  98975F101     20    863,600  SH      SOLE  3     852,200                11,400
ZORAN CORP.                             EQUITY  98975F101    221      9,636  SH   DEFINED  1                   9,636
ZYGO CORP.                              EQUITY  989855101     45      5,557  SH   DEFINED  1                   5,557
ZYMOGENETICS INC                        EQUITY  98985T109     31      3,563  SH   DEFINED  1                   3,563